| 
include other versions of the Section to be found in Public  | 
Acts not included in the list of sources. The list of sources  | 
is not a part of the text of the Section. | 
 (d) Public Acts 102-1119 through 103-583 were considered  | 
in the preparation of the combining revisories included in  | 
this Act. Many of those combining revisories contain no  | 
striking or underscoring because no additional changes are  | 
being made in the material that is being combined.
 | 
 Section 5. The Regulatory Sunset Act is amended by  | 
changing Section 4.39 as follows:
 | 
 (5 ILCS 80/4.39) | 
 Sec. 4.39. Acts and Section repealed on January 1, 2029  | 
and December 31, 2029.  | 
 (a) The following Acts and Section are repealed on January  | 
1, 2029:  | 
  The Electrologist Licensing Act.  | 
  The Environmental Health Practitioner Licensing Act. | 
  The Illinois Occupation Therapy Practice Act.  | 
  The Crematory Regulation Act.  | 
  The Illinois Public Accounting Act.  | 
  The Private Detective, Private Alarm, Private  | 
 Security, Fingerprint Vendor, and Locksmith Act of 2004.  | 
  Section 2.5 of the Illinois Plumbing License Law.  | 
  The Veterinary Medicine and Surgery Practice Act of  | 
 | 
 2004.  | 
  The Registered Surgical Assistant and Registered  | 
 Surgical Technologist Title Protection Act.  | 
 (b) The following Act is repealed on December 31, 2029: | 
  The Structural Pest Control Act. | 
(Source: P.A. 103-251, eff. 6-30-23; 103-253, eff. 6-30-23;  | 
103-309, eff. 7-28-23; 103-387, eff. 7-28-23; 103-505, eff.  | 
8-4-23; revised 8-28-23.)
 | 
 Section 10. The Illinois Administrative Procedure Act is  | 
amended by setting forth, renumbering, and changing multiple  | 
versions of Sections 5-45.35 and 5-45.36 as follows:
 | 
 (5 ILCS 100/5-45.35) | 
 Sec. 5-45.35. (Repealed).  | 
(Source: P.A. 102-1104, eff. 12-6-22. Repealed internally,  | 
eff. 12-6-23.)
 | 
 (5 ILCS 100/5-45.36) | 
 (Section scheduled to be repealed on June 7, 2024) | 
 Sec. 5-45.36. Emergency rulemaking. To provide for the  | 
expeditious and timely implementation of Section 234 of the  | 
Illinois Income Tax Act, emergency rules implementing that  | 
Section may be adopted in accordance with Section 5-45 by the  | 
Department of Revenue. The adoption of emergency rules  | 
authorized by Section 5-45 and this Section is deemed to be  | 
 | 
necessary for the public interest, safety, and welfare. | 
 This Section is repealed on June 7, 2024 (one year after  | 
the effective date of Public Act 103-9) this amendatory Act of  | 
the 103rd General Assembly. | 
(Source: P.A. 103-9, eff. 6-7-23; revised 9-27-23.)
 | 
 (5 ILCS 100/5-45.38) | 
 (Section scheduled to be repealed on January 10, 2024) | 
 Sec. 5-45.38 5-45.35. Emergency rulemaking. To provide for  | 
the expeditious and timely implementation of Public Act  | 
102-1116 this amendatory Act of the 102nd General Assembly,  | 
emergency rules implementing Public Act 102-1116 this  | 
amendatory Act of the 102nd General Assembly may be adopted in  | 
accordance with Section 5-45 by the Illinois State Police. The  | 
adoption of emergency rules authorized by Section 5-45 and  | 
this Section is deemed to be necessary for the public  | 
interest, safety, and welfare. | 
 This Section is repealed on January 10, 2024 (one year  | 
after the effective date of Public Act 102-1116) this  | 
amendatory Act of the 102nd General Assembly. | 
(Source: P.A. 102-1116, eff. 1-10-23; revised 3-13-23.)
 | 
 (5 ILCS 100/5-45.39) | 
 (Section scheduled to be repealed on January 13, 2024) | 
 Sec. 5-45.39 5-45.35. Emergency rulemaking; temporary  | 
licenses for health care. To provide for the expeditious and  | 
 | 
timely implementation of Section 66 of the Medical Practice  | 
Act of 1987, Section 65-11.5 of the Nurse Practice Act, and  | 
Section 9.7 of the Physician Assistant Practice Act of 1987,  | 
emergency rules implementing the issuance of temporary permits  | 
to applicants who are licensed to practice as a physician,  | 
advanced practice registered nurse, or physician assistant in  | 
another state may be adopted in accordance with Section 5-45  | 
by the Department of Financial and Professional Regulation.  | 
The adoption of emergency rules authorized by Section 5-45 and  | 
this Section is deemed to be necessary for the public  | 
interest, safety, and welfare. | 
 This Section is repealed on January 13, 2024 (one year  | 
after the effective date of Public Act 102-1117) this  | 
amendatory Act of the 102nd General Assembly. | 
(Source: P.A. 102-1117, eff. 1-13-23; revised 3-13-23.)
 | 
 (5 ILCS 100/5-45.40) | 
 (Section scheduled to be repealed on January 18, 2024) | 
 Sec. 5-45.40 5-45.35. Emergency rulemaking; rural  | 
emergency hospitals. To provide for the expeditious and timely  | 
implementation of Public Act 102-1118 this amendatory Act of  | 
the 102nd General Assembly, emergency rules implementing the  | 
inclusion of rural emergency hospitals in the definition of  | 
"hospital" in Section 3 of the Hospital Licensing Act may be  | 
adopted in accordance with Section 5-45 by the Department of  | 
Public Health. The adoption of emergency rules authorized by  | 
 | 
Section 5-45 and this Section is deemed to be necessary for the  | 
public interest, safety, and welfare. | 
 This Section is repealed on January 18, 2024 (one year  | 
after the effective date of Public Act 102-1118) this  | 
amendatory Act of the 102nd General Assembly. | 
(Source: P.A. 102-1118, eff. 1-18-23; revised 3-13-23.)
 | 
 (5 ILCS 100/5-45.41) | 
 (Section scheduled to be repealed on February 3, 2024) | 
 Sec. 5-45.41 5-45.35. Emergency rulemaking. To provide for  | 
the expeditious and timely implementation of the Invest in  | 
Illinois Act, emergency rules implementing the Invest in  | 
Illinois Act may be adopted in accordance with Section 5-45 by  | 
the Department of Commerce and Economic Opportunity. The  | 
adoption of emergency rules authorized by Section 5-45 and  | 
this Section is deemed to be necessary for the public  | 
interest, safety, and welfare. | 
 This Section is repealed on February 3, 2024 (one year  | 
after the effective date of Public Act 102-1125) this  | 
amendatory Act of the 102nd General Assembly. | 
(Source: P.A. 102-1125, eff. 2-3-23; revised 3-13-23.)
 | 
 (5 ILCS 100/5-45.45) | 
 (Section scheduled to be repealed on June 16, 2024) | 
 Sec. 5-45.45 5-45.35. Emergency rulemaking; Substance Use  | 
Disorder Residential and Detox Rate Equity. To provide for the  | 
 | 
expeditious and timely implementation of the Substance Use  | 
Disorder Residential and Detox Rate Equity Act, emergency  | 
rules implementing the Substance Use Disorder Residential and  | 
Detox Rate Equity Act may be adopted in accordance with  | 
Section 5-45 by the Department of Human Services and the  | 
Department of Healthcare and Family Services. The adoption of  | 
emergency rules authorized by Section 5-45 and this Section is  | 
deemed to be necessary for the public interest, safety, and  | 
welfare. | 
 This Section is repealed on June 16, 2024 (one year after  | 
the effective date of Public Act 103-102) this amendatory Act  | 
of the 103rd General Assembly. | 
(Source: P.A. 103-102, eff. 6-16-23; revised 9-27-23.)
 | 
 (5 ILCS 100/5-45.46) | 
 (Section scheduled to be repealed on January 1, 2025) | 
 Sec. 5-45.46 5-45.35. Emergency rulemaking; Illinois Law  | 
Enforcement Training Standards Board. To provide for the  | 
expeditious and timely implementation of the changes made in  | 
Sections 8.1 and 8.2 of the Illinois Police Training Act,  | 
emergency rules implementing the waiver process under Sections  | 
8.1 and 8.2 of the Illinois Police Training Act may be adopted  | 
in accordance with Section 5-45 by the Illinois Law  | 
Enforcement Training Standards Board. The adoption of  | 
emergency rules authorized by Section 5-45 and this Section is  | 
deemed to be necessary for the public interest, safety, and  | 
 | 
welfare. | 
 This Section is repealed on January 1, 2025 (one year  | 
after the effective date of Public Act 103-389) this  | 
amendatory Act of the 103rd General Assembly. | 
(Source: P.A. 103-389, eff. 1-1-24; revised 9-7-23.)
 | 
 (5 ILCS 100/5-45.47) | 
 (Section scheduled to be repealed on August 4, 2024) | 
 Sec. 5-45.47 5-45.35. Emergency rulemaking; Department of  | 
Natural Resources. To provide for the expeditious and timely  | 
implementation of Section 13 of the Human Remains Protection  | 
Act, emergency rules implementing Section 13 of the Human  | 
Remains Protection Act may be adopted in accordance with  | 
Section 5-45 by the Department of Natural Resources. The  | 
adoption of emergency rules authorized by Section 5-45 and  | 
this Section is deemed to be necessary for the public  | 
interest, safety, and welfare. | 
 This Section is repealed on August 4, 2024 (one year after  | 
the effective date of Public Act 103-446) this amendatory Act  | 
of the 103rd General Assembly. | 
(Source: P.A. 103-446, eff. 8-4-23; revised 9-27-23.)
 | 
 (5 ILCS 100/5-45.48) | 
 (Section scheduled to be repealed on January 1, 2025) | 
 Sec. 5-45.48 5-45.35. Emergency rulemaking; occupational  | 
licenses. To provide for the expeditious and timely  | 
 | 
implementation of Public Act 103-550 this amendatory Act of  | 
the 103rd General Assembly, emergency rules implementing the  | 
changes made to Section 9 of the Illinois Gambling Act may be  | 
adopted in accordance with Section 5-45 by the Illinois Gaming  | 
Board. The adoption of emergency rules authorized by Section  | 
5-45 and this Section is deemed to be necessary for the public  | 
interest, safety, and welfare. | 
 This Section is repealed on January 1, 2025 (one year  | 
after the effective date of Public Act 103-550) this  | 
amendatory Act of the 103rd General Assembly. | 
(Source: P.A. 103-550, eff. 1-1-24; revised 1-30-24.)
 | 
 (5 ILCS 100/5-45.50) | 
 Sec. 5-45.50 5-45.35. (Repealed).  | 
(Source: P.A. 102-1108, eff. 12-21-22. Repealed internally,  | 
eff. 12-21-23)
 | 
 (5 ILCS 100/5-45.51) | 
 (Section scheduled to be repealed on June 16, 2024) | 
 Sec. 5-45.51 5-45.36. Emergency rulemaking; Medicaid  | 
reimbursement rates for hospital inpatient and outpatient  | 
services. To provide for the expeditious and timely  | 
implementation of the changes made by Public Act 103-102 this  | 
amendatory Act of the 103rd General Assembly to Sections  | 
5-5.05, 14-12, 14-12.5, and 14-12.7 of the Illinois Public Aid  | 
Code, emergency rules implementing the changes made by Public  | 
 | 
Act 103-102 this amendatory Act of the 103rd General Assembly  | 
to Sections 5-5.05, 14-12, 14-12.5, and 14-12.7 of the  | 
Illinois Public Aid Code may be adopted in accordance with  | 
Section 5-45 by the Department of Healthcare and Family  | 
Services. The adoption of emergency rules authorized by  | 
Section 5-45 and this Section is deemed to be necessary for the  | 
public interest, safety, and welfare. | 
 This Section is repealed on June 16, 2024 (one year after  | 
the effective date of Public Act 103-102) this amendatory Act  | 
of the 103rd General Assembly. | 
(Source: P.A. 103-102, eff. 6-16-23; revised 9-27-23.)
 | 
 (5 ILCS 100/5-45.52) | 
 (Section scheduled to be repealed on December 8, 2024) | 
 Sec. 5-45.52 5-45.35. Emergency rulemaking; Public Act  | 
103-568 this amendatory Act of the 103rd General Assembly. To  | 
provide for the expeditious and timely implementation of  | 
Public Act 103-568 this amendatory Act of the 103rd General  | 
Assembly, emergency rules implementing Public Act 103-568 this  | 
amendatory Act of the 103rd General Assembly may be adopted in  | 
accordance with Section 5-45 by the Department of Financial  | 
and Professional Regulation. The adoption of emergency rules  | 
authorized by Section 5-45 and this Section is deemed to be  | 
necessary for the public interest, safety, and welfare. | 
 This Section is repealed on December 8, 2024 (one year  | 
after the effective date of Public Act 103-568) this  | 
 | 
amendatory Act of the 103rd General Assembly. | 
(Source: P.A. 103-568, eff. 12-8-23; revised 12-22-23.)
 | 
 Section 15. The Freedom of Information Act is amended by  | 
changing Sections 7 and 7.5 as follows:
 | 
 (5 ILCS 140/7) | 
 Sec. 7. Exemptions.  | 
 (1) When a request is made to inspect or copy a public  | 
record that contains information that is exempt from  | 
disclosure under this Section, but also contains information  | 
that is not exempt from disclosure, the public body may elect  | 
to redact the information that is exempt. The public body  | 
shall make the remaining information available for inspection  | 
and copying. Subject to this requirement, the following shall  | 
be exempt from inspection and copying:  | 
  (a) Information specifically prohibited from  | 
 disclosure by federal or State law or rules and  | 
 regulations implementing federal or State law.  | 
  (b) Private information, unless disclosure is required  | 
 by another provision of this Act, a State or federal law,  | 
 or a court order.  | 
  (b-5) Files, documents, and other data or databases  | 
 maintained by one or more law enforcement agencies and  | 
 specifically designed to provide information to one or  | 
 more law enforcement agencies regarding the physical or  | 
 | 
 mental status of one or more individual subjects.  | 
  (c) Personal information contained within public  | 
 records, the disclosure of which would constitute a  | 
 clearly unwarranted invasion of personal privacy, unless  | 
 the disclosure is consented to in writing by the  | 
 individual subjects of the information. "Unwarranted  | 
 invasion of personal privacy" means the disclosure of  | 
 information that is highly personal or objectionable to a  | 
 reasonable person and in which the subject's right to  | 
 privacy outweighs any legitimate public interest in  | 
 obtaining the information. The disclosure of information  | 
 that bears on the public duties of public employees and  | 
 officials shall not be considered an invasion of personal  | 
 privacy.  | 
  (d) Records in the possession of any public body  | 
 created in the course of administrative enforcement  | 
 proceedings, and any law enforcement or correctional  | 
 agency for law enforcement purposes, but only to the  | 
 extent that disclosure would:  | 
   (i) interfere with pending or actually and  | 
 reasonably contemplated law enforcement proceedings  | 
 conducted by any law enforcement or correctional  | 
 agency that is the recipient of the request;  | 
   (ii) interfere with active administrative  | 
 enforcement proceedings conducted by the public body  | 
 that is the recipient of the request;  | 
 | 
   (iii) create a substantial likelihood that a  | 
 person will be deprived of a fair trial or an impartial  | 
 hearing;  | 
   (iv) unavoidably disclose the identity of a  | 
 confidential source, confidential information  | 
 furnished only by the confidential source, or persons  | 
 who file complaints with or provide information to  | 
 administrative, investigative, law enforcement, or  | 
 penal agencies; except that the identities of  | 
 witnesses to traffic crashes, traffic crash reports,  | 
 and rescue reports shall be provided by agencies of  | 
 local government, except when disclosure would  | 
 interfere with an active criminal investigation  | 
 conducted by the agency that is the recipient of the  | 
 request;  | 
   (v) disclose unique or specialized investigative  | 
 techniques other than those generally used and known  | 
 or disclose internal documents of correctional  | 
 agencies related to detection, observation, or  | 
 investigation of incidents of crime or misconduct, and  | 
 disclosure would result in demonstrable harm to the  | 
 agency or public body that is the recipient of the  | 
 request;  | 
   (vi) endanger the life or physical safety of law  | 
 enforcement personnel or any other person; or  | 
   (vii) obstruct an ongoing criminal investigation  | 
 | 
 by the agency that is the recipient of the request.  | 
  (d-5) A law enforcement record created for law  | 
 enforcement purposes and contained in a shared electronic  | 
 record management system if the law enforcement agency  | 
 that is the recipient of the request did not create the  | 
 record, did not participate in or have a role in any of the  | 
 events which are the subject of the record, and only has  | 
 access to the record through the shared electronic record  | 
 management system.  | 
  (d-6) Records contained in the Officer Professional  | 
 Conduct Database under Section 9.2 of the Illinois Police  | 
 Training Act, except to the extent authorized under that  | 
 Section. This includes the documents supplied to the  | 
 Illinois Law Enforcement Training Standards Board from the  | 
 Illinois State Police and Illinois State Police Merit  | 
 Board.  | 
  (d-7) Information gathered or records created from the  | 
 use of automatic license plate readers in connection with  | 
 Section 2-130 of the Illinois Vehicle Code.  | 
  (e) Records that relate to or affect the security of  | 
 correctional institutions and detention facilities.  | 
  (e-5) Records requested by persons committed to the  | 
 Department of Corrections, Department of Human Services  | 
 Division of Mental Health, or a county jail if those  | 
 materials are available in the library of the correctional  | 
 institution or facility or jail where the inmate is  | 
 | 
 confined.  | 
  (e-6) Records requested by persons committed to the  | 
 Department of Corrections, Department of Human Services  | 
 Division of Mental Health, or a county jail if those  | 
 materials include records from staff members' personnel  | 
 files, staff rosters, or other staffing assignment  | 
 information.  | 
  (e-7) Records requested by persons committed to the  | 
 Department of Corrections or Department of Human Services  | 
 Division of Mental Health if those materials are available  | 
 through an administrative request to the Department of  | 
 Corrections or Department of Human Services Division of  | 
 Mental Health.  | 
  (e-8) Records requested by a person committed to the  | 
 Department of Corrections, Department of Human Services  | 
 Division of Mental Health, or a county jail, the  | 
 disclosure of which would result in the risk of harm to any  | 
 person or the risk of an escape from a jail or correctional  | 
 institution or facility. | 
  (e-9) Records requested by a person in a county jail  | 
 or committed to the Department of Corrections or  | 
 Department of Human Services Division of Mental Health,  | 
 containing personal information pertaining to the person's  | 
 victim or the victim's family, including, but not limited  | 
 to, a victim's home address, home telephone number, work  | 
 or school address, work telephone number, social security  | 
 | 
 number, or any other identifying information, except as  | 
 may be relevant to a requester's current or potential case  | 
 or claim.  | 
  (e-10) Law enforcement records of other persons  | 
 requested by a person committed to the Department of  | 
 Corrections, Department of Human Services Division of  | 
 Mental Health, or a county jail, including, but not  | 
 limited to, arrest and booking records, mug shots, and  | 
 crime scene photographs, except as these records may be  | 
 relevant to the requester's current or potential case or  | 
 claim.  | 
  (f) Preliminary drafts, notes, recommendations,  | 
 memoranda, and other records in which opinions are  | 
 expressed, or policies or actions are formulated, except  | 
 that a specific record or relevant portion of a record  | 
 shall not be exempt when the record is publicly cited and  | 
 identified by the head of the public body. The exemption  | 
 provided in this paragraph (f) extends to all those  | 
 records of officers and agencies of the General Assembly  | 
 that pertain to the preparation of legislative documents.  | 
  (g) Trade secrets and commercial or financial  | 
 information obtained from a person or business where the  | 
 trade secrets or commercial or financial information are  | 
 furnished under a claim that they are proprietary,  | 
 privileged, or confidential, and that disclosure of the  | 
 trade secrets or commercial or financial information would  | 
 | 
 cause competitive harm to the person or business, and only  | 
 insofar as the claim directly applies to the records  | 
 requested. | 
  The information included under this exemption includes  | 
 all trade secrets and commercial or financial information  | 
 obtained by a public body, including a public pension  | 
 fund, from a private equity fund or a privately held  | 
 company within the investment portfolio of a private  | 
 equity fund as a result of either investing or evaluating  | 
 a potential investment of public funds in a private equity  | 
 fund. The exemption contained in this item does not apply  | 
 to the aggregate financial performance information of a  | 
 private equity fund, nor to the identity of the fund's  | 
 managers or general partners. The exemption contained in  | 
 this item does not apply to the identity of a privately  | 
 held company within the investment portfolio of a private  | 
 equity fund, unless the disclosure of the identity of a  | 
 privately held company may cause competitive harm. | 
  Nothing contained in this paragraph (g) shall be  | 
 construed to prevent a person or business from consenting  | 
 to disclosure.  | 
  (h) Proposals and bids for any contract, grant, or  | 
 agreement, including information which if it were  | 
 disclosed would frustrate procurement or give an advantage  | 
 to any person proposing to enter into a contractor  | 
 agreement with the body, until an award or final selection  | 
 | 
 is made. Information prepared by or for the body in  | 
 preparation of a bid solicitation shall be exempt until an  | 
 award or final selection is made.  | 
  (i) Valuable formulae, computer geographic systems,  | 
 designs, drawings, and research data obtained or produced  | 
 by any public body when disclosure could reasonably be  | 
 expected to produce private gain or public loss. The  | 
 exemption for "computer geographic systems" provided in  | 
 this paragraph (i) does not extend to requests made by  | 
 news media as defined in Section 2 of this Act when the  | 
 requested information is not otherwise exempt and the only  | 
 purpose of the request is to access and disseminate  | 
 information regarding the health, safety, welfare, or  | 
 legal rights of the general public.  | 
  (j) The following information pertaining to  | 
 educational matters: | 
   (i) test questions, scoring keys, and other  | 
 examination data used to administer an academic  | 
 examination;  | 
   (ii) information received by a primary or  | 
 secondary school, college, or university under its  | 
 procedures for the evaluation of faculty members by  | 
 their academic peers;  | 
   (iii) information concerning a school or  | 
 university's adjudication of student disciplinary  | 
 cases, but only to the extent that disclosure would  | 
 | 
 unavoidably reveal the identity of the student; and | 
   (iv) course materials or research materials used  | 
 by faculty members.  | 
  (k) Architects' plans, engineers' technical  | 
 submissions, and other construction related technical  | 
 documents for projects not constructed or developed in  | 
 whole or in part with public funds and the same for  | 
 projects constructed or developed with public funds,  | 
 including, but not limited to, power generating and  | 
 distribution stations and other transmission and  | 
 distribution facilities, water treatment facilities,  | 
 airport facilities, sport stadiums, convention centers,  | 
 and all government owned, operated, or occupied buildings,  | 
 but only to the extent that disclosure would compromise  | 
 security.  | 
  (l) Minutes of meetings of public bodies closed to the  | 
 public as provided in the Open Meetings Act until the  | 
 public body makes the minutes available to the public  | 
 under Section 2.06 of the Open Meetings Act.  | 
  (m) Communications between a public body and an  | 
 attorney or auditor representing the public body that  | 
 would not be subject to discovery in litigation, and  | 
 materials prepared or compiled by or for a public body in  | 
 anticipation of a criminal, civil, or administrative  | 
 proceeding upon the request of an attorney advising the  | 
 public body, and materials prepared or compiled with  | 
 | 
 respect to internal audits of public bodies.  | 
  (n) Records relating to a public body's adjudication  | 
 of employee grievances or disciplinary cases; however,  | 
 this exemption shall not extend to the final outcome of  | 
 cases in which discipline is imposed.  | 
  (o) Administrative or technical information associated  | 
 with automated data processing operations, including, but  | 
 not limited to, software, operating protocols, computer  | 
 program abstracts, file layouts, source listings, object  | 
 modules, load modules, user guides, documentation  | 
 pertaining to all logical and physical design of  | 
 computerized systems, employee manuals, and any other  | 
 information that, if disclosed, would jeopardize the  | 
 security of the system or its data or the security of  | 
 materials exempt under this Section.  | 
  (p) Records relating to collective negotiating matters  | 
 between public bodies and their employees or  | 
 representatives, except that any final contract or  | 
 agreement shall be subject to inspection and copying.  | 
  (q) Test questions, scoring keys, and other  | 
 examination data used to determine the qualifications of  | 
 an applicant for a license or employment.  | 
  (r) The records, documents, and information relating  | 
 to real estate purchase negotiations until those  | 
 negotiations have been completed or otherwise terminated.  | 
 With regard to a parcel involved in a pending or actually  | 
 | 
 and reasonably contemplated eminent domain proceeding  | 
 under the Eminent Domain Act, records, documents, and  | 
 information relating to that parcel shall be exempt except  | 
 as may be allowed under discovery rules adopted by the  | 
 Illinois Supreme Court. The records, documents, and  | 
 information relating to a real estate sale shall be exempt  | 
 until a sale is consummated.  | 
  (s) Any and all proprietary information and records  | 
 related to the operation of an intergovernmental risk  | 
 management association or self-insurance pool or jointly  | 
 self-administered health and accident cooperative or pool.  | 
 Insurance or self-insurance (including any  | 
 intergovernmental risk management association or  | 
 self-insurance pool) claims, loss or risk management  | 
 information, records, data, advice, or communications.  | 
  (t) Information contained in or related to  | 
 examination, operating, or condition reports prepared by,  | 
 on behalf of, or for the use of a public body responsible  | 
 for the regulation or supervision of financial  | 
 institutions, insurance companies, or pharmacy benefit  | 
 managers, unless disclosure is otherwise required by State  | 
 law.  | 
  (u) Information that would disclose or might lead to  | 
 the disclosure of secret or confidential information,  | 
 codes, algorithms, programs, or private keys intended to  | 
 be used to create electronic signatures under the Uniform  | 
 | 
 Electronic Transactions Act.  | 
  (v) Vulnerability assessments, security measures, and  | 
 response policies or plans that are designed to identify,  | 
 prevent, or respond to potential attacks upon a  | 
 community's population or systems, facilities, or  | 
 installations, but only to the extent that disclosure  | 
 could reasonably be expected to expose the vulnerability  | 
 or jeopardize the effectiveness of the measures, policies,  | 
 or plans, or the safety of the personnel who implement  | 
 them or the public. Information exempt under this item may  | 
 include such things as details pertaining to the  | 
 mobilization or deployment of personnel or equipment, to  | 
 the operation of communication systems or protocols, to  | 
 cybersecurity vulnerabilities, or to tactical operations.  | 
  (w) (Blank).  | 
  (x) Maps and other records regarding the location or  | 
 security of generation, transmission, distribution,  | 
 storage, gathering, treatment, or switching facilities  | 
 owned by a utility, by a power generator, or by the  | 
 Illinois Power Agency.  | 
  (y) Information contained in or related to proposals,  | 
 bids, or negotiations related to electric power  | 
 procurement under Section 1-75 of the Illinois Power  | 
 Agency Act and Section 16-111.5 of the Public Utilities  | 
 Act that is determined to be confidential and proprietary  | 
 by the Illinois Power Agency or by the Illinois Commerce  | 
 | 
 Commission.  | 
  (z) Information about students exempted from  | 
 disclosure under Section 10-20.38 or 34-18.29 of the  | 
 School Code, and information about undergraduate students  | 
 enrolled at an institution of higher education exempted  | 
 from disclosure under Section 25 of the Illinois Credit  | 
 Card Marketing Act of 2009.  | 
  (aa) Information the disclosure of which is exempted  | 
 under the Viatical Settlements Act of 2009.  | 
  (bb) Records and information provided to a mortality  | 
 review team and records maintained by a mortality review  | 
 team appointed under the Department of Juvenile Justice  | 
 Mortality Review Team Act.  | 
  (cc) Information regarding interments, entombments, or  | 
 inurnments of human remains that are submitted to the  | 
 Cemetery Oversight Database under the Cemetery Care Act or  | 
 the Cemetery Oversight Act, whichever is applicable. | 
  (dd) Correspondence and records (i) that may not be  | 
 disclosed under Section 11-9 of the Illinois Public Aid  | 
 Code or (ii) that pertain to appeals under Section 11-8 of  | 
 the Illinois Public Aid Code.  | 
  (ee) The names, addresses, or other personal  | 
 information of persons who are minors and are also  | 
 participants and registrants in programs of park  | 
 districts, forest preserve districts, conservation  | 
 districts, recreation agencies, and special recreation  | 
 | 
 associations. | 
  (ff) The names, addresses, or other personal  | 
 information of participants and registrants in programs of  | 
 park districts, forest preserve districts, conservation  | 
 districts, recreation agencies, and special recreation  | 
 associations where such programs are targeted primarily to  | 
 minors. | 
  (gg) Confidential information described in Section  | 
 1-100 of the Illinois Independent Tax Tribunal Act of  | 
 2012.  | 
  (hh) The report submitted to the State Board of  | 
 Education by the School Security and Standards Task Force  | 
 under item (8) of subsection (d) of Section 2-3.160 of the  | 
 School Code and any information contained in that report.  | 
  (ii) Records requested by persons committed to or  | 
 detained by the Department of Human Services under the  | 
 Sexually Violent Persons Commitment Act or committed to  | 
 the Department of Corrections under the Sexually Dangerous  | 
 Persons Act if those materials: (i) are available in the  | 
 library of the facility where the individual is confined;  | 
 (ii) include records from staff members' personnel files,  | 
 staff rosters, or other staffing assignment information;  | 
 or (iii) are available through an administrative request  | 
 to the Department of Human Services or the Department of  | 
 Corrections. | 
  (jj) Confidential information described in Section  | 
 | 
 5-535 of the Civil Administrative Code of Illinois.  | 
  (kk) The public body's credit card numbers, debit card  | 
 numbers, bank account numbers, Federal Employer  | 
 Identification Number, security code numbers, passwords,  | 
 and similar account information, the disclosure of which  | 
 could result in identity theft or impression or defrauding  | 
 of a governmental entity or a person.  | 
  (ll) Records concerning the work of the threat  | 
 assessment team of a school district, including, but not  | 
 limited to, any threat assessment procedure under the  | 
 School Safety Drill Act and any information contained in  | 
 the procedure. | 
  (mm) Information prohibited from being disclosed under  | 
 subsections (a) and (b) of Section 15 of the Student  | 
 Confidential Reporting Act.  | 
  (nn) Proprietary information submitted to the  | 
 Environmental Protection Agency under the Drug Take-Back  | 
 Act.  | 
  (oo) Records described in subsection (f) of Section  | 
 3-5-1 of the Unified Code of Corrections.  | 
  (pp) Any and all information regarding burials,  | 
 interments, or entombments of human remains as required to  | 
 be reported to the Department of Natural Resources  | 
 pursuant either to the Archaeological and Paleontological  | 
 Resources Protection Act or the Human Remains Protection  | 
 Act. | 
 | 
  (qq) (pp) Reports described in subsection (e) of  | 
 Section 16-15 of the Abortion Care Clinical Training  | 
 Program Act.  | 
  (rr) (pp) Information obtained by a certified local  | 
 health department under the Access to Public Health Data  | 
 Act.  | 
  (ss) (pp) For a request directed to a public body that  | 
 is also a HIPAA-covered entity, all information that is  | 
 protected health information, including demographic  | 
 information, that may be contained within or extracted  | 
 from any record held by the public body in compliance with  | 
 State and federal medical privacy laws and regulations,  | 
 including, but not limited to, the Health Insurance  | 
 Portability and Accountability Act and its regulations, 45  | 
 CFR Parts 160 and 164. As used in this paragraph,  | 
 "HIPAA-covered entity" has the meaning given to the term  | 
 "covered entity" in 45 CFR 160.103 and "protected health  | 
 information" has the meaning given to that term in 45 CFR  | 
 160.103.  | 
 (1.5) Any information exempt from disclosure under the  | 
Judicial Privacy Act shall be redacted from public records  | 
prior to disclosure under this Act.  | 
 (2) A public record that is not in the possession of a  | 
public body but is in the possession of a party with whom the  | 
agency has contracted to perform a governmental function on  | 
behalf of the public body, and that directly relates to the  | 
 | 
governmental function and is not otherwise exempt under this  | 
Act, shall be considered a public record of the public body,  | 
for purposes of this Act.  | 
 (3) This Section does not authorize withholding of  | 
information or limit the availability of records to the  | 
public, except as stated in this Section or otherwise provided  | 
in this Act.  | 
(Source: P.A. 102-38, eff. 6-25-21; 102-558, eff. 8-20-21;  | 
102-694, eff. 1-7-22; 102-752, eff. 5-6-22; 102-753, eff.  | 
1-1-23; 102-776, eff. 1-1-23; 102-791, eff. 5-13-22; 102-982,  | 
eff. 7-1-23; 102-1055, eff. 6-10-22; 103-154, eff. 6-30-23;  | 
103-423, eff. 1-1-24; 103-446, eff. 8-4-23; 103-462, eff.  | 
8-4-23; 103-540, eff. 1-1-24; 103-554, eff. 1-1-24; revised  | 
9-7-23.)
 | 
 (5 ILCS 140/7.5) | 
 (Text of Section before amendment by P.A. 103-472) | 
 Sec. 7.5. Statutory exemptions. To the extent provided for  | 
by the statutes referenced below, the following shall be  | 
exempt from inspection and copying: | 
  (a) All information determined to be confidential  | 
 under Section 4002 of the Technology Advancement and  | 
 Development Act. | 
  (b) Library circulation and order records identifying  | 
 library users with specific materials under the Library  | 
 Records Confidentiality Act. | 
 | 
  (c) Applications, related documents, and medical  | 
 records received by the Experimental Organ Transplantation  | 
 Procedures Board and any and all documents or other  | 
 records prepared by the Experimental Organ Transplantation  | 
 Procedures Board or its staff relating to applications it  | 
 has received. | 
  (d) Information and records held by the Department of  | 
 Public Health and its authorized representatives relating  | 
 to known or suspected cases of sexually transmissible  | 
 disease or any information the disclosure of which is  | 
 restricted under the Illinois Sexually Transmissible  | 
 Disease Control Act. | 
  (e) Information the disclosure of which is exempted  | 
 under Section 30 of the Radon Industry Licensing Act. | 
  (f) Firm performance evaluations under Section 55 of  | 
 the Architectural, Engineering, and Land Surveying  | 
 Qualifications Based Selection Act. | 
  (g) Information the disclosure of which is restricted  | 
 and exempted under Section 50 of the Illinois Prepaid  | 
 Tuition Act. | 
  (h) Information the disclosure of which is exempted  | 
 under the State Officials and Employees Ethics Act, and  | 
 records of any lawfully created State or local inspector  | 
 general's office that would be exempt if created or  | 
 obtained by an Executive Inspector General's office under  | 
 that Act. | 
 | 
  (i) Information contained in a local emergency energy  | 
 plan submitted to a municipality in accordance with a  | 
 local emergency energy plan ordinance that is adopted  | 
 under Section 11-21.5-5 of the Illinois Municipal Code. | 
  (j) Information and data concerning the distribution  | 
 of surcharge moneys collected and remitted by carriers  | 
 under the Emergency Telephone System Act. | 
  (k) Law enforcement officer identification information  | 
 or driver identification information compiled by a law  | 
 enforcement agency or the Department of Transportation  | 
 under Section 11-212 of the Illinois Vehicle Code. | 
  (l) Records and information provided to a residential  | 
 health care facility resident sexual assault and death  | 
 review team or the Executive Council under the Abuse  | 
 Prevention Review Team Act. | 
  (m) Information provided to the predatory lending  | 
 database created pursuant to Article 3 of the Residential  | 
 Real Property Disclosure Act, except to the extent  | 
 authorized under that Article. | 
  (n) Defense budgets and petitions for certification of  | 
 compensation and expenses for court appointed trial  | 
 counsel as provided under Sections 10 and 15 of the  | 
 Capital Crimes Litigation Act (repealed). This subsection  | 
 (n) shall apply until the conclusion of the trial of the  | 
 case, even if the prosecution chooses not to pursue the  | 
 death penalty prior to trial or sentencing. | 
 | 
  (o) Information that is prohibited from being  | 
 disclosed under Section 4 of the Illinois Health and  | 
 Hazardous Substances Registry Act. | 
  (p) Security portions of system safety program plans,  | 
 investigation reports, surveys, schedules, lists, data, or  | 
 information compiled, collected, or prepared by or for the  | 
 Department of Transportation under Sections 2705-300 and  | 
 2705-616 of the Department of Transportation Law of the  | 
 Civil Administrative Code of Illinois, the Regional  | 
 Transportation Authority under Section 2.11 of the  | 
 Regional Transportation Authority Act, or the St. Clair  | 
 County Transit District under the Bi-State Transit Safety  | 
 Act (repealed).  | 
  (q) Information prohibited from being disclosed by the  | 
 Personnel Record Review Act.  | 
  (r) Information prohibited from being disclosed by the  | 
 Illinois School Student Records Act.  | 
  (s) Information the disclosure of which is restricted  | 
 under Section 5-108 of the Public Utilities Act.  | 
  (t) (Blank).  | 
  (u) Records and information provided to an independent  | 
 team of experts under the Developmental Disability and  | 
 Mental Health Safety Act (also known as Brian's Law).  | 
  (v) Names and information of people who have applied  | 
 for or received Firearm Owner's Identification Cards under  | 
 the Firearm Owners Identification Card Act or applied for  | 
 | 
 or received a concealed carry license under the Firearm  | 
 Concealed Carry Act, unless otherwise authorized by the  | 
 Firearm Concealed Carry Act; and databases under the  | 
 Firearm Concealed Carry Act, records of the Concealed  | 
 Carry Licensing Review Board under the Firearm Concealed  | 
 Carry Act, and law enforcement agency objections under the  | 
 Firearm Concealed Carry Act.  | 
  (v-5) Records of the Firearm Owner's Identification  | 
 Card Review Board that are exempted from disclosure under  | 
 Section 10 of the Firearm Owners Identification Card Act. | 
  (w) Personally identifiable information which is  | 
 exempted from disclosure under subsection (g) of Section  | 
 19.1 of the Toll Highway Act. | 
  (x) Information which is exempted from disclosure  | 
 under Section 5-1014.3 of the Counties Code or Section  | 
 8-11-21 of the Illinois Municipal Code.  | 
  (y) Confidential information under the Adult  | 
 Protective Services Act and its predecessor enabling  | 
 statute, the Elder Abuse and Neglect Act, including  | 
 information about the identity and administrative finding  | 
 against any caregiver of a verified and substantiated  | 
 decision of abuse, neglect, or financial exploitation of  | 
 an eligible adult maintained in the Registry established  | 
 under Section 7.5 of the Adult Protective Services Act.  | 
  (z) Records and information provided to a fatality  | 
 review team or the Illinois Fatality Review Team Advisory  | 
 | 
 Council under Section 15 of the Adult Protective Services  | 
 Act.  | 
  (aa) Information which is exempted from disclosure  | 
 under Section 2.37 of the Wildlife Code.  | 
  (bb) Information which is or was prohibited from  | 
 disclosure by the Juvenile Court Act of 1987.  | 
  (cc) Recordings made under the Law Enforcement  | 
 Officer-Worn Body Camera Act, except to the extent  | 
 authorized under that Act. | 
  (dd) Information that is prohibited from being  | 
 disclosed under Section 45 of the Condominium and Common  | 
 Interest Community Ombudsperson Act.  | 
  (ee) Information that is exempted from disclosure  | 
 under Section 30.1 of the Pharmacy Practice Act.  | 
  (ff) Information that is exempted from disclosure  | 
 under the Revised Uniform Unclaimed Property Act.  | 
  (gg) Information that is prohibited from being  | 
 disclosed under Section 7-603.5 of the Illinois Vehicle  | 
 Code.  | 
  (hh) Records that are exempt from disclosure under  | 
 Section 1A-16.7 of the Election Code.  | 
  (ii) Information which is exempted from disclosure  | 
 under Section 2505-800 of the Department of Revenue Law of  | 
 the Civil Administrative Code of Illinois.  | 
  (jj) Information and reports that are required to be  | 
 submitted to the Department of Labor by registering day  | 
 | 
 and temporary labor service agencies but are exempt from  | 
 disclosure under subsection (a-1) of Section 45 of the Day  | 
 and Temporary Labor Services Act.  | 
  (kk) Information prohibited from disclosure under the  | 
 Seizure and Forfeiture Reporting Act.  | 
  (ll) Information the disclosure of which is restricted  | 
 and exempted under Section 5-30.8 of the Illinois Public  | 
 Aid Code.  | 
  (mm) Records that are exempt from disclosure under  | 
 Section 4.2 of the Crime Victims Compensation Act.  | 
  (nn) Information that is exempt from disclosure under  | 
 Section 70 of the Higher Education Student Assistance Act.  | 
  (oo) Communications, notes, records, and reports  | 
 arising out of a peer support counseling session  | 
 prohibited from disclosure under the First Responders  | 
 Suicide Prevention Act.  | 
  (pp) Names and all identifying information relating to  | 
 an employee of an emergency services provider or law  | 
 enforcement agency under the First Responders Suicide  | 
 Prevention Act.  | 
  (qq) Information and records held by the Department of  | 
 Public Health and its authorized representatives collected  | 
 under the Reproductive Health Act.  | 
  (rr) Information that is exempt from disclosure under  | 
 the Cannabis Regulation and Tax Act.  | 
  (ss) Data reported by an employer to the Department of  | 
 | 
 Human Rights pursuant to Section 2-108 of the Illinois  | 
 Human Rights Act. | 
  (tt) Recordings made under the Children's Advocacy  | 
 Center Act, except to the extent authorized under that  | 
 Act.  | 
  (uu) Information that is exempt from disclosure under  | 
 Section 50 of the Sexual Assault Evidence Submission Act.  | 
  (vv) Information that is exempt from disclosure under  | 
 subsections (f) and (j) of Section 5-36 of the Illinois  | 
 Public Aid Code.  | 
  (ww) Information that is exempt from disclosure under  | 
 Section 16.8 of the State Treasurer Act.  | 
  (xx) Information that is exempt from disclosure or  | 
 information that shall not be made public under the  | 
 Illinois Insurance Code.  | 
  (yy) Information prohibited from being disclosed under  | 
 the Illinois Educational Labor Relations Act. | 
  (zz) Information prohibited from being disclosed under  | 
 the Illinois Public Labor Relations Act.  | 
  (aaa) Information prohibited from being disclosed  | 
 under Section 1-167 of the Illinois Pension Code.  | 
  (bbb) Information that is prohibited from disclosure  | 
 by the Illinois Police Training Act and the Illinois State  | 
 Police Act.  | 
  (ccc) Records exempt from disclosure under Section  | 
 2605-304 of the Illinois State Police Law of the Civil  | 
 | 
 Administrative Code of Illinois.  | 
  (ddd) Information prohibited from being disclosed  | 
 under Section 35 of the Address Confidentiality for  | 
 Victims of Domestic Violence, Sexual Assault, Human  | 
 Trafficking, or Stalking Act.  | 
  (eee) Information prohibited from being disclosed  | 
 under subsection (b) of Section 75 of the Domestic  | 
 Violence Fatality Review Act.  | 
  (fff) Images from cameras under the Expressway Camera  | 
 Act. This subsection (fff) is inoperative on and after  | 
 July 1, 2025.  | 
  (ggg) Information prohibited from disclosure under  | 
 paragraph (3) of subsection (a) of Section 14 of the Nurse  | 
 Agency Licensing Act.  | 
  (hhh) Information submitted to the Illinois State  | 
 Police in an affidavit or application for an assault  | 
 weapon endorsement, assault weapon attachment endorsement,  | 
 .50 caliber rifle endorsement, or .50 caliber cartridge  | 
 endorsement under the Firearm Owners Identification Card  | 
 Act.  | 
  (iii) Data exempt from disclosure under Section 50 of  | 
 the School Safety Drill Act.  | 
  (jjj) (hhh) Information exempt from disclosure under  | 
 Section 30 of the Insurance Data Security Law.  | 
  (kkk) (iii) Confidential business information  | 
 prohibited from disclosure under Section 45 of the Paint  | 
 | 
 Stewardship Act.  | 
  (lll) (Reserved).  | 
  (mmm) (iii) Information prohibited from being  | 
 disclosed under subsection (e) of Section 1-129 of the  | 
 Illinois Power Agency Act.  | 
(Source: P.A. 102-36, eff. 6-25-21; 102-237, eff. 1-1-22;  | 
102-292, eff. 1-1-22; 102-520, eff. 8-20-21; 102-559, eff.  | 
8-20-21; 102-813, eff. 5-13-22; 102-946, eff. 7-1-22;  | 
102-1042, eff. 6-3-22; 102-1116, eff. 1-10-23; 103-8, eff.  | 
6-7-23; 103-34, eff. 6-9-23; 103-142, eff. 1-1-24; 103-372,  | 
eff. 1-1-24; 103-508, eff. 8-4-23; 103-580, eff. 12-8-23;  | 
revised 1-2-24.)
 | 
 (Text of Section after amendment by P.A. 103-472) | 
 Sec. 7.5. Statutory exemptions. To the extent provided for  | 
by the statutes referenced below, the following shall be  | 
exempt from inspection and copying: | 
  (a) All information determined to be confidential  | 
 under Section 4002 of the Technology Advancement and  | 
 Development Act. | 
  (b) Library circulation and order records identifying  | 
 library users with specific materials under the Library  | 
 Records Confidentiality Act. | 
  (c) Applications, related documents, and medical  | 
 records received by the Experimental Organ Transplantation  | 
 Procedures Board and any and all documents or other  | 
 | 
 records prepared by the Experimental Organ Transplantation  | 
 Procedures Board or its staff relating to applications it  | 
 has received. | 
  (d) Information and records held by the Department of  | 
 Public Health and its authorized representatives relating  | 
 to known or suspected cases of sexually transmissible  | 
 disease or any information the disclosure of which is  | 
 restricted under the Illinois Sexually Transmissible  | 
 Disease Control Act. | 
  (e) Information the disclosure of which is exempted  | 
 under Section 30 of the Radon Industry Licensing Act. | 
  (f) Firm performance evaluations under Section 55 of  | 
 the Architectural, Engineering, and Land Surveying  | 
 Qualifications Based Selection Act. | 
  (g) Information the disclosure of which is restricted  | 
 and exempted under Section 50 of the Illinois Prepaid  | 
 Tuition Act. | 
  (h) Information the disclosure of which is exempted  | 
 under the State Officials and Employees Ethics Act, and  | 
 records of any lawfully created State or local inspector  | 
 general's office that would be exempt if created or  | 
 obtained by an Executive Inspector General's office under  | 
 that Act. | 
  (i) Information contained in a local emergency energy  | 
 plan submitted to a municipality in accordance with a  | 
 local emergency energy plan ordinance that is adopted  | 
 | 
 under Section 11-21.5-5 of the Illinois Municipal Code. | 
  (j) Information and data concerning the distribution  | 
 of surcharge moneys collected and remitted by carriers  | 
 under the Emergency Telephone System Act. | 
  (k) Law enforcement officer identification information  | 
 or driver identification information compiled by a law  | 
 enforcement agency or the Department of Transportation  | 
 under Section 11-212 of the Illinois Vehicle Code. | 
  (l) Records and information provided to a residential  | 
 health care facility resident sexual assault and death  | 
 review team or the Executive Council under the Abuse  | 
 Prevention Review Team Act. | 
  (m) Information provided to the predatory lending  | 
 database created pursuant to Article 3 of the Residential  | 
 Real Property Disclosure Act, except to the extent  | 
 authorized under that Article. | 
  (n) Defense budgets and petitions for certification of  | 
 compensation and expenses for court appointed trial  | 
 counsel as provided under Sections 10 and 15 of the  | 
 Capital Crimes Litigation Act (repealed). This subsection  | 
 (n) shall apply until the conclusion of the trial of the  | 
 case, even if the prosecution chooses not to pursue the  | 
 death penalty prior to trial or sentencing. | 
  (o) Information that is prohibited from being  | 
 disclosed under Section 4 of the Illinois Health and  | 
 Hazardous Substances Registry Act. | 
 | 
  (p) Security portions of system safety program plans,  | 
 investigation reports, surveys, schedules, lists, data, or  | 
 information compiled, collected, or prepared by or for the  | 
 Department of Transportation under Sections 2705-300 and  | 
 2705-616 of the Department of Transportation Law of the  | 
 Civil Administrative Code of Illinois, the Regional  | 
 Transportation Authority under Section 2.11 of the  | 
 Regional Transportation Authority Act, or the St. Clair  | 
 County Transit District under the Bi-State Transit Safety  | 
 Act (repealed).  | 
  (q) Information prohibited from being disclosed by the  | 
 Personnel Record Review Act.  | 
  (r) Information prohibited from being disclosed by the  | 
 Illinois School Student Records Act.  | 
  (s) Information the disclosure of which is restricted  | 
 under Section 5-108 of the Public Utilities Act.  | 
  (t) (Blank).  | 
  (u) Records and information provided to an independent  | 
 team of experts under the Developmental Disability and  | 
 Mental Health Safety Act (also known as Brian's Law).  | 
  (v) Names and information of people who have applied  | 
 for or received Firearm Owner's Identification Cards under  | 
 the Firearm Owners Identification Card Act or applied for  | 
 or received a concealed carry license under the Firearm  | 
 Concealed Carry Act, unless otherwise authorized by the  | 
 Firearm Concealed Carry Act; and databases under the  | 
 | 
 Firearm Concealed Carry Act, records of the Concealed  | 
 Carry Licensing Review Board under the Firearm Concealed  | 
 Carry Act, and law enforcement agency objections under the  | 
 Firearm Concealed Carry Act.  | 
  (v-5) Records of the Firearm Owner's Identification  | 
 Card Review Board that are exempted from disclosure under  | 
 Section 10 of the Firearm Owners Identification Card Act. | 
  (w) Personally identifiable information which is  | 
 exempted from disclosure under subsection (g) of Section  | 
 19.1 of the Toll Highway Act. | 
  (x) Information which is exempted from disclosure  | 
 under Section 5-1014.3 of the Counties Code or Section  | 
 8-11-21 of the Illinois Municipal Code.  | 
  (y) Confidential information under the Adult  | 
 Protective Services Act and its predecessor enabling  | 
 statute, the Elder Abuse and Neglect Act, including  | 
 information about the identity and administrative finding  | 
 against any caregiver of a verified and substantiated  | 
 decision of abuse, neglect, or financial exploitation of  | 
 an eligible adult maintained in the Registry established  | 
 under Section 7.5 of the Adult Protective Services Act.  | 
  (z) Records and information provided to a fatality  | 
 review team or the Illinois Fatality Review Team Advisory  | 
 Council under Section 15 of the Adult Protective Services  | 
 Act.  | 
  (aa) Information which is exempted from disclosure  | 
 | 
 under Section 2.37 of the Wildlife Code.  | 
  (bb) Information which is or was prohibited from  | 
 disclosure by the Juvenile Court Act of 1987.  | 
  (cc) Recordings made under the Law Enforcement  | 
 Officer-Worn Body Camera Act, except to the extent  | 
 authorized under that Act. | 
  (dd) Information that is prohibited from being  | 
 disclosed under Section 45 of the Condominium and Common  | 
 Interest Community Ombudsperson Act.  | 
  (ee) Information that is exempted from disclosure  | 
 under Section 30.1 of the Pharmacy Practice Act.  | 
  (ff) Information that is exempted from disclosure  | 
 under the Revised Uniform Unclaimed Property Act.  | 
  (gg) Information that is prohibited from being  | 
 disclosed under Section 7-603.5 of the Illinois Vehicle  | 
 Code.  | 
  (hh) Records that are exempt from disclosure under  | 
 Section 1A-16.7 of the Election Code.  | 
  (ii) Information which is exempted from disclosure  | 
 under Section 2505-800 of the Department of Revenue Law of  | 
 the Civil Administrative Code of Illinois.  | 
  (jj) Information and reports that are required to be  | 
 submitted to the Department of Labor by registering day  | 
 and temporary labor service agencies but are exempt from  | 
 disclosure under subsection (a-1) of Section 45 of the Day  | 
 and Temporary Labor Services Act.  | 
 | 
  (kk) Information prohibited from disclosure under the  | 
 Seizure and Forfeiture Reporting Act.  | 
  (ll) Information the disclosure of which is restricted  | 
 and exempted under Section 5-30.8 of the Illinois Public  | 
 Aid Code.  | 
  (mm) Records that are exempt from disclosure under  | 
 Section 4.2 of the Crime Victims Compensation Act.  | 
  (nn) Information that is exempt from disclosure under  | 
 Section 70 of the Higher Education Student Assistance Act.  | 
  (oo) Communications, notes, records, and reports  | 
 arising out of a peer support counseling session  | 
 prohibited from disclosure under the First Responders  | 
 Suicide Prevention Act.  | 
  (pp) Names and all identifying information relating to  | 
 an employee of an emergency services provider or law  | 
 enforcement agency under the First Responders Suicide  | 
 Prevention Act.  | 
  (qq) Information and records held by the Department of  | 
 Public Health and its authorized representatives collected  | 
 under the Reproductive Health Act.  | 
  (rr) Information that is exempt from disclosure under  | 
 the Cannabis Regulation and Tax Act.  | 
  (ss) Data reported by an employer to the Department of  | 
 Human Rights pursuant to Section 2-108 of the Illinois  | 
 Human Rights Act. | 
  (tt) Recordings made under the Children's Advocacy  | 
 | 
 Center Act, except to the extent authorized under that  | 
 Act.  | 
  (uu) Information that is exempt from disclosure under  | 
 Section 50 of the Sexual Assault Evidence Submission Act.  | 
  (vv) Information that is exempt from disclosure under  | 
 subsections (f) and (j) of Section 5-36 of the Illinois  | 
 Public Aid Code.  | 
  (ww) Information that is exempt from disclosure under  | 
 Section 16.8 of the State Treasurer Act.  | 
  (xx) Information that is exempt from disclosure or  | 
 information that shall not be made public under the  | 
 Illinois Insurance Code.  | 
  (yy) Information prohibited from being disclosed under  | 
 the Illinois Educational Labor Relations Act. | 
  (zz) Information prohibited from being disclosed under  | 
 the Illinois Public Labor Relations Act.  | 
  (aaa) Information prohibited from being disclosed  | 
 under Section 1-167 of the Illinois Pension Code.  | 
  (bbb) Information that is prohibited from disclosure  | 
 by the Illinois Police Training Act and the Illinois State  | 
 Police Act.  | 
  (ccc) Records exempt from disclosure under Section  | 
 2605-304 of the Illinois State Police Law of the Civil  | 
 Administrative Code of Illinois.  | 
  (ddd) Information prohibited from being disclosed  | 
 under Section 35 of the Address Confidentiality for  | 
 | 
 Victims of Domestic Violence, Sexual Assault, Human  | 
 Trafficking, or Stalking Act.  | 
  (eee) Information prohibited from being disclosed  | 
 under subsection (b) of Section 75 of the Domestic  | 
 Violence Fatality Review Act.  | 
  (fff) Images from cameras under the Expressway Camera  | 
 Act. This subsection (fff) is inoperative on and after  | 
 July 1, 2025.  | 
  (ggg) Information prohibited from disclosure under  | 
 paragraph (3) of subsection (a) of Section 14 of the Nurse  | 
 Agency Licensing Act.  | 
  (hhh) Information submitted to the Illinois State  | 
 Police in an affidavit or application for an assault  | 
 weapon endorsement, assault weapon attachment endorsement,  | 
 .50 caliber rifle endorsement, or .50 caliber cartridge  | 
 endorsement under the Firearm Owners Identification Card  | 
 Act.  | 
  (iii) Data exempt from disclosure under Section 50 of  | 
 the School Safety Drill Act.  | 
  (jjj) (hhh) Information exempt from disclosure under  | 
 Section 30 of the Insurance Data Security Law.  | 
  (kkk) (iii) Confidential business information  | 
 prohibited from disclosure under Section 45 of the Paint  | 
 Stewardship Act.  | 
  (lll) (iii) Data exempt from disclosure under Section  | 
 2-3.196 of the School Code.  | 
 | 
  (mmm) (iii) Information prohibited from being  | 
 disclosed under subsection (e) of Section 1-129 of the  | 
 Illinois Power Agency Act.  | 
(Source: P.A. 102-36, eff. 6-25-21; 102-237, eff. 1-1-22;  | 
102-292, eff. 1-1-22; 102-520, eff. 8-20-21; 102-559, eff.  | 
8-20-21; 102-813, eff. 5-13-22; 102-946, eff. 7-1-22;  | 
102-1042, eff. 6-3-22; 102-1116, eff. 1-10-23; 103-8, eff.  | 
6-7-23; 103-34, eff. 6-9-23; 103-142, eff. 1-1-24; 103-372,  | 
eff. 1-1-24; 103-472, eff. 8-1-24; 103-508, eff. 8-4-23;  | 
103-580, eff. 12-8-23; revised 1-2-24.)
 | 
 Section 20. The Consular Identification Document Act is  | 
amended by changing Section 10 as follows:
 | 
 (5 ILCS 230/10) | 
 (Text of Section before amendment by P.A. 103-210) | 
 Sec. 10. Acceptance of consular identification document.  | 
 (a) When requiring members of the public to provide  | 
identification, each State agency and officer and unit of  | 
local government shall accept a consular identification  | 
document as valid identification of a person.  | 
 (b) A consular identification document shall be accepted  | 
for purposes of identification only and does not convey an  | 
independent right to receive benefits of any type. | 
 (c) A consular identification document may not be accepted  | 
as identification for obtaining a driver's license, other than  | 
 | 
a temporary visitor's driver's license, or registering to  | 
vote. | 
 (d) A consular identification document does not establish  | 
or indicate lawful U.S. immigration status and may not be  | 
viewed as valid for that purpose, nor does a consular  | 
identification document establish a foreign national's right  | 
to be in the United States or remain in the United States.  | 
 (e) The requirements of subsection (a) do not apply if: | 
  (1) a federal law, regulation, or directive or a  | 
 federal court decision requires a State agency or officer  | 
 or a unit of local government to obtain different  | 
 identification; | 
  (2) a federal law, regulation, or directive preempts  | 
 state regulation of identification requirements; or | 
  (3) a State agency or officer or a unit of local  | 
 government would be unable to comply with a condition  | 
 imposed by a funding source which would cause the State  | 
 agency or officer or unit of local government to lose  | 
 funds from that source.  | 
 (f) Nothing in subsection (a) shall be construed to  | 
prohibit a State agency or officer or a unit of local  | 
government from: | 
  (1) requiring additional information from persons in  | 
 order to verify a current address or other facts that  | 
 would enable the State agency or officer or unit of local  | 
 government to fulfill its responsibilities, except that  | 
 | 
 this paragraph (1) does not permit a State agency or  | 
 officer or a unit of local government to require  | 
 additional information solely in order to establish  | 
 identification of the person when the consular  | 
 identification document is the form of identification  | 
 presented; | 
  (2) requiring fingerprints for identification purposes  | 
 under circumstances where the State agency or officer or  | 
 unit of local government also requires fingerprints from  | 
 persons who have a driver's license or Illinois  | 
 Identification Card; or  | 
  (3) requiring additional evidence of identification if  | 
 the State agency or officer or unit of local government  | 
 reasonably believes that: (A) the consular identification  | 
 document is forged, fraudulent, or altered; or (B) the  | 
 holder does not appear to be the same person on the  | 
 consular identification document. | 
(Source: P.A. 97-1157, eff. 11-28-13.)
 | 
 (Text of Section after amendment by P.A. 103-210) | 
 Sec. 10. Acceptance of consular identification document.  | 
 (a) When requiring members of the public to provide  | 
identification, each State agency and officer and unit of  | 
local government shall accept a consular identification  | 
document as valid identification of a person.  | 
 (b) A consular identification document shall be accepted  | 
 | 
for purposes of identification only and does not convey an  | 
independent right to receive benefits of any type. | 
 (c) A consular identification document may not be accepted  | 
as identification for obtaining a REAL ID compliant driver's  | 
license, as defined by Section 6-100 of the Illinois Vehicle  | 
Code, or registering to vote. | 
 (d) A consular identification document does not establish  | 
or indicate lawful U.S. immigration status and may not be  | 
viewed as valid for that purpose, nor does a consular  | 
identification document establish a foreign national's right  | 
to be in the United States or remain in the United States.  | 
 (e) The requirements of subsection (a) do not apply if: | 
  (1) a federal law, regulation, or directive or a  | 
 federal court decision requires a State agency or officer  | 
 or a unit of local government to obtain different  | 
 identification; | 
  (2) a federal law, regulation, or directive preempts  | 
 state regulation of identification requirements; or | 
  (3) a State agency or officer or a unit of local  | 
 government would be unable to comply with a condition  | 
 imposed by a funding source which would cause the State  | 
 agency or officer or unit of local government to lose  | 
 funds from that source.  | 
 (f) Nothing in subsection (a) shall be construed to  | 
prohibit a State agency or officer or a unit of local  | 
government from: | 
 | 
  (1) requiring additional information from persons in  | 
 order to verify a current address or other facts that  | 
 would enable the State agency or officer or unit of local  | 
 government to fulfill its responsibilities, except that  | 
 this paragraph (1) does not permit a State agency or  | 
 officer or a unit of local government to require  | 
 additional information solely in order to establish  | 
 identification of the person when the consular  | 
 identification document is the form of identification  | 
 presented; | 
  (2) requiring fingerprints for identification purposes  | 
 under circumstances where the State agency or officer or  | 
 unit of local government also requires fingerprints from  | 
 persons who have a driver's license or Illinois  | 
 Identification Card; or | 
  (3) requiring additional evidence of identification if  | 
 the State agency or officer or unit of local government  | 
 reasonably believes that: (A) the consular identification  | 
 document is forged, fraudulent, or altered; or (B) the  | 
 holder does not appear to be the same person on the  | 
 consular identification document. | 
(Source: P.A. 103-210, eff. 7-1-24; revised 9-25-23.)
 | 
 Section 25. The State Employees Group Insurance Act of  | 
1971 is amended by changing Section 6.11 as follows:
 | 
 | 
 (5 ILCS 375/6.11) | 
 Sec. 6.11. Required health benefits; Illinois Insurance  | 
Code requirements. The program of health benefits shall  | 
provide the post-mastectomy care benefits required to be  | 
covered by a policy of accident and health insurance under  | 
Section 356t of the Illinois Insurance Code. The program of  | 
health benefits shall provide the coverage required under  | 
Sections 356g, 356g.5, 356g.5-1, 356m, 356q, 356u, 356w, 356x,  | 
356z.2, 356z.4, 356z.4a, 356z.6, 356z.8, 356z.9, 356z.10,  | 
356z.11, 356z.12, 356z.13, 356z.14, 356z.15, 356z.17, 356z.22,  | 
356z.25, 356z.26, 356z.29, 356z.30a, 356z.32, 356z.33,  | 
356z.36, 356z.40, 356z.41, 356z.45, 356z.46, 356z.47, 356z.51,  | 
356z.53, 356z.54, 356z.55, 356z.56, 356z.57, 356z.59, 356z.60,  | 
and 356z.61, and 356z.62, 356z.64, 356z.67, 356z.68, and  | 
356z.70 of the Illinois Insurance Code. The program of health  | 
benefits must comply with Sections 155.22a, 155.37, 355b,  | 
356z.19, 370c, and 370c.1 and Article XXXIIB of the Illinois  | 
Insurance Code. The program of health benefits shall provide  | 
the coverage required under Section 356m of the Illinois  | 
Insurance Code and, for the employees of the State Employee  | 
Group Insurance Program only, the coverage as also provided in  | 
Section 6.11B of this Act. The Department of Insurance shall  | 
enforce the requirements of this Section with respect to  | 
Sections 370c and 370c.1 of the Illinois Insurance Code; all  | 
other requirements of this Section shall be enforced by the  | 
Department of Central Management Services. | 
 | 
 Rulemaking authority to implement Public Act 95-1045, if  | 
any, is conditioned on the rules being adopted in accordance  | 
with all provisions of the Illinois Administrative Procedure  | 
Act and all rules and procedures of the Joint Committee on  | 
Administrative Rules; any purported rule not so adopted, for  | 
whatever reason, is unauthorized.  | 
(Source: P.A. 102-30, eff. 1-1-22; 102-103, eff. 1-1-22;  | 
102-203, eff. 1-1-22; 102-306, eff. 1-1-22; 102-642, eff.  | 
1-1-22; 102-665, eff. 10-8-21; 102-731, eff. 1-1-23; 102-768,  | 
eff. 1-1-24; 102-804, eff. 1-1-23; 102-813, eff. 5-13-22;  | 
102-816, eff. 1-1-23; 102-860, eff. 1-1-23; 102-1093, eff.  | 
1-1-23; 102-1117, eff. 1-13-23; 103-8, eff. 1-1-24; 103-84,  | 
eff. 1-1-24; 103-91, eff. 1-1-24; 103-420, eff. 1-1-24;  | 
103-445, eff. 1-1-24; 103-535, eff. 8-11-23; 103-551, eff.  | 
8-11-23; revised 8-29-23.)
 | 
 Section 30. The Seizure and Forfeiture Reporting Act is  | 
amended by changing Section 5 as follows:
 | 
 (5 ILCS 810/5) | 
 Sec. 5. Applicability. This Act is applicable to property  | 
seized or forfeited under the following provisions of law: | 
  (1) Section 3.23 of the Illinois Food, Drug and  | 
 Cosmetic Act; | 
  (2) Section 44.1 of the Environmental Protection Act; | 
  (3) Section 105-55 of the Herptiles-Herps Act; | 
 | 
  (4) Section 1-215 of the Fish and Aquatic Life Code; | 
  (5) Section 1.25 of the Wildlife Code; | 
  (6) Section 17-10.6 of the Criminal Code of 2012  | 
 (financial institution fraud); | 
  (7) Section 28-5 of the Criminal Code of 2012  | 
 (gambling); | 
  (8) Article 29B of the Criminal Code of 2012 (money  | 
 laundering); | 
  (9) Article 33G of the Criminal Code of 2012 (Illinois  | 
 Street Gang and Racketeer Influenced And Corrupt  | 
 Organizations Law); | 
  (10) Article 36 of the Criminal Code of 2012 (seizure  | 
 and forfeiture of vessels, vehicles, and aircraft); | 
  (11) Section 47-15 of the Criminal Code of 2012  | 
 (dumping garbage upon real property); | 
  (12) Article 124B of the Code of Criminal Procedure of  | 
 1963 (forfeiture); | 
  (13) the Drug Asset Forfeiture Procedure Act; | 
  (14) the Narcotics Profit Forfeiture Act; | 
  (15) the Illinois Streetgang Terrorism Omnibus  | 
 Prevention Act; | 
  (16) the Illinois Securities Law of 1953; and | 
  (17) the Archaeological and Paleontological Resources  | 
 Protection Act; and | 
  (18) the Human Remains Protection Act; and .  | 
  (19) (17) Section 16 of the Timber Buyers Licensing  | 
 | 
 Act.  | 
(Source: P.A. 102-558, eff. 8-20-21; 103-218, eff. 1-1-24;  | 
103-446, eff. 8-4-23; revised 12-12-23.)
 | 
 Section 32. The First Responders Suicide Prevention Act is  | 
amended by changing Section 40 as follows:
 | 
 (5 ILCS 840/40) | 
 Sec. 40. Task Force recommendations. | 
 (a) Task Force members shall recommend that agencies and  | 
organizations guarantee access to mental health and wellness  | 
services, including, but not limited to, peer support programs  | 
and providing ongoing education related to the ever-evolving  | 
concept of mental health wellness. These recommendations could  | 
be accomplished by: | 
  (1) Revising agencies' and organizations' employee  | 
 assistance programs (EAPs). | 
  (2) Urging health care providers to replace outdated  | 
 healthcare plans and include more progressive options  | 
 catering to the needs and disproportionate risks  | 
 shouldered by our first responders. | 
  (3) Allocating funding or resources for public service  | 
 announcements (PSA) and messaging campaigns aimed at  | 
 raising awareness of available assistance options. | 
  (4) Encouraging agencies and organizations to attach  | 
 lists of all available resources to training manuals and  | 
 | 
 continuing education requirements.  | 
 (b) Task Force members shall recommend agencies and  | 
organizations sponsor or facilitate first responders with  | 
specialized training in the areas of psychological fitness,  | 
depressive disorders, early detection, and mitigation best  | 
practices. Such trainings could be accomplished by: | 
  (1) Assigning, appointing, or designating one member  | 
 of an agency or organization to attend specialized  | 
 training(s) sponsored by an accredited agency,  | 
 association, or organization recognized in their fields of  | 
 study. | 
  (2) Seeking sponsorships or conducting fund-raisers,  | 
 to host annual or semiannual on-site visits from qualified  | 
 clinicians or physicians to provide early detection  | 
 training techniques, or to provide regular access to  | 
 mental health professionals. | 
  (3) Requiring a minimum number of hours of disorders  | 
 and wellness training be incorporated into reoccurring,  | 
 annual or biannual training standards, examinations, and  | 
 curriculums, taking into close consideration respective  | 
 agency or organization size, frequency, and number of all  | 
 current federal and state mandatory examinations and  | 
 trainings expected respectively. | 
  (4) Not underestimating the crucial importance of a  | 
 balanced diet, sleep, mindfulness-based stress reduction  | 
 techniques, moderate and vigorous intensity activities,  | 
 | 
 and recreational hobbies, which have been scientifically  | 
 proven to play a major role in brain health and mental  | 
 wellness.  | 
 (c) Task Force members shall recommend that administrators  | 
and leadership personnel solicit training services from  | 
evidence-based, data driven organizations. Organizations with  | 
personnel trained on the analytical review and interpretation  | 
of specific fields related to the nature of first responders'  | 
exploits, such as PTSD, substance abuse, chronic state of  | 
duress. Task Force members shall further recommend funding for  | 
expansion and messaging campaigns of preliminary  | 
self-diagnosing technologies like the one described above.  | 
These objectives could be met by: | 
  (1) Contacting an accredited agency, association, or  | 
 organization recognized in the field or fields of specific  | 
 study. Unbeknownst to the majority, many of the agencies  | 
 and organizations listed above receive grants and  | 
 allocations to assist communities with the very issues  | 
 being discussed in this Section. | 
  (2) Normalizing help-seeking behaviors for both first  | 
 responders and their families through regular messaging  | 
 and peer support outreach, beginning with academy  | 
 curricula and continuing education throughout individuals'  | 
 careers. | 
  (3) Funding and implementing PSA campaigns that  | 
 provide clear and concise calls to action about mental  | 
 | 
 health and wellness, resiliency, help-seeking, treatment,  | 
 and recovery. | 
  (4) Promoting and raising awareness of not-for-profit  | 
 organizations currently available to assist individuals in  | 
 search of care and treatment. Organizations have intuitive  | 
 user-friendly sites, most of which have mobile  | 
 applications, so first responders can access at a moment's  | 
 notice. However, because of limited funds, these  | 
 organizations have a challenging time of getting the word  | 
 out there about their existence. | 
  (5) Expanding Family and Medical Leave Act protections  | 
 for individuals voluntarily seeking preventative  | 
 treatment. | 
  (6) Promoting and ensuring complete patient  | 
 confidentiality protections.  | 
 (d) Task Force members shall recommend that agencies and  | 
organizations incorporate the following training components  | 
into already existing modules and educational curriculums.  | 
Doing so could be done by: | 
  (1) Bolstering academy and school curricula by  | 
 requiring depressive disorder training catered to PTSD,  | 
 substance abuse, and early detection techniques training,  | 
 taking into close consideration respective agency or  | 
 organization size, and the frequency and number of all  | 
 current federal and state mandatory examinations and  | 
 trainings expected respectively. | 
 | 
  (2) Continuing to allocate or match federal and state  | 
 funds to maintain Mobile Training Units (MTUs).  | 
  (3) Incorporating a state certificate for peer support  | 
 training into already existing exiting statewide  | 
 curriculums and mandatory examinations, annual State Fire  | 
 Marshal examinations, and physical fitness examinations.  | 
 The subject matter of the certificate should have an  | 
 emphasis on mental health and wellness, as well as  | 
 familiarization with topics ranging from clinical social  | 
 work, clinical psychology, clinical behaviorist, and  | 
 clinical psychiatry. | 
  (4) Incorporating and performing statewide mental  | 
 health check-ins during the same times as already mandated  | 
 trainings. These checks are not to be compared or used as  | 
 measures of fitness for duty evaluations or structured  | 
 psychological examinations. | 
  (5) Recommending comprehensive and evidence-based  | 
 training on the importance of preventative measures on the  | 
 topics of sleep, nutrition, mindfulness, and physical  | 
 movement. | 
  (6) Law enforcement agencies should provide training  | 
 on the Firearm Owner's Identification Card Act, including  | 
 seeking relief from the Illinois State Police under  | 
 Section 10 of the Firearm Owners Identification Card Act  | 
 and a FOID card being a continued condition of employment  | 
 under Section 7.2 of the Uniform Peace Officers'  | 
 | 
 Disciplinary Act.  | 
(Source: P.A. 102-352, eff. 6-1-22; 103-154, eff. 6-30-23;  | 
revised 1-20-24.)
 | 
 Section 35. The Election Code is amended by changing  | 
Sections 1A-8, 1A-16.1, and 24B-9.1 as follows:
 | 
 (10 ILCS 5/1A-8) (from Ch. 46, par. 1A-8) | 
 Sec. 1A-8. The State Board of Elections shall exercise the  | 
following powers and perform the following duties in addition  | 
to any powers or duties otherwise provided for by law: | 
  (1) Assume all duties and responsibilities of the  | 
 State Electoral Board and the Secretary of State as  | 
 heretofore provided in this Code; | 
  (2) Disseminate information to and consult with  | 
 election authorities concerning the conduct of elections  | 
 and registration in accordance with the laws of this State  | 
 and the laws of the United States; | 
  (3) Furnish to each election authority prior to each  | 
 primary and general election and any other election it  | 
 deems necessary, a manual of uniform instructions  | 
 consistent with the provisions of this Code which shall be  | 
 used by election authorities in the preparation of the  | 
 official manual of instruction to be used by the judges of  | 
 election in any such election. In preparing such manual,  | 
 the State Board shall consult with representatives of the  | 
 | 
 election authorities throughout the State. The State Board  | 
 may provide separate portions of the uniform instructions  | 
 applicable to different election jurisdictions which  | 
 administer elections under different options provided by  | 
 law. The State Board may by regulation require particular  | 
 portions of the uniform instructions to be included in any  | 
 official manual of instructions published by election  | 
 authorities. Any manual of instructions published by any  | 
 election authority shall be identical with the manual of  | 
 uniform instructions issued by the Board, but may be  | 
 adapted by the election authority to accommodate special  | 
 or unusual local election problems, provided that all  | 
 manuals published by election authorities must be  | 
 consistent with the provisions of this Code in all  | 
 respects and must receive the approval of the State Board  | 
 of Elections prior to publication; provided further that  | 
 if the State Board does not approve or disapprove of a  | 
 proposed manual within 60 days of its submission, the  | 
 manual shall be deemed approved; . | 
  (4) Prescribe and require the use of such uniform  | 
 forms, notices, and other supplies not inconsistent with  | 
 the provisions of this Code as it shall deem advisable  | 
 which shall be used by election authorities in the conduct  | 
 of elections and registrations; | 
  (5) Prepare and certify the form of ballot for any  | 
 proposed amendment to the Constitution of the State of  | 
 | 
 Illinois, or any referendum to be submitted to the  | 
 electors throughout the State or, when required to do so  | 
 by law, to the voters of any area or unit of local  | 
 government of the State; | 
  (6) Require such statistical reports regarding the  | 
 conduct of elections and registration from election  | 
 authorities as may be deemed necessary; | 
  (7) Review and inspect procedures and records relating  | 
 to conduct of elections and registration as may be deemed  | 
 necessary, and to report violations of election laws to  | 
 the appropriate State's Attorney or the Attorney General; | 
  (8) Recommend to the General Assembly legislation to  | 
 improve the administration of elections and registration; | 
  (9) Adopt, amend or rescind rules and regulations in  | 
 the performance of its duties provided that all such rules  | 
 and regulations must be consistent with the provisions of  | 
 this Article 1A or issued pursuant to authority otherwise  | 
 provided by law; | 
  (10) Determine the validity and sufficiency of  | 
 petitions filed under Article XIV, Section 3, of the  | 
 Constitution of the State of Illinois of 1970; | 
  (11) Maintain in its principal office a research  | 
 library that includes, but is not limited to, abstracts of  | 
 votes by precinct for general primary elections and  | 
 general elections, current precinct maps, and current  | 
 precinct poll lists from all election jurisdictions within  | 
 | 
 the State. The research library shall be open to the  | 
 public during regular business hours. Such abstracts,  | 
 maps, and lists shall be preserved as permanent records  | 
 and shall be available for examination and copying at a  | 
 reasonable cost; | 
  (12) Supervise the administration of the registration  | 
 and election laws throughout the State; | 
  (13) Obtain from the Department of Central Management  | 
 Services, under Section 405-250 of the Department of  | 
 Central Management Services Law (20 ILCS 405/405-250),  | 
 such use of electronic data processing equipment as may be  | 
 required to perform the duties of the State Board of  | 
 Elections and to provide election-related information to  | 
 candidates, public and party officials, interested civic  | 
 organizations, and the general public in a timely and  | 
 efficient manner; | 
  (14) To take such action as may be necessary or  | 
 required to give effect to directions of the national  | 
 committee or State central committee of an established  | 
 political party under Sections 7-8, 7-11, and 7-14.1 or  | 
 such other provisions as may be applicable pertaining to  | 
 the selection of delegates and alternate delegates to an  | 
 established political party's national nominating  | 
 conventions or, notwithstanding any candidate  | 
 certification schedule contained within this Code, the  | 
 certification of the Presidential and Vice Presidential  | 
 | 
 candidate selected by the established political party's  | 
 national nominating convention; | 
  (15) To post all early voting sites separated by  | 
 election authority and hours of operation on its website  | 
 at least 5 business days before the period for early  | 
 voting begins;  | 
  (16) To post on its website the statewide totals, and  | 
 totals separated by each election authority, for each of  | 
 the counts received pursuant to Section 1-9.2; and  | 
  (17) To post on its website, in a downloadable format,  | 
 the information received from each election authority  | 
 under Section 1-17.  | 
 The Board may by regulation delegate any of its duties or  | 
functions under this Article, except that final determinations  | 
and orders under this Article shall be issued only by the  | 
Board. | 
 The requirement for reporting to the General Assembly  | 
shall be satisfied by filing copies of the report as required  | 
by Section 3.1 of the General Assembly Organization Act, and  | 
filing such additional copies with the State Government Report  | 
Distribution Center for the General Assembly as is required  | 
under paragraph (t) of Section 7 of the State Library Act. | 
(Source: P.A. 100-623, eff. 7-20-18; 100-863, eff. 8-14-18;  | 
100-1148, eff. 12-10-18; revised 4-4-23.)
 | 
 (10 ILCS 5/1A-16.1) | 
 | 
 (Text of Section before amendment by P.A. 103-210) | 
 Sec. 1A-16.1. Automatic voter registration; Secretary of  | 
State. | 
 (a) The Office of the Secretary of State and the State  | 
Board of Elections, pursuant to an interagency contract and  | 
jointly adopted jointly-adopted rules, shall establish an  | 
automatic voter registration program that satisfies the  | 
requirements of this Section and other applicable law.  | 
 (b) If an application, an application for renewal, a  | 
change of address form, or a recertification form for a  | 
driver's license, other than a temporary visitor's driver's  | 
license, or a State identification card issued by the Office  | 
of the Secretary of State meets the requirements of the  | 
federal REAL ID Act of 2005, then that application shall serve  | 
as a dual-purpose application. The dual-purpose application  | 
shall:  | 
  (1) also serve as an application to register to vote  | 
 in Illinois;  | 
  (2) allow an applicant to change his or her registered  | 
 residence address or name as it appears on the voter  | 
 registration rolls;  | 
  (3) provide the applicant with an opportunity to  | 
 affirmatively decline to register to vote or to change his  | 
 or her registered residence address or name by providing a  | 
 check box on the application form without requiring the  | 
 applicant to state the reason; and  | 
 | 
  (4) unless the applicant declines to register to vote  | 
 or change his or her registered residence address or name,  | 
 require the applicant to attest, by signature under  | 
 penalty of perjury as described in subsection (e) of this  | 
 Section, to meeting the qualifications to register to vote  | 
 in Illinois at his or her residence address as indicated  | 
 on his or her driver's license or identification card  | 
 dual-purpose application.  | 
 (b-5) If an application, an application for renewal, a  | 
change of address form, or a recertification form for a  | 
driver's license, other than a temporary visitor's driver's  | 
license, or a State identification card issued by the Office  | 
of the Secretary of State does not meet the requirements of the  | 
federal REAL ID Act of 2005, then that application shall serve  | 
as a dual-purpose application. The dual-purpose application  | 
shall: | 
  (1) also serve as an application to register to vote  | 
 in Illinois; | 
  (2) allow an applicant to change his or her registered  | 
 residence address or name as it appears on the voter  | 
 registration rolls; and | 
  (3) if the applicant chooses to register to vote or to  | 
 change his or her registered residence address or name,  | 
 then require the applicant to attest, by a separate  | 
 signature under penalty of perjury, to meeting the  | 
 qualifications to register to vote in Illinois at his or  | 
 | 
 her residence address as indicated on his or her  | 
 dual-purpose application. | 
 (b-10) The Office of the Secretary of State shall clearly  | 
and conspicuously inform each applicant in writing: (i) of the  | 
qualifications to register to vote in Illinois, (ii) of the  | 
penalties provided by law for submission of a false voter  | 
registration application, (iii) that, unless the applicant  | 
declines to register to vote or update his or her voter  | 
registration, his or her dual-purpose application shall also  | 
serve as both an application to register to vote and his or her  | 
attestation that he or she meets the eligibility requirements  | 
for voter registration, and that his or her application to  | 
register to vote or update his or her registration will be  | 
transmitted to the State Board of Elections for the purpose of  | 
registering the person to vote at the residence address to be  | 
indicated on his or her driver's license or identification  | 
card, and (iv) that declining to register to vote is  | 
confidential and will not affect any services the person may  | 
be seeking from the Office of the Secretary of State.  | 
 (c) The Office of the Secretary of State shall review  | 
information provided to the Office of the Secretary of State  | 
by the State Board of Elections to inform each applicant for a  | 
driver's license or permit, other than a temporary visitor's  | 
driver's license, or a State identification card issued by the  | 
Office of the Secretary of State whether the applicant is  | 
currently registered to vote in Illinois and, if registered,  | 
 | 
at what address.  | 
 (d) The Office of the Secretary of State shall not require  | 
an applicant for a driver's license or State identification  | 
card to provide duplicate identification or information in  | 
order to complete an application to register to vote or change  | 
his or her registered residence address or name. Before  | 
transmitting any personal information about an applicant to  | 
the State Board of Elections, the Office of the Secretary of  | 
State shall review its records of the identification documents  | 
the applicant provided in order to complete the application  | 
for a driver's license or State identification card, to  | 
confirm that nothing in those documents indicates that the  | 
applicant does not satisfy the qualifications to register to  | 
vote in Illinois at his or her residence address. | 
 (e) A completed, signed application for (i) a driver's  | 
license or permit, other than a temporary visitor's driver's  | 
license, or a State identification card issued by the Office  | 
of the Secretary of State, that meets the requirements of the  | 
federal REAL ID Act of 2005; or (ii) a completed application  | 
under subsection (b-5) of this Section with a separate  | 
signature attesting the applicant meets the qualifications to  | 
register to vote in Illinois at his or her residence address as  | 
indicated on his or her application shall constitute a signed  | 
application to register to vote in Illinois at the residence  | 
address indicated in the application unless the person  | 
affirmatively declined in the application to register to vote  | 
 | 
or to change his or her registered residence address or name.  | 
If the identification documents provided to complete the  | 
dual-purpose application indicate that he or she does not  | 
satisfy the qualifications to register to vote in Illinois at  | 
his or her residence address, the application shall be marked  | 
as incomplete.  | 
 (f) For each completed and signed application that  | 
constitutes an application to register to vote in Illinois or  | 
provides for a change in the applicant's registered residence  | 
address or name, the Office of the Secretary of State shall  | 
electronically transmit to the State Board of Elections  | 
personal information needed to complete the person's  | 
registration to vote in Illinois at his or her residence  | 
address. The application to register to vote shall be  | 
processed in accordance with Section 1A-16.7.  | 
 (g) If the federal REAL ID Act of 2005 is repealed,  | 
abrogated, superseded, or otherwise no longer in effect, then  | 
the State Board of Elections shall establish criteria for  | 
determining reliable personal information indicating  | 
citizenship status and shall adopt rules as necessary for the  | 
Secretary of State to continue processing dual-purpose  | 
applications under this Section. | 
 (h) As used in this Section, "dual-purpose application"  | 
means an application, an application for renewal, a change of  | 
address form, or a recertification form for driver's license  | 
or permit, other than a temporary visitor's driver's license,  | 
 | 
or a State identification card offered by the Secretary of  | 
State that also serves as an application to register to vote in  | 
Illinois. "Dual-purpose application" does not mean an  | 
application under subsection (c) of Section 6-109 of the  | 
Illinois Vehicle Code. | 
(Source: P.A. 100-464, eff. 8-28-17; revised 9-20-2023.)
 | 
 (Text of Section after amendment by P.A. 103-210) | 
 Sec. 1A-16.1. Automatic voter registration; Secretary of  | 
State. | 
 (a) The Office of the Secretary of State and the State  | 
Board of Elections, pursuant to an interagency contract and  | 
jointly adopted jointly-adopted rules, shall establish an  | 
automatic voter registration program that satisfies the  | 
requirements of this Section and other applicable law.  | 
 (b) If an application, an application for renewal, a  | 
change of address form, or a recertification form for a  | 
driver's license or a State identification card issued by the  | 
Office of the Secretary of State meets the requirements of the  | 
federal REAL ID Act of 2005, then that application shall serve  | 
as a dual-purpose application. The dual-purpose application  | 
shall:  | 
  (1) also serve as an application to register to vote  | 
 in Illinois; | 
  (2) allow an applicant to change his or her registered  | 
 residence address or name as it appears on the voter  | 
 | 
 registration rolls; | 
  (3) provide the applicant with an opportunity to  | 
 affirmatively decline to register to vote or to change his  | 
 or her registered residence address or name by providing a  | 
 check box on the application form without requiring the  | 
 applicant to state the reason; and | 
  (4) unless the applicant declines to register to vote  | 
 or change his or her registered residence address or name,  | 
 require the applicant to attest, by signature under  | 
 penalty of perjury as described in subsection (e) of this  | 
 Section, to meeting the qualifications to register to vote  | 
 in Illinois at his or her residence address as indicated  | 
 on his or her driver's license or identification card  | 
 dual-purpose application.  | 
 (b-5) If an application, an application for renewal, a  | 
change of address form, or a recertification form for a  | 
driver's license or a State identification card issued by the  | 
Office of the Secretary of State, other than an application or  | 
form that pertains to a standard driver's license or  | 
identification card and does not list a social security number  | 
for the applicant, does not meet the requirements of the  | 
federal REAL ID Act of 2005, then that application shall serve  | 
as a dual-purpose application. The dual-purpose application  | 
shall: | 
  (1) also serve as an application to register to vote  | 
 in Illinois; | 
 | 
  (2) allow an applicant to change his or her registered  | 
 residence address or name as it appears on the voter  | 
 registration rolls; and | 
  (3) if the applicant chooses to register to vote or to  | 
 change his or her registered residence address or name,  | 
 then require the applicant to attest, by a separate  | 
 signature under penalty of perjury, to meeting the  | 
 qualifications to register to vote in Illinois at his or  | 
 her residence address as indicated on his or her  | 
 dual-purpose application. | 
 (b-10) The Office of the Secretary of State shall clearly  | 
and conspicuously inform each applicant in writing: (i) of the  | 
qualifications to register to vote in Illinois, (ii) of the  | 
penalties provided by law for submission of a false voter  | 
registration application, (iii) that, unless the applicant  | 
declines to register to vote or update his or her voter  | 
registration, his or her dual-purpose application shall also  | 
serve as both an application to register to vote and his or her  | 
attestation that he or she meets the eligibility requirements  | 
for voter registration, and that his or her application to  | 
register to vote or update his or her registration will be  | 
transmitted to the State Board of Elections for the purpose of  | 
registering the person to vote at the residence address to be  | 
indicated on his or her driver's license or identification  | 
card, and (iv) that declining to register to vote is  | 
confidential and will not affect any services the person may  | 
 | 
be seeking from the Office of the Secretary of State.  | 
 (c) The Office of the Secretary of State shall review  | 
information provided to the Office of the Secretary of State  | 
by the State Board of Elections to inform each applicant for a  | 
driver's license or permit or a State identification card  | 
issued by the Office of the Secretary of State, other than an  | 
application or form that pertains to a standard driver's  | 
license or identification card and does not list a social  | 
security number for the applicant, whether the applicant is  | 
currently registered to vote in Illinois and, if registered,  | 
at what address.  | 
 (d) The Office of the Secretary of State shall not require  | 
an applicant for a driver's license or State identification  | 
card to provide duplicate identification or information in  | 
order to complete an application to register to vote or change  | 
his or her registered residence address or name. Before  | 
transmitting any personal information about an applicant to  | 
the State Board of Elections, the Office of the Secretary of  | 
State shall review its records of the identification documents  | 
the applicant provided in order to complete the application  | 
for a driver's license or State identification card, to  | 
confirm that nothing in those documents indicates that the  | 
applicant does not satisfy the qualifications to register to  | 
vote in Illinois at his or her residence address. | 
 (e) A completed, signed application for (i) a driver's  | 
license or permit or a State identification card issued by the  | 
 | 
Office of the Secretary of State, that meets the requirements  | 
of the federal REAL ID Act of 2005; or (ii) a completed  | 
application under subsection (b-5) of this Section with a  | 
separate signature attesting the applicant meets the  | 
qualifications to register to vote in Illinois at his or her  | 
residence address as indicated on his or her application shall  | 
constitute a signed application to register to vote in  | 
Illinois at the residence address indicated in the application  | 
unless the person affirmatively declined in the application to  | 
register to vote or to change his or her registered residence  | 
address or name. If the identification documents provided to  | 
complete the dual-purpose application indicate that he or she  | 
does not satisfy the qualifications to register to vote in  | 
Illinois at his or her residence address, the application  | 
shall be marked as incomplete.  | 
 (f) For each completed and signed application that  | 
constitutes an application to register to vote in Illinois or  | 
provides for a change in the applicant's registered residence  | 
address or name, the Office of the Secretary of State shall  | 
electronically transmit to the State Board of Elections  | 
personal information needed to complete the person's  | 
registration to vote in Illinois at his or her residence  | 
address. The application to register to vote shall be  | 
processed in accordance with Section 1A-16.7.  | 
 (g) If the federal REAL ID Act of 2005 is repealed,  | 
abrogated, superseded, or otherwise no longer in effect, then  | 
 | 
the State Board of Elections shall establish criteria for  | 
determining reliable personal information indicating  | 
citizenship status and shall adopt rules as necessary for the  | 
Secretary of State to continue processing dual-purpose  | 
applications under this Section. | 
 (h) As used in this Section, "dual-purpose application"  | 
means an application, an application for renewal, a change of  | 
address form, or a recertification form for driver's license  | 
or permit or a State identification card offered by the  | 
Secretary of State, other than an application or form that  | 
pertains to a standard driver's license or identification card  | 
and does not list a social security number for the applicant,  | 
that also serves as an application to register to vote in  | 
Illinois. "Dual-purpose application" does not mean an  | 
application under subsection (c) of Section 6-109 of the  | 
Illinois Vehicle Code. | 
(Source: P.A. 103-210, eff. 7-1-24; revised 9-20-23.)
 | 
 (10 ILCS 5/24B-9.1) | 
 Sec. 24B-9.1. Examination of votes Votes by electronic  | 
Electronic Precinct Tabulation Optical Scan Technology  | 
Scanning Process or other authorized electronic process;  | 
definition of a vote. | 
 (a) Examination of Votes by Electronic Precinct Tabulation  | 
Optical Scan Technology Scanning Process. Whenever a Precinct  | 
Tabulation Optical Scan Technology process is used to  | 
 | 
automatically examine and count the votes on ballot sheets,  | 
the provisions of this Section shall apply. A voter shall cast  | 
a proper vote on a ballot sheet by making a mark, or causing a  | 
mark to be made, in the designated area for the casting of a  | 
vote for any party or candidate or for or against any  | 
proposition. For this purpose, a mark is an intentional  | 
darkening of the designated area on the ballot, and not an  | 
identifying mark. | 
 (b) For any ballot sheet that does not register a vote for  | 
one or more ballot positions on the ballot sheet on an  | 
electronic a Electronic Precinct Tabulation Optical Scan  | 
Technology Scanning Process, the following shall constitute a  | 
vote on the ballot sheet: | 
  (1) the designated area for casting a vote for a  | 
 particular ballot position on the ballot sheet is fully  | 
 darkened or shaded in; | 
  (2) the designated area for casting a vote for a  | 
 particular ballot position on the ballot sheet is  | 
 partially darkened or shaded in; | 
  (3) the designated area for casting a vote for a  | 
 particular ballot position on the ballot sheet contains a  | 
 dot or ".", a check, or a plus or "+"; | 
  (4) the designated area for casting a vote for a  | 
 particular ballot position on the ballot sheet contains  | 
 some other type of mark that indicates the clearly  | 
 ascertainable intent of the voter to vote based on the  | 
 | 
 totality of the circumstances, including, but not limited  | 
 to, any pattern or frequency of marks on other ballot  | 
 positions from the same ballot sheet; or | 
  (5) the designated area for casting a vote for a  | 
 particular ballot position on the ballot sheet is not  | 
 marked, but the ballot sheet contains other markings  | 
 associated with a particular ballot position, such as  | 
 circling a candidate's name, that indicates the clearly  | 
 ascertainable intent of the voter to vote, based on the  | 
 totality of the circumstances, including, but not limited  | 
 to, any pattern or frequency of markings on other ballot  | 
 positions from the same ballot sheet. | 
 (c) For other electronic voting systems that use a  | 
computer as the marking device to mark a ballot sheet, the bar  | 
code found on the ballot sheet shall constitute the votes  | 
found on the ballot. If, however, the county clerk or board of  | 
election commissioners determines that the votes represented  | 
by the tally on the bar code for one or more ballot positions  | 
is inconsistent with the votes represented by numerical ballot  | 
positions identified on the ballot sheet produced using a  | 
computer as the marking device, then the numerical ballot  | 
positions identified on the ballot sheet shall constitute the  | 
votes for purposes of any official canvass or recount  | 
proceeding. An electronic voting system that uses a computer  | 
as the marking device to mark a ballot sheet shall be capable  | 
of producing a ballot sheet that contains all numerical ballot  | 
 | 
positions selected by the voter, and provides a place for the  | 
voter to cast a write-in vote for a candidate for a particular  | 
numerical ballot position. | 
 (d) The election authority shall provide an envelope,  | 
sleeve, or other device to each voter so the voter can deliver  | 
the voted ballot sheet to the counting equipment and ballot  | 
box without the votes indicated on the ballot sheet being  | 
visible to other persons in the polling place. | 
(Source: P.A. 95-331, eff. 8-21-07; revised 9-25-23.)
 | 
 Section 40. The Illinois Identification Card Act is  | 
amended by changing Sections 1A and 4 as follows:
 | 
 (15 ILCS 335/1A) | 
 (Text of Section before amendment by P.A. 103-210) | 
 Sec. 1A. Definitions. As used in this Act: | 
 "Highly restricted personal information" means an  | 
individual's photograph, signature, social security number,  | 
and medical or disability information. | 
 "Identification card making implement" means any material,  | 
hardware, or software that is specifically designed for or  | 
primarily used in the manufacture, assembly, issuance, or  | 
authentication of an official identification card issued by  | 
the Secretary of State. | 
 "Fraudulent identification card" means any identification  | 
card that purports to be an official identification card for  | 
 | 
which a computerized number and file have not been created by  | 
the Secretary of State, the United States Government or any  | 
state or political subdivision thereof, or any governmental or  | 
quasi-governmental organization. For the purpose of this Act,  | 
any identification card that resembles an official  | 
identification card in either size, color, photograph  | 
location, or design or uses the word "official", "state",  | 
"Illinois", or the name of any other state or political  | 
subdivision thereof, or any governmental or quasi-governmental  | 
organization individually or in any combination thereof to  | 
describe or modify the term "identification card" or "I.D.  | 
card" anywhere on the card, or uses a shape in the likeness of  | 
Illinois or any other state on the photograph side of the card,  | 
is deemed to be a fraudulent identification card unless the  | 
words "This is not an official Identification Card", appear  | 
prominently upon it in black colored lettering in 12-point  | 
type on the photograph side of the card, and no such card shall  | 
be smaller in size than 3 inches by 4 inches, and the  | 
photograph shall be on the left side of the card only. | 
 "Legal name" means the full given name and surname of an  | 
individual as recorded at birth, recorded at marriage, or  | 
deemed as the correct legal name for use in reporting income by  | 
the Social Security Administration or the name as otherwise  | 
established through legal action that appears on the  | 
associated official document presented to the Secretary of  | 
State. | 
 | 
 "Personally identifying information" means information  | 
that identifies an individual, including his or her  | 
identification card number, name, address (but not the 5-digit  | 
zip code), date of birth, height, weight, hair color, eye  | 
color, email address, and telephone number. | 
 "Homeless person" or "homeless individual" has the same  | 
meaning as defined by the federal McKinney-Vento Homeless  | 
Assistance Act, 42 U.S.C. 11302, or 42 U.S.C. 11434a(2). | 
 "Youth for whom the Department of Children and Family  | 
Services is legally responsible" or "foster child" means a  | 
child or youth whose guardianship or custody has been accepted  | 
by the Department of Children and Family Services pursuant to  | 
the Juvenile Court Act of 1987, the Children and Family  | 
Services Act, the Abused and Neglected Child Reporting Act,  | 
and the Adoption Act. This applies to children for whom the  | 
Department of Children and Family Services has temporary  | 
protective custody, custody or guardianship via court order,  | 
or children whose parents have signed an adoptive surrender or  | 
voluntary placement agreement with the Department. | 
 "REAL ID compliant identification card" means a standard  | 
Illinois Identification Card or Illinois Person with a  | 
Disability Identification Card issued in compliance with the  | 
REAL ID Act and implementing regulations. REAL ID compliant  | 
identification cards shall bear a security marking approved by  | 
the United States Department of Homeland Security. | 
 "Non-compliant identification card" means a standard  | 
 | 
Illinois Identification Card or Illinois Person with a  | 
Disability Identification Card issued in a manner which is not  | 
compliant with the REAL ID Act and implementing regulations.  | 
Non-compliant identification cards shall be marked "Not for  | 
Federal Identification" and shall have a color or design  | 
different from the REAL ID compliant identification card. | 
 "Limited Term REAL ID compliant identification card" means  | 
a REAL ID compliant identification card issued to a person who  | 
is persons who are not a permanent resident residents or  | 
citizen citizens of the United States, and marked "Limited  | 
Term" on the face of the card.  | 
(Source: P.A. 100-201, eff. 8-18-17; 100-248, eff. 8-22-17;  | 
101-326, eff. 8-9-19; revised 9-20-23.)
 | 
 (Text of Section after amendment by P.A. 103-210) | 
 Sec. 1A. Definitions. As used in this Act: | 
 "Highly restricted personal information" means an  | 
individual's photograph, signature, social security number,  | 
and medical or disability information. | 
 "Identification card making implement" means any material,  | 
hardware, or software that is specifically designed for or  | 
primarily used in the manufacture, assembly, issuance, or  | 
authentication of an official identification card issued by  | 
the Secretary of State. | 
 "Fraudulent identification card" means any identification  | 
card that purports to be an official identification card for  | 
 | 
which a computerized number and file have not been created by  | 
the Secretary of State, the United States Government or any  | 
state or political subdivision thereof, or any governmental or  | 
quasi-governmental organization. For the purpose of this Act,  | 
any identification card that resembles an official  | 
identification card in either size, color, photograph  | 
location, or design or uses the word "official", "state",  | 
"Illinois", or the name of any other state or political  | 
subdivision thereof, or any governmental or quasi-governmental  | 
organization individually or in any combination thereof to  | 
describe or modify the term "identification card" or "I.D.  | 
card" anywhere on the card, or uses a shape in the likeness of  | 
Illinois or any other state on the photograph side of the card,  | 
is deemed to be a fraudulent identification card unless the  | 
words "This is not an official Identification Card", appear  | 
prominently upon it in black colored lettering in 12-point  | 
type on the photograph side of the card, and no such card shall  | 
be smaller in size than 3 inches by 4 inches, and the  | 
photograph shall be on the left side of the card only. | 
 "Legal name" means the full given name and surname of an  | 
individual as recorded at birth, recorded at marriage, or  | 
deemed as the correct legal name for use in reporting income by  | 
the Social Security Administration or the name as otherwise  | 
established through legal action that appears on the  | 
associated official document presented to the Secretary of  | 
State. | 
 | 
 "Personally identifying information" means information  | 
that identifies an individual, including his or her  | 
identification card number, name, address (but not the 5-digit  | 
zip code), date of birth, height, weight, hair color, eye  | 
color, email address, and telephone number. | 
 "Homeless person" or "homeless individual" has the same  | 
meaning as defined by the federal McKinney-Vento Homeless  | 
Assistance Act, 42 U.S.C. 11302, or 42 U.S.C. 11434a(2). | 
 "Youth for whom the Department of Children and Family  | 
Services is legally responsible" or "foster child" means a  | 
child or youth whose guardianship or custody has been accepted  | 
by the Department of Children and Family Services pursuant to  | 
the Juvenile Court Act of 1987, the Children and Family  | 
Services Act, the Abused and Neglected Child Reporting Act,  | 
and the Adoption Act. This applies to children for whom the  | 
Department of Children and Family Services has temporary  | 
protective custody, custody or guardianship via court order,  | 
or children whose parents have signed an adoptive surrender or  | 
voluntary placement agreement with the Department. | 
 "REAL ID compliant identification card" means a standard  | 
Illinois Identification Card or Illinois Person with a  | 
Disability Identification Card issued in compliance with the  | 
REAL ID Act and implementing regulations. REAL ID compliant  | 
identification cards shall bear a security marking approved by  | 
the United States Department of Homeland Security. | 
 "Standard identification card" means a standard Illinois  | 
 | 
Identification Card or Illinois Person with a Disability  | 
Identification Card issued in a manner which is not compliant  | 
with the REAL ID Act and implementing regulations. Standard  | 
identification cards shall be marked "Federal Limits Apply"  | 
and shall have a color or design different from the REAL ID  | 
compliant identification card. | 
 "Limited Term REAL ID compliant identification card" means  | 
a REAL ID compliant identification card that is issued to a  | 
person who is persons who are not a permanent resident  | 
residents or citizen citizens of the United States, or an  | 
individual who has an approved application for asylum in the  | 
United States or has entered the United States in refugee  | 
status, and is marked "Limited Term" on the face of the card.  | 
(Source: P.A. 103-210, eff. 7-1-24; revised 9-20-23.)
 | 
 (15 ILCS 335/4) | 
 (Text of Section before amendment by P.A. 103-210) | 
 Sec. 4. Identification card.  | 
 (a) The Secretary of State shall issue a standard Illinois  | 
Identification Card to any natural person who is a resident of  | 
the State of Illinois who applies for such card, or renewal  | 
thereof. No identification card shall be issued to any person  | 
who holds a valid foreign state identification card, license,  | 
or permit unless the person first surrenders to the Secretary  | 
of State the valid foreign state identification card, license,  | 
or permit. The card shall be prepared and supplied by the  | 
 | 
Secretary of State and shall include a photograph and  | 
signature or mark of the applicant. However, the Secretary of  | 
State may provide by rule for the issuance of Illinois  | 
Identification Cards without photographs if the applicant has  | 
a bona fide religious objection to being photographed or to  | 
the display of his or her photograph. The Illinois  | 
Identification Card may be used for identification purposes in  | 
any lawful situation only by the person to whom it was issued.  | 
As used in this Act, "photograph" means any color photograph  | 
or digitally produced and captured image of an applicant for  | 
an identification card. As used in this Act, "signature" means  | 
the name of a person as written by that person and captured in  | 
a manner acceptable to the Secretary of State. | 
 (a-5) If an applicant for an identification card has a  | 
current driver's license or instruction permit issued by the  | 
Secretary of State, the Secretary may require the applicant to  | 
utilize the same residence address and name on the  | 
identification card, driver's license, and instruction permit  | 
records maintained by the Secretary. The Secretary may  | 
promulgate rules to implement this provision.  | 
 (a-10) If the applicant is a judicial officer as defined  | 
in Section 1-10 of the Judicial Privacy Act or a peace officer,  | 
the applicant may elect to have his or her office or work  | 
address listed on the card instead of the applicant's  | 
residence or mailing address. The Secretary may promulgate  | 
rules to implement this provision. For the purposes of this  | 
 | 
subsection (a-10), "peace officer" means any person who by  | 
virtue of his or her office or public employment is vested by  | 
law with a duty to maintain public order or to make arrests for  | 
a violation of any penal statute of this State, whether that  | 
duty extends to all violations or is limited to specific  | 
violations.  | 
 (a-15) The Secretary of State may provide for an expedited  | 
process for the issuance of an Illinois Identification Card.  | 
The Secretary shall charge an additional fee for the expedited  | 
issuance of an Illinois Identification Card, to be set by  | 
rule, not to exceed $75. All fees collected by the Secretary  | 
for expedited Illinois Identification Card service shall be  | 
deposited into the Secretary of State Special Services Fund.  | 
The Secretary may adopt rules regarding the eligibility,  | 
process, and fee for an expedited Illinois Identification  | 
Card. If the Secretary of State determines that the volume of  | 
expedited identification card requests received on a given day  | 
exceeds the ability of the Secretary to process those requests  | 
in an expedited manner, the Secretary may decline to provide  | 
expedited services, and the additional fee for the expedited  | 
service shall be refunded to the applicant.  | 
 (a-20) The Secretary of State shall issue a standard  | 
Illinois Identification Card to a person committed to the  | 
Department of Corrections or Department of Juvenile Justice  | 
upon receipt of the person's birth certificate, social  | 
security card, photograph, proof of residency upon discharge,  | 
 | 
and an identification card application transferred via a  | 
secure method as agreed upon by the Secretary and the  | 
Department of Corrections or Department of Juvenile Justice.  | 
Illinois residency shall be established by submission of a  | 
Secretary of State prescribed Identification Card verification  | 
form completed by the respective Department. | 
 (a-25) The Secretary of State shall issue a limited-term  | 
Illinois Identification Card valid for 90 days to a committed  | 
person upon release on parole, mandatory supervised release,  | 
aftercare release, final discharge, or pardon from the  | 
Department of Corrections or Department of Juvenile Justice,  | 
if the released person is unable to present a certified copy of  | 
his or her birth certificate and social security card or other  | 
documents authorized by the Secretary, but does present a  | 
Secretary of State prescribed Identification Card verification  | 
form completed by the Department of Corrections or Department  | 
of Juvenile Justice, verifying the released person's date of  | 
birth, social security number, and his or her Illinois  | 
residence address. The verification form must have been  | 
completed no more than 30 days prior to the date of application  | 
for the Illinois Identification Card. | 
 Prior to the expiration of the 90-day period of the  | 
limited-term Illinois Identification Card, if the released  | 
person submits to the Secretary of State a certified copy of  | 
his or her birth certificate and his or her social security  | 
card or other documents authorized by the Secretary, a  | 
 | 
standard Illinois Identification Card shall be issued. A  | 
limited-term Illinois Identification Card may not be renewed.  | 
 (a-30) The Secretary of State shall issue a standard  | 
Illinois Identification Card to a person upon conditional  | 
release or absolute discharge from the custody of the  | 
Department of Human Services, if the person presents a  | 
certified copy of his or her birth certificate, social  | 
security card, or other documents authorized by the Secretary,  | 
and a document proving his or her Illinois residence address.  | 
The Secretary of State shall issue a standard Illinois  | 
Identification Card to a person prior to his or her  | 
conditional release or absolute discharge if personnel from  | 
the Department of Human Services bring the person to a  | 
Secretary of State location with the required documents.  | 
Documents proving residence address may include any official  | 
document of the Department of Human Services showing the  | 
person's address after release and a Secretary of State  | 
prescribed verification form, which may be executed by  | 
personnel of the Department of Human Services. | 
 (a-35) The Secretary of State shall issue a limited-term  | 
Illinois Identification Card valid for 90 days to a person  | 
upon conditional release or absolute discharge from the  | 
custody of the Department of Human Services, if the person is  | 
unable to present a certified copy of his or her birth  | 
certificate and social security card or other documents  | 
authorized by the Secretary, but does present a Secretary of  | 
 | 
State prescribed verification form completed by the Department  | 
of Human Services, verifying the person's date of birth and  | 
social security number, and a document proving his or her  | 
Illinois residence address. The verification form must have  | 
been completed no more than 30 days prior to the date of  | 
application for the Illinois Identification Card. The  | 
Secretary of State shall issue a limited-term Illinois  | 
Identification Card to a person no sooner than 14 days prior to  | 
his or her conditional release or absolute discharge if  | 
personnel from the Department of Human Services bring the  | 
person to a Secretary of State location with the required  | 
documents. Documents proving residence address shall include  | 
any official document of the Department of Human Services  | 
showing the person's address after release and a Secretary of  | 
State prescribed verification form, which may be executed by  | 
personnel of the Department of Human Services.  | 
 (b) The Secretary of State shall issue a special Illinois  | 
Identification Card, which shall be known as an Illinois  | 
Person with a Disability Identification Card, to any natural  | 
person who is a resident of the State of Illinois, who is a  | 
person with a disability as defined in Section 4A of this Act,  | 
who applies for such card, or renewal thereof. No Illinois  | 
Person with a Disability Identification Card shall be issued  | 
to any person who holds a valid foreign state identification  | 
card, license, or permit unless the person first surrenders to  | 
the Secretary of State the valid foreign state identification  | 
 | 
card, license, or permit. The Secretary of State shall charge  | 
no fee to issue such card. The card shall be prepared and  | 
supplied by the Secretary of State, and shall include a  | 
photograph and signature or mark of the applicant, a  | 
designation indicating that the card is an Illinois Person  | 
with a Disability Identification Card, and shall include a  | 
comprehensible designation of the type and classification of  | 
the applicant's disability as set out in Section 4A of this  | 
Act. However, the Secretary of State may provide by rule for  | 
the issuance of Illinois Person with a Disability  | 
Identification Cards without photographs if the applicant has  | 
a bona fide religious objection to being photographed or to  | 
the display of his or her photograph. If the applicant so  | 
requests, the card shall include a description of the  | 
applicant's disability and any information about the  | 
applicant's disability or medical history which the Secretary  | 
determines would be helpful to the applicant in securing  | 
emergency medical care. If a mark is used in lieu of a  | 
signature, such mark shall be affixed to the card in the  | 
presence of two witnesses who attest to the authenticity of  | 
the mark. The Illinois Person with a Disability Identification  | 
Card may be used for identification purposes in any lawful  | 
situation by the person to whom it was issued. | 
 The Illinois Person with a Disability Identification Card  | 
may be used as adequate documentation of disability in lieu of  | 
a physician's determination of disability, a determination of  | 
 | 
disability from a physician assistant, a determination of  | 
disability from an advanced practice registered nurse, or any  | 
other documentation of disability whenever any State law  | 
requires that a person with a disability provide such  | 
documentation of disability, however an Illinois Person with a  | 
Disability Identification Card shall not qualify the  | 
cardholder to participate in any program or to receive any  | 
benefit which is not available to all persons with like  | 
disabilities. Notwithstanding any other provisions of law, an  | 
Illinois Person with a Disability Identification Card, or  | 
evidence that the Secretary of State has issued an Illinois  | 
Person with a Disability Identification Card, shall not be  | 
used by any person other than the person named on such card to  | 
prove that the person named on such card is a person with a  | 
disability or for any other purpose unless the card is used for  | 
the benefit of the person named on such card, and the person  | 
named on such card consents to such use at the time the card is  | 
so used. | 
 An optometrist's determination of a visual disability  | 
under Section 4A of this Act is acceptable as documentation  | 
for the purpose of issuing an Illinois Person with a  | 
Disability Identification Card.  | 
 When medical information is contained on an Illinois  | 
Person with a Disability Identification Card, the Office of  | 
the Secretary of State shall not be liable for any actions  | 
taken based upon that medical information. | 
 | 
 (c) The Secretary of State shall provide that each  | 
original or renewal Illinois Identification Card or Illinois  | 
Person with a Disability Identification Card issued to a  | 
person under the age of 21 shall be of a distinct nature from  | 
those Illinois Identification Cards or Illinois Person with a  | 
Disability Identification Cards issued to individuals 21 years  | 
of age or older. The color designated for Illinois  | 
Identification Cards or Illinois Person with a Disability  | 
Identification Cards for persons under the age of 21 shall be  | 
at the discretion of the Secretary of State. | 
 (c-1) Each original or renewal Illinois Identification  | 
Card or Illinois Person with a Disability Identification Card  | 
issued to a person under the age of 21 shall display the date  | 
upon which the person becomes 18 years of age and the date upon  | 
which the person becomes 21 years of age. | 
 (c-3) The General Assembly recognizes the need to identify  | 
military veterans living in this State for the purpose of  | 
ensuring that they receive all of the services and benefits to  | 
which they are legally entitled, including healthcare,  | 
education assistance, and job placement. To assist the State  | 
in identifying these veterans and delivering these vital  | 
services and benefits, the Secretary of State is authorized to  | 
issue Illinois Identification Cards and Illinois Person with a  | 
Disability Identification Cards with the word "veteran"  | 
appearing on the face of the cards. This authorization is  | 
predicated on the unique status of veterans. The Secretary may  | 
 | 
not issue any other identification card which identifies an  | 
occupation, status, affiliation, hobby, or other unique  | 
characteristics of the identification card holder which is  | 
unrelated to the purpose of the identification card. | 
 (c-5) Beginning on or before July 1, 2015, the Secretary  | 
of State shall designate a space on each original or renewal  | 
identification card where, at the request of the applicant,  | 
the word "veteran" shall be placed. The veteran designation  | 
shall be available to a person identified as a veteran under  | 
subsection (b) of Section 5 of this Act who was discharged or  | 
separated under honorable conditions.  | 
 (d) The Secretary of State may issue a Senior Citizen  | 
discount card, to any natural person who is a resident of the  | 
State of Illinois who is 60 years of age or older and who  | 
applies for such a card or renewal thereof. The Secretary of  | 
State shall charge no fee to issue such card. The card shall be  | 
issued in every county and applications shall be made  | 
available at, but not limited to, nutrition sites, senior  | 
citizen centers and Area Agencies on Aging. The applicant,  | 
upon receipt of such card and prior to its use for any purpose,  | 
shall have affixed thereon in the space provided therefor his  | 
signature or mark. | 
 (e) The Secretary of State, in his or her discretion, may  | 
designate on each Illinois Identification Card or Illinois  | 
Person with a Disability Identification Card a space where the  | 
card holder may place a sticker or decal, issued by the  | 
 | 
Secretary of State, of uniform size as the Secretary may  | 
specify, that shall indicate in appropriate language that the  | 
card holder has renewed his or her Illinois Identification  | 
Card or Illinois Person with a Disability Identification Card. | 
(Source: P.A. 102-299, eff. 8-6-21; 103-345, eff. 1-1-24.)
 | 
 (Text of Section after amendment by P.A. 103-210) | 
 Sec. 4. Identification card.  | 
 (a) The Secretary of State shall issue a standard Illinois  | 
Identification Card to any natural person who is a resident of  | 
the State of Illinois who applies for such card, or renewal  | 
thereof. No identification card shall be issued to any person  | 
who holds a valid foreign state identification card, license,  | 
or permit unless the person first surrenders to the Secretary  | 
of State the valid foreign state identification card, license,  | 
or permit. The card shall be prepared and supplied by the  | 
Secretary of State and shall include a photograph and  | 
signature or mark of the applicant. However, the Secretary of  | 
State may provide by rule for the issuance of Illinois  | 
Identification Cards without photographs if the applicant has  | 
a bona fide religious objection to being photographed or to  | 
the display of his or her photograph. The Illinois  | 
Identification Card may be used for identification purposes in  | 
any lawful situation only by the person to whom it was issued.  | 
As used in this Act, "photograph" means any color photograph  | 
or digitally produced and captured image of an applicant for  | 
 | 
an identification card. As used in this Act, "signature" means  | 
the name of a person as written by that person and captured in  | 
a manner acceptable to the Secretary of State. | 
 (a-5) If an applicant for an identification card has a  | 
current driver's license or instruction permit issued by the  | 
Secretary of State, the Secretary may require the applicant to  | 
utilize the same residence address and name on the  | 
identification card, driver's license, and instruction permit  | 
records maintained by the Secretary. The Secretary may  | 
promulgate rules to implement this provision.  | 
 (a-10) If the applicant is a judicial officer as defined  | 
in Section 1-10 of the Judicial Privacy Act or a peace officer,  | 
the applicant may elect to have his or her office or work  | 
address listed on the card instead of the applicant's  | 
residence or mailing address. The Secretary may promulgate  | 
rules to implement this provision. For the purposes of this  | 
subsection (a-10), "peace officer" means any person who by  | 
virtue of his or her office or public employment is vested by  | 
law with a duty to maintain public order or to make arrests for  | 
a violation of any penal statute of this State, whether that  | 
duty extends to all violations or is limited to specific  | 
violations.  | 
 (a-15) The Secretary of State may provide for an expedited  | 
process for the issuance of an Illinois Identification Card.  | 
The Secretary shall charge an additional fee for the expedited  | 
issuance of an Illinois Identification Card, to be set by  | 
 | 
rule, not to exceed $75. All fees collected by the Secretary  | 
for expedited Illinois Identification Card service shall be  | 
deposited into the Secretary of State Special Services Fund.  | 
The Secretary may adopt rules regarding the eligibility,  | 
process, and fee for an expedited Illinois Identification  | 
Card. If the Secretary of State determines that the volume of  | 
expedited identification card requests received on a given day  | 
exceeds the ability of the Secretary to process those requests  | 
in an expedited manner, the Secretary may decline to provide  | 
expedited services, and the additional fee for the expedited  | 
service shall be refunded to the applicant.  | 
 (a-20) The Secretary of State shall issue a standard  | 
Illinois Identification Card to a person committed to the  | 
Department of Corrections or Department of Juvenile Justice  | 
upon receipt of the person's birth certificate, social  | 
security card, if the person has a social security number,  | 
photograph, proof of residency upon discharge, and an  | 
identification card application transferred via a secure  | 
method as agreed upon by the Secretary and the Department of  | 
Corrections or Department of Juvenile Justice, if the person  | 
has a social security number,. Illinois residency shall be  | 
established by submission of a Secretary of State prescribed  | 
Identification Card verification form completed by the  | 
respective Department. | 
 (a-25) The Secretary of State shall issue a limited-term  | 
Illinois Identification Card valid for 90 days to a committed  | 
 | 
person upon release on parole, mandatory supervised release,  | 
aftercare release, final discharge, or pardon from the  | 
Department of Corrections or Department of Juvenile Justice,  | 
if the released person is unable to present a certified copy of  | 
his or her birth certificate and social security card, if the  | 
person has a social security number, or other documents  | 
authorized by the Secretary, but does present a Secretary of  | 
State prescribed Identification Card verification form  | 
completed by the Department of Corrections or Department of  | 
Juvenile Justice, verifying the released person's date of  | 
birth, social security number, if the person has a social  | 
security number, and his or her Illinois residence address.  | 
The verification form must have been completed no more than 30  | 
days prior to the date of application for the Illinois  | 
Identification Card. | 
 Prior to the expiration of the 90-day period of the  | 
limited-term Illinois Identification Card, if the released  | 
person submits to the Secretary of State a certified copy of  | 
his or her birth certificate and his or her social security  | 
card, if the person has a social security number, or other  | 
documents authorized by the Secretary, a standard Illinois  | 
Identification Card shall be issued. A limited-term Illinois  | 
Identification Card may not be renewed.  | 
 (a-30) The Secretary of State shall issue a standard  | 
Illinois Identification Card to a person upon conditional  | 
release or absolute discharge from the custody of the  | 
 | 
Department of Human Services, if the person presents a  | 
certified copy of his or her birth certificate, social  | 
security card, if the person has a social security number, or  | 
other documents authorized by the Secretary, and a document  | 
proving his or her Illinois residence address. The Secretary  | 
of State shall issue a standard Illinois Identification Card  | 
to a person prior to his or her conditional release or absolute  | 
discharge if personnel from the Department of Human Services  | 
bring the person to a Secretary of State location with the  | 
required documents. Documents proving residence address may  | 
include any official document of the Department of Human  | 
Services showing the person's address after release and a  | 
Secretary of State prescribed verification form, which may be  | 
executed by personnel of the Department of Human Services. | 
 (a-35) The Secretary of State shall issue a limited-term  | 
Illinois Identification Card valid for 90 days to a person  | 
upon conditional release or absolute discharge from the  | 
custody of the Department of Human Services, if the person is  | 
unable to present a certified copy of his or her birth  | 
certificate and social security card, if the person has a  | 
social security number, or other documents authorized by the  | 
Secretary, but does present a Secretary of State prescribed  | 
verification form completed by the Department of Human  | 
Services, verifying the person's date of birth and social  | 
security number, if the person has a social security number,  | 
and a document proving his or her Illinois residence address.  | 
 | 
The verification form must have been completed no more than 30  | 
days prior to the date of application for the Illinois  | 
Identification Card. The Secretary of State shall issue a  | 
limited-term Illinois Identification Card to a person no  | 
sooner than 14 days prior to his or her conditional release or  | 
absolute discharge if personnel from the Department of Human  | 
Services bring the person to a Secretary of State location  | 
with the required documents. Documents proving residence  | 
address shall include any official document of the Department  | 
of Human Services showing the person's address after release  | 
and a Secretary of State prescribed verification form, which  | 
may be executed by personnel of the Department of Human  | 
Services.  | 
 (b) The Secretary of State shall issue a special Illinois  | 
Identification Card, which shall be known as an Illinois  | 
Person with a Disability Identification Card, to any natural  | 
person who is a resident of the State of Illinois, who is a  | 
person with a disability as defined in Section 4A of this Act,  | 
who applies for such card, or renewal thereof. No Illinois  | 
Person with a Disability Identification Card shall be issued  | 
to any person who holds a valid foreign state identification  | 
card, license, or permit unless the person first surrenders to  | 
the Secretary of State the valid foreign state identification  | 
card, license, or permit. The Secretary of State shall charge  | 
no fee to issue such card. The card shall be prepared and  | 
supplied by the Secretary of State, and shall include a  | 
 | 
photograph and signature or mark of the applicant, a  | 
designation indicating that the card is an Illinois Person  | 
with a Disability Identification Card, and shall include a  | 
comprehensible designation of the type and classification of  | 
the applicant's disability as set out in Section 4A of this  | 
Act. However, the Secretary of State may provide by rule for  | 
the issuance of Illinois Person with a Disability  | 
Identification Cards without photographs if the applicant has  | 
a bona fide religious objection to being photographed or to  | 
the display of his or her photograph. If the applicant so  | 
requests, the card shall include a description of the  | 
applicant's disability and any information about the  | 
applicant's disability or medical history which the Secretary  | 
determines would be helpful to the applicant in securing  | 
emergency medical care. If a mark is used in lieu of a  | 
signature, such mark shall be affixed to the card in the  | 
presence of two witnesses who attest to the authenticity of  | 
the mark. The Illinois Person with a Disability Identification  | 
Card may be used for identification purposes in any lawful  | 
situation by the person to whom it was issued. | 
 The Illinois Person with a Disability Identification Card  | 
may be used as adequate documentation of disability in lieu of  | 
a physician's determination of disability, a determination of  | 
disability from a physician assistant, a determination of  | 
disability from an advanced practice registered nurse, or any  | 
other documentation of disability whenever any State law  | 
 | 
requires that a person with a disability provide such  | 
documentation of disability, however an Illinois Person with a  | 
Disability Identification Card shall not qualify the  | 
cardholder to participate in any program or to receive any  | 
benefit which is not available to all persons with like  | 
disabilities. Notwithstanding any other provisions of law, an  | 
Illinois Person with a Disability Identification Card, or  | 
evidence that the Secretary of State has issued an Illinois  | 
Person with a Disability Identification Card, shall not be  | 
used by any person other than the person named on such card to  | 
prove that the person named on such card is a person with a  | 
disability or for any other purpose unless the card is used for  | 
the benefit of the person named on such card, and the person  | 
named on such card consents to such use at the time the card is  | 
so used. | 
 An optometrist's determination of a visual disability  | 
under Section 4A of this Act is acceptable as documentation  | 
for the purpose of issuing an Illinois Person with a  | 
Disability Identification Card.  | 
 When medical information is contained on an Illinois  | 
Person with a Disability Identification Card, the Office of  | 
the Secretary of State shall not be liable for any actions  | 
taken based upon that medical information. | 
 (c) The Secretary of State shall provide that each  | 
original or renewal Illinois Identification Card or Illinois  | 
Person with a Disability Identification Card issued to a  | 
 | 
person under the age of 21 shall be of a distinct nature from  | 
those Illinois Identification Cards or Illinois Person with a  | 
Disability Identification Cards issued to individuals 21 years  | 
of age or older. The color designated for Illinois  | 
Identification Cards or Illinois Person with a Disability  | 
Identification Cards for persons under the age of 21 shall be  | 
at the discretion of the Secretary of State. | 
 (c-1) Each original or renewal Illinois Identification  | 
Card or Illinois Person with a Disability Identification Card  | 
issued to a person under the age of 21 shall display the date  | 
upon which the person becomes 18 years of age and the date upon  | 
which the person becomes 21 years of age. | 
 (c-3) The General Assembly recognizes the need to identify  | 
military veterans living in this State for the purpose of  | 
ensuring that they receive all of the services and benefits to  | 
which they are legally entitled, including healthcare,  | 
education assistance, and job placement. To assist the State  | 
in identifying these veterans and delivering these vital  | 
services and benefits, the Secretary of State is authorized to  | 
issue Illinois Identification Cards and Illinois Person with a  | 
Disability Identification Cards with the word "veteran"  | 
appearing on the face of the cards. This authorization is  | 
predicated on the unique status of veterans. The Secretary may  | 
not issue any other identification card which identifies an  | 
occupation, status, affiliation, hobby, or other unique  | 
characteristics of the identification card holder which is  | 
 | 
unrelated to the purpose of the identification card. | 
 (c-5) Beginning on or before July 1, 2015, the Secretary  | 
of State shall designate a space on each original or renewal  | 
identification card where, at the request of the applicant,  | 
the word "veteran" shall be placed. The veteran designation  | 
shall be available to a person identified as a veteran under  | 
subsection (b) of Section 5 of this Act who was discharged or  | 
separated under honorable conditions.  | 
 (d) The Secretary of State may issue a Senior Citizen  | 
discount card, to any natural person who is a resident of the  | 
State of Illinois who is 60 years of age or older and who  | 
applies for such a card or renewal thereof. The Secretary of  | 
State shall charge no fee to issue such card. The card shall be  | 
issued in every county and applications shall be made  | 
available at, but not limited to, nutrition sites, senior  | 
citizen centers and Area Agencies on Aging. The applicant,  | 
upon receipt of such card and prior to its use for any purpose,  | 
shall have affixed thereon in the space provided therefor his  | 
signature or mark. | 
 (e) The Secretary of State, in his or her discretion, may  | 
designate on each Illinois Identification Card or Illinois  | 
Person with a Disability Identification Card a space where the  | 
card holder may place a sticker or decal, issued by the  | 
Secretary of State, of uniform size as the Secretary may  | 
specify, that shall indicate in appropriate language that the  | 
card holder has renewed his or her Illinois Identification  | 
 | 
Card or Illinois Person with a Disability Identification Card. | 
(Source: P.A. 102-299, eff. 8-6-21; 103-210, eff. 7-1-24;  | 
103-345, eff. 1-1-24; revised 12-12-23.)
 | 
 Section 45. The State Treasurer Employment Code is amended  | 
by changing Section 7a as follows:
 | 
 (15 ILCS 510/7a) (from Ch. 130, par. 107a) | 
 Sec. 7a. Terms; compensation Terms - compensation. Members  | 
of the Personnel Review Board shall initially be appointed as  | 
follows: | 
  (a) One member to serve for 2 years and until a  | 
 successor is appointed; | 
  (b) One member to serve for 4 years and until a  | 
 successor is appointed; and | 
  (c) One member to serve for 6 years and until a  | 
 successor is appointed. | 
 Thereafter, members of the Board shall be appointed by the  | 
Treasurer for 6-year 6 year terms with the advice and consent  | 
of the Senate. One member of the Board shall be appointed a  | 
chairperson for a 2-year 2 year term. Members of the Board  | 
shall each be paid $100 for each day they are engaged in the  | 
business of the Board and shall be reimbursed for their  | 
expenses when engaged in such business. | 
(Source: P.A. 103-152, eff. 6-30-23; revised 9-20-23.)
 | 
 | 
 Section 50. The Civil Administrative Code of Illinois is  | 
amended by changing Section 5-222 as follows:
 | 
 (20 ILCS 5/5-222) | 
 Sec. 5-222. Director of the Illinois Power Agency. The  | 
Director of the Illinois Power Agency must have at least 10  | 
years of combined experience in the electric industry,  | 
electricity policy, or electricity markets and must possess:  | 
(i) general knowledge of the responsibilities of being a  | 
director, (ii) managerial experience, and (iii) an advanced  | 
degree in economics, risk management, law, business,  | 
engineering, or a related field. The Director of the Illinois  | 
Power Agency must have experience with the renewable energy  | 
industry and understanding of the programs established by  | 
Public Act 102-662 intended to promote equity in the renewable  | 
energy industry.  | 
(Source: P.A. 102-1123, eff. 1-27-23; revised 4-4-23.)
 | 
 Section 55. The Data Governance and Organization to  | 
Support Equity and Racial Justice Act is amended by changing  | 
Section 20-15 as follows:
 | 
 (20 ILCS 65/20-15) | 
 Sec. 20-15. Data governance and organization to support  | 
equity and racial justice.  | 
 (a) On or before July 1, 2022 and each July 1 thereafter,  | 
 | 
the Board and the Department shall report statistical data on  | 
the racial, ethnic, age, sex, disability status, sexual  | 
orientation, gender identity, and primary or preferred  | 
language demographics of program participants for each major  | 
program administered by the Board or the Department, except as  | 
provided in subsection (a-5). Except as provided in subsection  | 
(b), when reporting the data required under this Section, the  | 
Board or the Department shall use the same racial and ethnic  | 
classifications for each program, which shall include, but not  | 
be limited to, the following: | 
  (1) American Indian and Alaska Native alone. | 
  (2) Asian alone. | 
  (3) Black or African American alone. | 
  (4) Hispanic or Latino of any race. | 
  (5) Native Hawaiian and Other Pacific Islander alone. | 
  (6) White alone. | 
  (7) Middle Eastern or North African.  | 
  (8) Some other race alone. | 
  (9) Two or more races.  | 
 The Board and the Department may further define, by rule,  | 
the racial and ethnic classifications, including, if  | 
necessary, a classification of "No Race Specified". | 
 (a-5) In relation to major program participants, the Board  | 
shall not be required to collect personally identifiable  | 
information and report statistical data on the categories of  | 
sex, sexual orientation, and gender identity unless required  | 
 | 
for federal reporting. The Board shall make available reports  | 
on its Internet website, posted where other mandated reports  | 
are posted, of statistical data on sex, sexual orientation,  | 
and gender identity demographics through anonymous surveys or  | 
other methods as age and developmentally appropriate.  | 
 (b) If a program administered by the Board or the  | 
Department is subject to federal reporting requirements that  | 
include the collection and public reporting of statistical  | 
data on the racial and ethnic demographics of program  | 
participants, the Department may maintain the same racial and  | 
ethnic classifications used under the federal requirements if  | 
such classifications differ from the classifications listed in  | 
subsection (a). | 
 (c) The Department of Innovation and Technology shall  | 
assist the Board and the Department by establishing common  | 
technological processes and procedures for the Board and the  | 
Department to: | 
  (1) Catalog data. | 
  (2) Identify similar fields in datasets. | 
  (3) Manage data requests. | 
  (4) Share data. | 
  (5) Collect data. | 
  (6) Improve and clean data.  | 
  (7) Match data across the Board and Departments. | 
  (8) Develop research and analytic agendas. | 
  (9) Report on program participation disaggregated by  | 
 | 
 race and ethnicity. | 
  (10) Evaluate equitable outcomes for underserved  | 
 populations in Illinois. | 
  (11) Define common roles for data management. | 
  (12) Ensure that all major programs can report  | 
 disaggregated data by race, ethnicity, age, sex,  | 
 disability status, sexual orientation, and gender  | 
 identity, and primary or preferred language. | 
 The Board and the Department shall use the common  | 
technological processes and procedures established by the  | 
Department of Innovation and Technology. | 
 (d) If the Board or the Department is unable to begin  | 
reporting the data required by subsection (a) by July 1, 2022,  | 
the Board or the Department shall state the reasons for the  | 
delay under the reporting requirements. | 
 (e) By no later than March 31, 2022, the Board and the  | 
Department shall provide a progress report to the General  | 
Assembly to disclose: (i) the programs and datasets that have  | 
been cataloged for which race, ethnicity, age, sex, disability  | 
status, sexual orientation, gender identity, and primary or  | 
preferred language have been standardized; and (ii) to the  | 
extent possible, the datasets and programs that are  | 
outstanding for each agency and the datasets that are planned  | 
for the upcoming year. On or before March 31, 2023, and each  | 
year thereafter, the Board and the Department shall provide an  | 
updated report to the General Assembly. | 
 | 
 (f) By no later than October 31, 2021, the Governor's  | 
Office shall provide a plan to establish processes for input  | 
from the Board and the Department into processes outlined in  | 
subsection (c). The plan shall incorporate ongoing efforts at  | 
data interoperability within the Department and the governance  | 
established to support the P-20 Longitudinal Education Data  | 
System enacted by Public Act 96-107. | 
 (g) Nothing in this Section shall be construed to limit  | 
the rights granted to individuals or data sharing protections  | 
established under existing State and federal data privacy and  | 
security laws. | 
(Source: P.A. 102-543, eff. 8-20-21; 103-154, eff. 6-30-23;  | 
103-175, eff. 6-30-23; 103-414, eff. 1-1-24; revised  | 
12-12-23.)
 | 
 Section 60. The Illinois Act on the Aging is amended by  | 
changing Section 4.02 as follows:
 | 
 (20 ILCS 105/4.02) | 
 Sec. 4.02. Community Care Program. The Department shall  | 
establish a program of services to prevent unnecessary  | 
institutionalization of persons age 60 and older in need of  | 
long term care or who are established as persons who suffer  | 
from Alzheimer's disease or a related disorder under the  | 
Alzheimer's Disease Assistance Act, thereby enabling them to  | 
remain in their own homes or in other living arrangements.  | 
 | 
Such preventive services, which may be coordinated with other  | 
programs for the aged and monitored by area agencies on aging  | 
in cooperation with the Department, may include, but are not  | 
limited to, any or all of the following: | 
  (a) (blank); | 
  (b) (blank); | 
  (c) home care aide services; | 
  (d) personal assistant services; | 
  (e) adult day services; | 
  (f) home-delivered meals; | 
  (g) education in self-care; | 
  (h) personal care services; | 
  (i) adult day health services; | 
  (j) habilitation services; | 
  (k) respite care; | 
  (k-5) community reintegration services;  | 
  (k-6) flexible senior services; | 
  (k-7) medication management; | 
  (k-8) emergency home response;  | 
  (l) other nonmedical social services that may enable  | 
 the person to become self-supporting; or | 
  (m) clearinghouse for information provided by senior  | 
 citizen home owners who want to rent rooms to or share  | 
 living space with other senior citizens. | 
 The Department shall establish eligibility standards for  | 
such services. In determining the amount and nature of  | 
 | 
services for which a person may qualify, consideration shall  | 
not be given to the value of cash, property, or other assets  | 
held in the name of the person's spouse pursuant to a written  | 
agreement dividing marital property into equal but separate  | 
shares or pursuant to a transfer of the person's interest in a  | 
home to his spouse, provided that the spouse's share of the  | 
marital property is not made available to the person seeking  | 
such services. | 
 Beginning January 1, 2008, the Department shall require as  | 
a condition of eligibility that all new financially eligible  | 
applicants apply for and enroll in medical assistance under  | 
Article V of the Illinois Public Aid Code in accordance with  | 
rules promulgated by the Department.  | 
 The Department shall, in conjunction with the Department  | 
of Public Aid (now Department of Healthcare and Family  | 
Services), seek appropriate amendments under Sections 1915 and  | 
1924 of the Social Security Act. The purpose of the amendments  | 
shall be to extend eligibility for home and community based  | 
services under Sections 1915 and 1924 of the Social Security  | 
Act to persons who transfer to or for the benefit of a spouse  | 
those amounts of income and resources allowed under Section  | 
1924 of the Social Security Act. Subject to the approval of  | 
such amendments, the Department shall extend the provisions of  | 
Section 5-4 of the Illinois Public Aid Code to persons who, but  | 
for the provision of home or community-based services, would  | 
require the level of care provided in an institution, as is  | 
 | 
provided for in federal law. Those persons no longer found to  | 
be eligible for receiving noninstitutional services due to  | 
changes in the eligibility criteria shall be given 45 days  | 
notice prior to actual termination. Those persons receiving  | 
notice of termination may contact the Department and request  | 
the determination be appealed at any time during the 45 day  | 
notice period. The target population identified for the  | 
purposes of this Section are persons age 60 and older with an  | 
identified service need. Priority shall be given to those who  | 
are at imminent risk of institutionalization. The services  | 
shall be provided to eligible persons age 60 and older to the  | 
extent that the cost of the services together with the other  | 
personal maintenance expenses of the persons are reasonably  | 
related to the standards established for care in a group  | 
facility appropriate to the person's condition. These  | 
non-institutional services, pilot projects, or experimental  | 
facilities may be provided as part of or in addition to those  | 
authorized by federal law or those funded and administered by  | 
the Department of Human Services. The Departments of Human  | 
Services, Healthcare and Family Services, Public Health,  | 
Veterans' Affairs, and Commerce and Economic Opportunity and  | 
other appropriate agencies of State, federal, and local  | 
governments shall cooperate with the Department on Aging in  | 
the establishment and development of the non-institutional  | 
services. The Department shall require an annual audit from  | 
all personal assistant and home care aide vendors contracting  | 
 | 
with the Department under this Section. The annual audit shall  | 
assure that each audited vendor's procedures are in compliance  | 
with Department's financial reporting guidelines requiring an  | 
administrative and employee wage and benefits cost split as  | 
defined in administrative rules. The audit is a public record  | 
under the Freedom of Information Act. The Department shall  | 
execute, relative to the nursing home prescreening project,  | 
written inter-agency agreements with the Department of Human  | 
Services and the Department of Healthcare and Family Services,  | 
to effect the following: (1) intake procedures and common  | 
eligibility criteria for those persons who are receiving  | 
non-institutional services; and (2) the establishment and  | 
development of non-institutional services in areas of the  | 
State where they are not currently available or are  | 
undeveloped. On and after July 1, 1996, all nursing home  | 
prescreenings for individuals 60 years of age or older shall  | 
be conducted by the Department. | 
 As part of the Department on Aging's routine training of  | 
case managers and case manager supervisors, the Department may  | 
include information on family futures planning for persons who  | 
are age 60 or older and who are caregivers of their adult  | 
children with developmental disabilities. The content of the  | 
training shall be at the Department's discretion. | 
 The Department is authorized to establish a system of  | 
recipient copayment for services provided under this Section,  | 
such copayment to be based upon the recipient's ability to pay  | 
 | 
but in no case to exceed the actual cost of the services  | 
provided. Additionally, any portion of a person's income which  | 
is equal to or less than the federal poverty standard shall not  | 
be considered by the Department in determining the copayment.  | 
The level of such copayment shall be adjusted whenever  | 
necessary to reflect any change in the officially designated  | 
federal poverty standard. | 
 The Department, or the Department's authorized  | 
representative, may recover the amount of moneys expended for  | 
services provided to or in behalf of a person under this  | 
Section by a claim against the person's estate or against the  | 
estate of the person's surviving spouse, but no recovery may  | 
be had until after the death of the surviving spouse, if any,  | 
and then only at such time when there is no surviving child who  | 
is under age 21 or blind or who has a permanent and total  | 
disability. This paragraph, however, shall not bar recovery,  | 
at the death of the person, of moneys for services provided to  | 
the person or in behalf of the person under this Section to  | 
which the person was not entitled; provided that such recovery  | 
shall not be enforced against any real estate while it is  | 
occupied as a homestead by the surviving spouse or other  | 
dependent, if no claims by other creditors have been filed  | 
against the estate, or, if such claims have been filed, they  | 
remain dormant for failure of prosecution or failure of the  | 
claimant to compel administration of the estate for the  | 
purpose of payment. This paragraph shall not bar recovery from  | 
 | 
the estate of a spouse, under Sections 1915 and 1924 of the  | 
Social Security Act and Section 5-4 of the Illinois Public Aid  | 
Code, who precedes a person receiving services under this  | 
Section in death. All moneys for services paid to or in behalf  | 
of the person under this Section shall be claimed for recovery  | 
from the deceased spouse's estate. "Homestead", as used in  | 
this paragraph, means the dwelling house and contiguous real  | 
estate occupied by a surviving spouse or relative, as defined  | 
by the rules and regulations of the Department of Healthcare  | 
and Family Services, regardless of the value of the property. | 
 The Department shall increase the effectiveness of the  | 
existing Community Care Program by: | 
  (1) ensuring that in-home services included in the  | 
 care plan are available on evenings and weekends; | 
  (2) ensuring that care plans contain the services that  | 
 eligible participants need based on the number of days in  | 
 a month, not limited to specific blocks of time, as  | 
 identified by the comprehensive assessment tool selected  | 
 by the Department for use statewide, not to exceed the  | 
 total monthly service cost maximum allowed for each  | 
 service; the Department shall develop administrative rules  | 
 to implement this item (2); | 
  (3) ensuring that the participants have the right to  | 
 choose the services contained in their care plan and to  | 
 direct how those services are provided, based on  | 
 administrative rules established by the Department; | 
 | 
  (4) ensuring that the determination of need tool is  | 
 accurate in determining the participants' level of need;  | 
 to achieve this, the Department, in conjunction with the  | 
 Older Adult Services Advisory Committee, shall institute a  | 
 study of the relationship between the Determination of  | 
 Need scores, level of need, service cost maximums, and the  | 
 development and utilization of service plans no later than  | 
 May 1, 2008; findings and recommendations shall be  | 
 presented to the Governor and the General Assembly no  | 
 later than January 1, 2009; recommendations shall include  | 
 all needed changes to the service cost maximums schedule  | 
 and additional covered services; | 
  (5) ensuring that homemakers can provide personal care  | 
 services that may or may not involve contact with clients,  | 
 including, but not limited to: | 
   (A) bathing; | 
   (B) grooming; | 
   (C) toileting; | 
   (D) nail care; | 
   (E) transferring; | 
   (F) respiratory services; | 
   (G) exercise; or | 
   (H) positioning; | 
  (6) ensuring that homemaker program vendors are not  | 
 restricted from hiring homemakers who are family members  | 
 of clients or recommended by clients; the Department may  | 
 | 
 not, by rule or policy, require homemakers who are family  | 
 members of clients or recommended by clients to accept  | 
 assignments in homes other than the client; | 
  (7) ensuring that the State may access maximum federal  | 
 matching funds by seeking approval for the Centers for  | 
 Medicare and Medicaid Services for modifications to the  | 
 State's home and community based services waiver and  | 
 additional waiver opportunities, including applying for  | 
 enrollment in the Balance Incentive Payment Program by May  | 
 1, 2013, in order to maximize federal matching funds; this  | 
 shall include, but not be limited to, modification that  | 
 reflects all changes in the Community Care Program  | 
 services and all increases in the services cost maximum; | 
  (8) ensuring that the determination of need tool  | 
 accurately reflects the service needs of individuals with  | 
 Alzheimer's disease and related dementia disorders;  | 
  (9) ensuring that services are authorized accurately  | 
 and consistently for the Community Care Program (CCP); the  | 
 Department shall implement a Service Authorization policy  | 
 directive; the purpose shall be to ensure that eligibility  | 
 and services are authorized accurately and consistently in  | 
 the CCP program; the policy directive shall clarify  | 
 service authorization guidelines to Care Coordination  | 
 Units and Community Care Program providers no later than  | 
 May 1, 2013; | 
  (10) working in conjunction with Care Coordination  | 
 | 
 Units, the Department of Healthcare and Family Services,  | 
 the Department of Human Services, Community Care Program  | 
 providers, and other stakeholders to make improvements to  | 
 the Medicaid claiming processes and the Medicaid  | 
 enrollment procedures or requirements as needed,  | 
 including, but not limited to, specific policy changes or  | 
 rules to improve the up-front enrollment of participants  | 
 in the Medicaid program and specific policy changes or  | 
 rules to insure more prompt submission of bills to the  | 
 federal government to secure maximum federal matching  | 
 dollars as promptly as possible; the Department on Aging  | 
 shall have at least 3 meetings with stakeholders by  | 
 January 1, 2014 in order to address these improvements; | 
  (11) requiring home care service providers to comply  | 
 with the rounding of hours worked provisions under the  | 
 federal Fair Labor Standards Act (FLSA) and as set forth  | 
 in 29 CFR 785.48(b) by May 1, 2013; | 
  (12) implementing any necessary policy changes or  | 
 promulgating any rules, no later than January 1, 2014, to  | 
 assist the Department of Healthcare and Family Services in  | 
 moving as many participants as possible, consistent with  | 
 federal regulations, into coordinated care plans if a care  | 
 coordination plan that covers long term care is available  | 
 in the recipient's area; and  | 
  (13) maintaining fiscal year 2014 rates at the same  | 
 level established on January 1, 2013.  | 
 | 
 By January 1, 2009 or as soon after the end of the Cash and  | 
Counseling Demonstration Project as is practicable, the  | 
Department may, based on its evaluation of the demonstration  | 
project, promulgate rules concerning personal assistant  | 
services, to include, but need not be limited to,  | 
qualifications, employment screening, rights under fair labor  | 
standards, training, fiduciary agent, and supervision  | 
requirements. All applicants shall be subject to the  | 
provisions of the Health Care Worker Background Check Act.  | 
 The Department shall develop procedures to enhance  | 
availability of services on evenings, weekends, and on an  | 
emergency basis to meet the respite needs of caregivers.  | 
Procedures shall be developed to permit the utilization of  | 
services in successive blocks of 24 hours up to the monthly  | 
maximum established by the Department. Workers providing these  | 
services shall be appropriately trained. | 
 Beginning on September 23, 1991 (the effective date of  | 
Public Act 87-729) this amendatory Act of 1991, no person may  | 
perform chore/housekeeping and home care aide services under a  | 
program authorized by this Section unless that person has been  | 
issued a certificate of pre-service to do so by his or her  | 
employing agency. Information gathered to effect such  | 
certification shall include (i) the person's name, (ii) the  | 
date the person was hired by his or her current employer, and  | 
(iii) the training, including dates and levels. Persons  | 
engaged in the program authorized by this Section before the  | 
 | 
effective date of this amendatory Act of 1991 shall be issued a  | 
certificate of all pre-service pre- and in-service training  | 
from his or her employer upon submitting the necessary  | 
information. The employing agency shall be required to retain  | 
records of all staff pre-service pre- and in-service training,  | 
and shall provide such records to the Department upon request  | 
and upon termination of the employer's contract with the  | 
Department. In addition, the employing agency is responsible  | 
for the issuance of certifications of in-service training  | 
completed to their employees. | 
 The Department is required to develop a system to ensure  | 
that persons working as home care aides and personal  | 
assistants receive increases in their wages when the federal  | 
minimum wage is increased by requiring vendors to certify that  | 
they are meeting the federal minimum wage statute for home  | 
care aides and personal assistants. An employer that cannot  | 
ensure that the minimum wage increase is being given to home  | 
care aides and personal assistants shall be denied any  | 
increase in reimbursement costs. | 
 The Community Care Program Advisory Committee is created  | 
in the Department on Aging. The Director shall appoint  | 
individuals to serve in the Committee, who shall serve at  | 
their own expense. Members of the Committee must abide by all  | 
applicable ethics laws. The Committee shall advise the  | 
Department on issues related to the Department's program of  | 
services to prevent unnecessary institutionalization. The  | 
 | 
Committee shall meet on a bi-monthly basis and shall serve to  | 
identify and advise the Department on present and potential  | 
issues affecting the service delivery network, the program's  | 
clients, and the Department and to recommend solution  | 
strategies. Persons appointed to the Committee shall be  | 
appointed on, but not limited to, their own and their agency's  | 
experience with the program, geographic representation, and  | 
willingness to serve. The Director shall appoint members to  | 
the Committee to represent provider, advocacy, policy  | 
research, and other constituencies committed to the delivery  | 
of high quality home and community-based services to older  | 
adults. Representatives shall be appointed to ensure  | 
representation from community care providers, including, but  | 
not limited to, adult day service providers, homemaker  | 
providers, case coordination and case management units,  | 
emergency home response providers, statewide trade or labor  | 
unions that represent home care aides and direct care staff,  | 
area agencies on aging, adults over age 60, membership  | 
organizations representing older adults, and other  | 
organizational entities, providers of care, or individuals  | 
with demonstrated interest and expertise in the field of home  | 
and community care as determined by the Director. | 
 Nominations may be presented from any agency or State  | 
association with interest in the program. The Director, or his  | 
or her designee, shall serve as the permanent co-chair of the  | 
advisory committee. One other co-chair shall be nominated and  | 
 | 
approved by the members of the committee on an annual basis.  | 
Committee members' terms of appointment shall be for 4 years  | 
with one-quarter of the appointees' terms expiring each year.  | 
A member shall continue to serve until his or her replacement  | 
is named. The Department shall fill vacancies that have a  | 
remaining term of over one year, and this replacement shall  | 
occur through the annual replacement of expiring terms. The  | 
Director shall designate Department staff to provide technical  | 
assistance and staff support to the committee. Department  | 
representation shall not constitute membership of the  | 
committee. All Committee papers, issues, recommendations,  | 
reports, and meeting memoranda are advisory only. The  | 
Director, or his or her designee, shall make a written report,  | 
as requested by the Committee, regarding issues before the  | 
Committee.  | 
 The Department on Aging and the Department of Human  | 
Services shall cooperate in the development and submission of  | 
an annual report on programs and services provided under this  | 
Section. Such joint report shall be filed with the Governor  | 
and the General Assembly on or before March 31 of the following  | 
fiscal year. | 
 The requirement for reporting to the General Assembly  | 
shall be satisfied by filing copies of the report as required  | 
by Section 3.1 of the General Assembly Organization Act and  | 
filing such additional copies with the State Government Report  | 
Distribution Center for the General Assembly as is required  | 
 | 
under paragraph (t) of Section 7 of the State Library Act. | 
 Those persons previously found eligible for receiving  | 
non-institutional services whose services were discontinued  | 
under the Emergency Budget Act of Fiscal Year 1992, and who do  | 
not meet the eligibility standards in effect on or after July  | 
1, 1992, shall remain ineligible on and after July 1, 1992.  | 
Those persons previously not required to cost-share and who  | 
were required to cost-share effective March 1, 1992, shall  | 
continue to meet cost-share requirements on and after July 1,  | 
1992. Beginning July 1, 1992, all clients will be required to  | 
meet eligibility, cost-share, and other requirements and will  | 
have services discontinued or altered when they fail to meet  | 
these requirements. | 
 For the purposes of this Section, "flexible senior  | 
services" refers to services that require one-time or periodic  | 
expenditures, including, but not limited to, respite care,  | 
home modification, assistive technology, housing assistance,  | 
and transportation.  | 
 The Department shall implement an electronic service  | 
verification based on global positioning systems or other  | 
cost-effective technology for the Community Care Program no  | 
later than January 1, 2014.  | 
 The Department shall require, as a condition of  | 
eligibility, enrollment in the medical assistance program  | 
under Article V of the Illinois Public Aid Code (i) beginning  | 
August 1, 2013, if the Auditor General has reported that the  | 
 | 
Department has failed to comply with the reporting  | 
requirements of Section 2-27 of the Illinois State Auditing  | 
Act; or (ii) beginning June 1, 2014, if the Auditor General has  | 
reported that the Department has not undertaken the required  | 
actions listed in the report required by subsection (a) of  | 
Section 2-27 of the Illinois State Auditing Act.  | 
 The Department shall delay Community Care Program services  | 
until an applicant is determined eligible for medical  | 
assistance under Article V of the Illinois Public Aid Code (i)  | 
beginning August 1, 2013, if the Auditor General has reported  | 
that the Department has failed to comply with the reporting  | 
requirements of Section 2-27 of the Illinois State Auditing  | 
Act; or (ii) beginning June 1, 2014, if the Auditor General has  | 
reported that the Department has not undertaken the required  | 
actions listed in the report required by subsection (a) of  | 
Section 2-27 of the Illinois State Auditing Act.  | 
 The Department shall implement co-payments for the  | 
Community Care Program at the federally allowable maximum  | 
level (i) beginning August 1, 2013, if the Auditor General has  | 
reported that the Department has failed to comply with the  | 
reporting requirements of Section 2-27 of the Illinois State  | 
Auditing Act; or (ii) beginning June 1, 2014, if the Auditor  | 
General has reported that the Department has not undertaken  | 
the required actions listed in the report required by  | 
subsection (a) of Section 2-27 of the Illinois State Auditing  | 
Act.  | 
 | 
 The Department shall continue to provide other Community  | 
Care Program reports as required by statute.  | 
 The Department shall conduct a quarterly review of Care  | 
Coordination Unit performance and adherence to service  | 
guidelines. The quarterly review shall be reported to the  | 
Speaker of the House of Representatives, the Minority Leader  | 
of the House of Representatives, the President of the Senate,  | 
and the Minority Leader of the Senate. The Department shall  | 
collect and report longitudinal data on the performance of  | 
each care coordination unit. Nothing in this paragraph shall  | 
be construed to require the Department to identify specific  | 
care coordination units.  | 
 In regard to community care providers, failure to comply  | 
with Department on Aging policies shall be cause for  | 
disciplinary action, including, but not limited to,  | 
disqualification from serving Community Care Program clients.  | 
Each provider, upon submission of any bill or invoice to the  | 
Department for payment for services rendered, shall include a  | 
notarized statement, under penalty of perjury pursuant to  | 
Section 1-109 of the Code of Civil Procedure, that the  | 
provider has complied with all Department policies.  | 
 The Director of the Department on Aging shall make  | 
information available to the State Board of Elections as may  | 
be required by an agreement the State Board of Elections has  | 
entered into with a multi-state voter registration list  | 
maintenance system.  | 
 | 
 Within 30 days after July 6, 2017 (the effective date of  | 
Public Act 100-23), rates shall be increased to $18.29 per  | 
hour, for the purpose of increasing, by at least $.72 per hour,  | 
the wages paid by those vendors to their employees who provide  | 
homemaker services. The Department shall pay an enhanced rate  | 
under the Community Care Program to those in-home service  | 
provider agencies that offer health insurance coverage as a  | 
benefit to their direct service worker employees consistent  | 
with the mandates of Public Act 95-713. For State fiscal years  | 
2018 and 2019, the enhanced rate shall be $1.77 per hour. The  | 
rate shall be adjusted using actuarial analysis based on the  | 
cost of care, but shall not be set below $1.77 per hour. The  | 
Department shall adopt rules, including emergency rules under  | 
subsections (y) and (bb) of Section 5-45 of the Illinois  | 
Administrative Procedure Act, to implement the provisions of  | 
this paragraph.  | 
 Subject to federal approval, beginning on January 1, 2024,  | 
rates for adult day services shall be increased to $16.84 per  | 
hour and rates for each way transportation services for adult  | 
day services shall be increased to $12.44 per unit  | 
transportation.  | 
 Subject to federal approval, on and after January 1, 2024,  | 
rates for homemaker services shall be increased to $28.07 to  | 
sustain a minimum wage of $17 per hour for direct service  | 
workers. Rates in subsequent State fiscal years shall be no  | 
lower than the rates put into effect upon federal approval.  | 
 | 
Providers of in-home services shall be required to certify to  | 
the Department that they remain in compliance with the  | 
mandated wage increase for direct service workers. Fringe  | 
benefits, including, but not limited to, paid time off and  | 
payment for training, health insurance, travel, or  | 
transportation, shall not be reduced in relation to the rate  | 
increases described in this paragraph.  | 
 The General Assembly finds it necessary to authorize an  | 
aggressive Medicaid enrollment initiative designed to maximize  | 
federal Medicaid funding for the Community Care Program which  | 
produces significant savings for the State of Illinois. The  | 
Department on Aging shall establish and implement a Community  | 
Care Program Medicaid Initiative. Under the Initiative, the  | 
Department on Aging shall, at a minimum: (i) provide an  | 
enhanced rate to adequately compensate care coordination units  | 
to enroll eligible Community Care Program clients into  | 
Medicaid; (ii) use recommendations from a stakeholder  | 
committee on how best to implement the Initiative; and (iii)  | 
establish requirements for State agencies to make enrollment  | 
in the State's Medical Assistance program easier for seniors.  | 
 The Community Care Program Medicaid Enrollment Oversight  | 
Subcommittee is created as a subcommittee of the Older Adult  | 
Services Advisory Committee established in Section 35 of the  | 
Older Adult Services Act to make recommendations on how best  | 
to increase the number of medical assistance recipients who  | 
are enrolled in the Community Care Program. The Subcommittee  | 
 | 
shall consist of all of the following persons who must be  | 
appointed within 30 days after June 4, 2018 (the effective  | 
date of Public Act 100-587) this amendatory Act of the 100th  | 
General Assembly:  | 
  (1) The Director of Aging, or his or her designee, who  | 
 shall serve as the chairperson of the Subcommittee.  | 
  (2) One representative of the Department of Healthcare  | 
 and Family Services, appointed by the Director of  | 
 Healthcare and Family Services.  | 
  (3) One representative of the Department of Human  | 
 Services, appointed by the Secretary of Human Services.  | 
  (4) One individual representing a care coordination  | 
 unit, appointed by the Director of Aging.  | 
  (5) One individual from a non-governmental statewide  | 
 organization that advocates for seniors, appointed by the  | 
 Director of Aging.  | 
  (6) One individual representing Area Agencies on  | 
 Aging, appointed by the Director of Aging.  | 
  (7) One individual from a statewide association  | 
 dedicated to Alzheimer's care, support, and research,  | 
 appointed by the Director of Aging.  | 
  (8) One individual from an organization that employs  | 
 persons who provide services under the Community Care  | 
 Program, appointed by the Director of Aging.  | 
  (9) One member of a trade or labor union representing  | 
 persons who provide services under the Community Care  | 
 | 
 Program, appointed by the Director of Aging.  | 
  (10) One member of the Senate, who shall serve as  | 
 co-chairperson, appointed by the President of the Senate.  | 
  (11) One member of the Senate, who shall serve as  | 
 co-chairperson, appointed by the Minority Leader of the  | 
 Senate.  | 
  (12) One member of the House of Representatives, who  | 
 shall serve as co-chairperson, appointed by the Speaker of  | 
 the House of Representatives.  | 
  (13) One member of the House of Representatives, who  | 
 shall serve as co-chairperson, appointed by the Minority  | 
 Leader of the House of Representatives.  | 
  (14) One individual appointed by a labor organization  | 
 representing frontline employees at the Department of  | 
 Human Services.  | 
 The Subcommittee shall provide oversight to the Community  | 
Care Program Medicaid Initiative and shall meet quarterly. At  | 
each Subcommittee meeting the Department on Aging shall  | 
provide the following data sets to the Subcommittee: (A) the  | 
number of Illinois residents, categorized by planning and  | 
service area, who are receiving services under the Community  | 
Care Program and are enrolled in the State's Medical  | 
Assistance Program; (B) the number of Illinois residents,  | 
categorized by planning and service area, who are receiving  | 
services under the Community Care Program, but are not  | 
enrolled in the State's Medical Assistance Program; and (C)  | 
 | 
the number of Illinois residents, categorized by planning and  | 
service area, who are receiving services under the Community  | 
Care Program and are eligible for benefits under the State's  | 
Medical Assistance Program, but are not enrolled in the  | 
State's Medical Assistance Program. In addition to this data,  | 
the Department on Aging shall provide the Subcommittee with  | 
plans on how the Department on Aging will reduce the number of  | 
Illinois residents who are not enrolled in the State's Medical  | 
Assistance Program but who are eligible for medical assistance  | 
benefits. The Department on Aging shall enroll in the State's  | 
Medical Assistance Program those Illinois residents who  | 
receive services under the Community Care Program and are  | 
eligible for medical assistance benefits but are not enrolled  | 
in the State's Medicaid Assistance Program. The data provided  | 
to the Subcommittee shall be made available to the public via  | 
the Department on Aging's website.  | 
 The Department on Aging, with the involvement of the  | 
Subcommittee, shall collaborate with the Department of Human  | 
Services and the Department of Healthcare and Family Services  | 
on how best to achieve the responsibilities of the Community  | 
Care Program Medicaid Initiative.  | 
 The Department on Aging, the Department of Human Services,  | 
and the Department of Healthcare and Family Services shall  | 
coordinate and implement a streamlined process for seniors to  | 
access benefits under the State's Medical Assistance Program.  | 
 The Subcommittee shall collaborate with the Department of  | 
 | 
Human Services on the adoption of a uniform application  | 
submission process. The Department of Human Services and any  | 
other State agency involved with processing the medical  | 
assistance application of any person enrolled in the Community  | 
Care Program shall include the appropriate care coordination  | 
unit in all communications related to the determination or  | 
status of the application.  | 
 The Community Care Program Medicaid Initiative shall  | 
provide targeted funding to care coordination units to help  | 
seniors complete their applications for medical assistance  | 
benefits. On and after July 1, 2019, care coordination units  | 
shall receive no less than $200 per completed application,  | 
which rate may be included in a bundled rate for initial intake  | 
services when Medicaid application assistance is provided in  | 
conjunction with the initial intake process for new program  | 
participants. | 
 The Community Care Program Medicaid Initiative shall cease  | 
operation 5 years after June 4, 2018 (the effective date of  | 
Public Act 100-587) this amendatory Act of the 100th General  | 
Assembly, after which the Subcommittee shall dissolve.  | 
 Effective July 1, 2023, subject to federal approval, the  | 
Department on Aging shall reimburse Care Coordination Units at  | 
the following rates for case management services: $252.40 for  | 
each initial assessment; $366.40 for each initial assessment  | 
with translation; $229.68 for each redetermination assessment;  | 
$313.68 for each redetermination assessment with translation;  | 
 | 
$200.00 for each completed application for medical assistance  | 
benefits; $132.26 for each face-to-face, choices-for-care  | 
screening; $168.26 for each face-to-face, choices-for-care  | 
screening with translation; $124.56 for each 6-month,  | 
face-to-face visit; $132.00 for each MCO participant  | 
eligibility determination; and $157.00 for each MCO  | 
participant eligibility determination with translation.  | 
(Source: P.A. 102-1071, eff. 6-10-22; 103-8, eff. 6-7-23;  | 
103-102, Article 45, Section 45-5, eff. 1-1-24; 103-102,  | 
Article 85, Section 85-5, eff. 1-1-24; 103-102, Article 90,  | 
Section 90-5, eff. 1-1-24; revised 12-12-23.)
 | 
 Section 65. The Personnel Code is amended by changing  | 
Sections 8a, 8b.3, 8b.9, 8b.10, and 9 as follows:
 | 
 (20 ILCS 415/8a) (from Ch. 127, par. 63b108a) | 
 Sec. 8a. Jurisdiction A; classification Jurisdiction A -  | 
Classification and pay. For positions in the State service  | 
subject to the jurisdiction of the Department of Central  | 
Management Services with respect to the classification and  | 
pay: | 
  (1) For the preparation, maintenance, and revision by  | 
 the Director, subject to approval by the Commission, of a  | 
 position classification plan for all positions subject to  | 
 this Code Act, based upon similarity of duties performed,  | 
 responsibilities assigned, and conditions of employment so  | 
 | 
 that the same schedule of pay may be equitably applied to  | 
 all positions in the same class. However, the pay of an  | 
 employee whose position is reduced in rank or grade by  | 
 reallocation because of a loss of duties or  | 
 responsibilities after his appointment to such position  | 
 shall not be required to be lowered for a period of one  | 
 year after the reallocation of his position. Conditions of  | 
 employment shall not be used as a factor in the  | 
 classification of any position heretofore paid under the  | 
 provisions of Section 1.22 of "An Act to standardize  | 
 position titles and salary rates", approved June 30, 1943,  | 
 as amended. Unless the Commission disapproves such  | 
 classification plan within 60 days, or any revision  | 
 thereof within 30 days, the Director shall allocate every  | 
 such position to one of the classes in the plan. Any  | 
 employee affected by the allocation of a position to a  | 
 class shall, after filing with the Director of Central  | 
 Management Services a written request for reconsideration  | 
 thereof in such manner and form as the Director may  | 
 prescribe, be given a reasonable opportunity to be heard  | 
 by the Director. If the employee does not accept the  | 
 allocation of the position, he shall then have the right  | 
 of appeal to the Civil Service Commission. | 
  (2) For a pay plan to be prepared by the Director for  | 
 all employees subject to this Code Act after consultation  | 
 with operating agency heads and the Director of the  | 
 | 
 Governor's Office of Management and Budget. Such pay plan  | 
 may include provisions for uniformity of starting pay, an  | 
 increment plan, area differentials, a delay not to exceed  | 
 one year prior to the reduction of the pay of employees  | 
 whose positions are reduced in rank or grade by  | 
 reallocation because of a loss of duties or  | 
 responsibilities after their appointments to such  | 
 positions, prevailing rates of wages in those  | 
 classifications in which employers are now paying or may  | 
 hereafter pay such rates of wage and other provisions.  | 
 Such pay plan shall become effective only after it has  | 
 been approved by the Governor. Amendments to the pay plan  | 
 shall be made in the same manner. Such pay plan shall  | 
 provide that each employee shall be paid at one of the  | 
 rates set forth in the pay plan for the class of position  | 
 in which he is employed, subject to delay in the reduction  | 
 of pay of employees whose positions are reduced in rank or  | 
 grade by allocation as above set forth in this Section.  | 
 Such pay plan shall provide for a fair and reasonable  | 
 compensation for services rendered. | 
 This Section is inapplicable to the position of Assistant  | 
Director of Healthcare and Family Services in the Department  | 
of Healthcare and Family Services. The salary for this  | 
position shall be as established in the "The Civil  | 
Administrative Code of Illinois", approved March 7, 1917, as  | 
amended. | 
 | 
(Source: P.A. 94-793, eff. 5-19-06; 95-331, eff. 8-21-07;  | 
revised 9-20-23.)
 | 
 (20 ILCS 415/8b.3) (from Ch. 127, par. 63b108b.3) | 
 Sec. 8b.3. For assessment of employees with contractual  | 
rights under a collective bargaining agreement to determine  | 
those candidates who are eligible for appointment and  | 
promotion and their relative excellence. Assessments, which  | 
are the determination of whether an individual meets the  | 
minimum qualifications as determined by the class  | 
specification of the position for which they are being  | 
considered, shall be designed to objectively eliminate those  | 
who are not qualified for the position into which they are  | 
applying and to discover the relative fitness of those who are  | 
qualified. The Director may substitute rankings, such as  | 
superior, excellent, well-qualified, and qualified, for  | 
numerical ratings and establish qualification assessments or  | 
assessment equivalents accordingly. The Department may adopt  | 
rules regarding the assessment of applicants and the  | 
appointment of qualified candidates. Adopted rules shall be  | 
interpreted to be consistent with collective bargaining  | 
agreements. | 
(Source: P.A. 103-108, eff. 6-27-23; revised 9-20-23.)
 | 
 (20 ILCS 415/8b.9) (from Ch. 127, par. 63b108b.9) | 
 Sec. 8b.9. For temporary appointments to any positions in  | 
 | 
the State service which are determined to be temporary or  | 
seasonal in nature by the Director of Central Management  | 
Services. Temporary appointments may be made for not more than  | 
6 months. No position in the State service may be filled by  | 
temporary appointment for more than 6 months out of any  | 
12-month 12 month period. | 
(Source: P.A. 103-108, eff. 6-27-23; revised 9-20-23.)
 | 
 (20 ILCS 415/8b.10) (from Ch. 127, par. 63b108b.10) | 
 Sec. 8b.10. For provisional appointment to a position  | 
without competitive qualification assessment. No position  | 
within jurisdiction B may be filled by provisional appointment  | 
for longer than 6 months out of any 12-month 12 month period. | 
(Source: P.A. 103-108, eff. 6-27-23; revised 9-20-23.)
 | 
 (20 ILCS 415/9) (from Ch. 127, par. 63b109) | 
 Sec. 9. Director; , powers and duties. The Director, as  | 
executive head of the Department, shall direct and supervise  | 
all its administrative and technical activities. In addition  | 
to the duties imposed upon him elsewhere in this Code law, it  | 
shall be his duty: | 
  (1) To apply and carry out this Code law and the rules  | 
 adopted thereunder. | 
  (2) To attend meetings of the Commission. | 
  (3) To establish and maintain a roster of all  | 
 employees subject to this Code Act, in which there shall  | 
 | 
 be set forth, as to each employee, the class, title, pay,  | 
 status, and other pertinent data. | 
  (4) To appoint, subject to the provisions of this Code  | 
 Act, such employees of the Department and such experts and  | 
 special assistants as may be necessary to carry out  | 
 effectively this Code law. | 
  (5) Subject to such exemptions or modifications as may  | 
 be necessary to assure the continuity of federal  | 
 contributions in those agencies supported in whole or in  | 
 part by federal funds, to make appointments to vacancies;  | 
 to approve all written charges seeking discharge,  | 
 demotion, or other disciplinary measures provided in this  | 
 Code Act and to approve transfers of employees from one  | 
 geographical area to another in the State, in offices,  | 
 positions or places of employment covered by this Code  | 
 Act, after consultation with the operating unit. | 
  (6) To formulate and administer service wide policies  | 
 and programs for the improvement of employee  | 
 effectiveness, including training, safety, health,  | 
 incentive recognition, counseling, welfare, and employee  | 
 relations. The Department shall formulate and administer  | 
 recruitment plans and testing of potential employees for  | 
 agencies having direct contact with significant numbers of  | 
 non-English speaking or otherwise culturally distinct  | 
 persons. The Department shall require each State agency to  | 
 annually assess the need for employees with appropriate  | 
 | 
 bilingual capabilities to serve the significant numbers of  | 
 non-English speaking or culturally distinct persons. The  | 
 Department shall develop a uniform procedure for assessing  | 
 an agency's need for employees with appropriate bilingual  | 
 capabilities. Agencies shall establish occupational titles  | 
 or designate positions as "bilingual option" for persons  | 
 having sufficient linguistic ability or cultural knowledge  | 
 to be able to render effective service to such persons.  | 
 The Department shall ensure that any such option is  | 
 exercised according to the agency's needs assessment and  | 
 the requirements of this Code. The Department shall make  | 
 annual reports of the needs assessment of each agency and  | 
 the number of positions calling for non-English linguistic  | 
 ability to whom vacancy postings were sent, and the number  | 
 filled by each agency. Such policies and programs shall be  | 
 subject to approval by the Governor, provided that for  | 
 needs that require a certain linguistic ability that: (i)  | 
 have not been met for a posted position for a period of at  | 
 least one year; or (ii) arise when an individual's health  | 
 or safety would be placed in immediate risk, the  | 
 Department shall accept certifications of linguistic  | 
 competence from pre-approved third parties. To facilitate  | 
 expanding the scope of sources to demonstrate linguistic  | 
 competence, the Department shall issue standards for  | 
 demonstrating linguistic competence. No later than January  | 
 2024, the Department shall authorize at least one if not  | 
 | 
 more community colleges in the regions involving the  | 
 counties of Cook, Lake, McHenry, Kane, DuPage, Kendall,  | 
 Will, Sangamon, and 5 other geographically distributed  | 
 counties within the State to pre-test and certify  | 
 linguistic ability, and such certifications by candidates  | 
 shall be presumed to satisfy the linguistic ability  | 
 requirements for the job position. Such policies, program  | 
 reports and needs assessment reports, as well as  | 
 linguistic certification standards, shall be filed with  | 
 the General Assembly by January 1 of each year and shall be  | 
 available to the public. | 
  The Department shall include within the report  | 
 required above the number of persons receiving the  | 
 bilingual pay supplement established by Section 8a.2 of  | 
 this Code. The report shall provide the number of persons  | 
 receiving the bilingual pay supplement for languages other  | 
 than English and for signing. The report shall also  | 
 indicate the number of persons, by the categories of  | 
 Hispanic and non-Hispanic, who are receiving the bilingual  | 
 pay supplement for language skills other than signing, in  | 
 a language other than English. | 
  (7) To conduct negotiations affecting pay, hours of  | 
 work, or other working conditions of employees subject to  | 
 this Code Act. | 
  (8) To make continuing studies to improve the  | 
 efficiency of State services to the residents of Illinois,  | 
 | 
 including, but not limited to, those who are non-English  | 
 speaking or culturally distinct, and to report his  | 
 findings and recommendations to the Commission and the  | 
 Governor. | 
  (9) To investigate from time to time the operation and  | 
 effect of this Code law and the rules made thereunder and  | 
 to report his findings and recommendations to the  | 
 Commission and to the Governor. | 
  (10) To make an annual report regarding the work of  | 
 the Department, and such special reports as he may  | 
 consider desirable, to the Commission and to the Governor,  | 
 or as the Governor or Commission may request. | 
  (11) To make continuing studies to encourage State  | 
 employment for persons with disabilities, including, but  | 
 not limited to, the Successful Disability Opportunities  | 
 Program. | 
  (12) To make available, on the CMS website or its  | 
 equivalent, no less frequently than quarterly, information  | 
 regarding all exempt positions in State service and  | 
 information showing the number of employees who are exempt  | 
 from merit selection and non-exempt from merit selection  | 
 in each department. | 
  (13) To establish policies to increase the flexibility  | 
 of the State workforce for every department or agency  | 
 subject to Jurisdiction C, including the use of flexible  | 
 time, location, workloads, and positions. The Director and  | 
 | 
 the director of each department or agency shall together  | 
 establish quantifiable goals to increase workforce  | 
 flexibility in each department or agency. To authorize in  | 
 every department or agency subject to Jurisdiction C the  | 
 use of flexible hours positions. A flexible hours position  | 
 is one that does not require an ordinary work schedule as  | 
 determined by the Department and includes, but is not  | 
 limited to: (1) 1) a part time job of 20 hours or more per  | 
 week, (2) 2) a job which is shared by 2 employees or a  | 
 compressed work week consisting of an ordinary number of  | 
 working hours performed on fewer than the number of days  | 
 ordinarily required to perform that job. The Department  | 
 may define flexible time to include other types of jobs  | 
 that are defined above. | 
  The Director and the director of each department or  | 
 agency shall together establish goals for flexible hours  | 
 positions to be available in every department or agency. | 
  The Department shall give technical assistance to  | 
 departments and agencies in achieving their goals, and  | 
 shall report to the Governor and the General Assembly each  | 
 year on the progress of each department and agency. | 
  When a goal of 10% of the positions in a department or  | 
 agency being available on a flexible hours basis has been  | 
 reached, the Department shall evaluate the effectiveness  | 
 and efficiency of the program and determine whether to  | 
 expand the number of positions available for flexible  | 
 | 
 hours to 20%. | 
  When a goal of 20% of the positions in a department or  | 
 agency being available on a flexible hours basis has been  | 
 reached, the Department shall evaluate the effectiveness  | 
 and efficiency of the program and determine whether to  | 
 expand the number of positions available for flexible  | 
 hours. | 
  (14) To perform any other lawful acts which he may  | 
 consider necessary or desirable to carry out the purposes  | 
 and provisions of this Code law. | 
 (15) When a vacancy rate is greater than or equal to 10%  | 
for a given position, the Department shall review the  | 
educational and other requirements for the position to  | 
determine if modifications need to be made.  | 
 The requirement for reporting to the General Assembly  | 
shall be satisfied by filing copies of the report as required  | 
by Section 3.1 of the General Assembly Organization Act, and  | 
filing such additional copies with the State Government Report  | 
Distribution Center for the General Assembly as is required  | 
under paragraph (t) of Section 7 of the State Library Act. | 
(Source: P.A. 102-952, eff. 1-1-23; 103-108, eff. 6-27-23;  | 
revised 9-20-23.)
 | 
 Section 70. The Children and Family Services Act is  | 
amended by changing Sections 5, 5d, 7.4, 17, and 21 as follows:
 | 
 | 
 (20 ILCS 505/5) | 
 Sec. 5. Direct child welfare services; Department of  | 
Children and Family Services.  To provide direct child welfare  | 
services when not available through other public or private  | 
child care or program facilities. | 
 (a) For purposes of this Section: | 
  (1) "Children" means persons found within the State  | 
 who are under the age of 18 years. The term also includes  | 
 persons under age 21 who: | 
   (A) were committed to the Department pursuant to  | 
 the Juvenile Court Act or the Juvenile Court Act of  | 
 1987 and who continue under the jurisdiction of the  | 
 court; or | 
   (B) were accepted for care, service and training  | 
 by the Department prior to the age of 18 and whose best  | 
 interest in the discretion of the Department would be  | 
 served by continuing that care, service and training  | 
 because of severe emotional disturbances, physical  | 
 disability, social adjustment or any combination  | 
 thereof, or because of the need to complete an  | 
 educational or vocational training program. | 
  (2) "Homeless youth" means persons found within the  | 
 State who are under the age of 19, are not in a safe and  | 
 stable living situation and cannot be reunited with their  | 
 families. | 
  (3) "Child welfare services" means public social  | 
 | 
 services which are directed toward the accomplishment of  | 
 the following purposes: | 
   (A) protecting and promoting the health, safety  | 
 and welfare of children, including homeless,  | 
 dependent, or neglected children; | 
   (B) remedying, or assisting in the solution of  | 
 problems which may result in, the neglect, abuse,  | 
 exploitation, or delinquency of children; | 
   (C) preventing the unnecessary separation of  | 
 children from their families by identifying family  | 
 problems, assisting families in resolving their  | 
 problems, and preventing the breakup of the family  | 
 where the prevention of child removal is desirable and  | 
 possible when the child can be cared for at home  | 
 without endangering the child's health and safety; | 
   (D) restoring to their families children who have  | 
 been removed, by the provision of services to the  | 
 child and the families when the child can be cared for  | 
 at home without endangering the child's health and  | 
 safety; | 
   (E) placing children in suitable permanent family  | 
 arrangements, through guardianship or adoption, in  | 
 cases where restoration to the birth family is not  | 
 safe, possible, or appropriate; | 
   (F) at the time of placement, conducting  | 
 concurrent planning, as described in subsection (l-1)  | 
 | 
 of this Section, so that permanency may occur at the  | 
 earliest opportunity. Consideration should be given so  | 
 that if reunification fails or is delayed, the  | 
 placement made is the best available placement to  | 
 provide permanency for the child; | 
   (G) (blank); | 
   (H) (blank); and | 
   (I) placing and maintaining children in facilities  | 
 that provide separate living quarters for children  | 
 under the age of 18 and for children 18 years of age  | 
 and older, unless a child 18 years of age is in the  | 
 last year of high school education or vocational  | 
 training, in an approved individual or group treatment  | 
 program, in a licensed shelter facility, or secure  | 
 child care facility. The Department is not required to  | 
 place or maintain children: | 
    (i) who are in a foster home, or | 
    (ii) who are persons with a developmental  | 
 disability, as defined in the Mental Health and  | 
 Developmental Disabilities Code, or | 
    (iii) who are female children who are  | 
 pregnant, pregnant and parenting, or parenting, or | 
    (iv) who are siblings, in facilities that  | 
 provide separate living quarters for children 18  | 
 years of age and older and for children under 18  | 
 years of age. | 
 | 
 (b) (Blank). | 
 (b-5) The Department shall adopt rules to establish a  | 
process for all licensed residential providers in Illinois to  | 
submit data as required by the Department, if they contract or  | 
receive reimbursement for children's mental health, substance  | 
use, and developmental disability services from the Department  | 
of Human Services, the Department of Juvenile Justice, or the  | 
Department of Healthcare and Family Services. The requested  | 
data must include, but is not limited to, capacity, staffing,  | 
and occupancy data for the purpose of establishing State need  | 
and placement availability.  | 
 All information collected, shared, or stored pursuant to  | 
this subsection shall be handled in accordance with all State  | 
and federal privacy laws and accompanying regulations and  | 
rules, including without limitation the federal Health  | 
Insurance Portability and Accountability Act of 1996 (Public  | 
Law 104-191) and the Mental Health and Developmental  | 
Disabilities Confidentiality Act.  | 
 (c) The Department shall establish and maintain  | 
tax-supported child welfare services and extend and seek to  | 
improve voluntary services throughout the State, to the end  | 
that services and care shall be available on an equal basis  | 
throughout the State to children requiring such services. | 
 (d) The Director may authorize advance disbursements for  | 
any new program initiative to any agency contracting with the  | 
Department. As a prerequisite for an advance disbursement, the  | 
 | 
contractor must post a surety bond in the amount of the advance  | 
disbursement and have a purchase of service contract approved  | 
by the Department. The Department may pay up to 2 months  | 
operational expenses in advance. The amount of the advance  | 
disbursement shall be prorated over the life of the contract  | 
or the remaining months of the fiscal year, whichever is less,  | 
and the installment amount shall then be deducted from future  | 
bills. Advance disbursement authorizations for new initiatives  | 
shall not be made to any agency after that agency has operated  | 
during 2 consecutive fiscal years. The requirements of this  | 
Section concerning advance disbursements shall not apply with  | 
respect to the following: payments to local public agencies  | 
for child day care services as authorized by Section 5a of this  | 
Act; and youth service programs receiving grant funds under  | 
Section 17a-4. | 
 (e) (Blank). | 
 (f) (Blank). | 
 (g) The Department shall establish rules and regulations  | 
concerning its operation of programs designed to meet the  | 
goals of child safety and protection, family preservation,  | 
family reunification, and adoption, including, but not limited  | 
to: | 
  (1) adoption; | 
  (2) foster care; | 
  (3) family counseling; | 
  (4) protective services; | 
 | 
  (5) (blank); | 
  (6) homemaker service; | 
  (7) return of runaway children; | 
  (8) (blank); | 
  (9) placement under Section 5-7 of the Juvenile Court  | 
 Act or Section 2-27, 3-28, 4-25, or 5-740 of the Juvenile  | 
 Court Act of 1987 in accordance with the federal Adoption  | 
 Assistance and Child Welfare Act of 1980; and  | 
  (10) interstate services. | 
 Rules and regulations established by the Department shall  | 
include provisions for training Department staff and the staff  | 
of Department grantees, through contracts with other agencies  | 
or resources, in screening techniques to identify substance  | 
use disorders, as defined in the Substance Use Disorder Act,  | 
approved by the Department of Human Services, as a successor  | 
to the Department of Alcoholism and Substance Abuse, for the  | 
purpose of identifying children and adults who should be  | 
referred for an assessment at an organization appropriately  | 
licensed by the Department of Human Services for substance use  | 
disorder treatment. | 
 (h) If the Department finds that there is no appropriate  | 
program or facility within or available to the Department for  | 
a youth in care and that no licensed private facility has an  | 
adequate and appropriate program or none agrees to accept the  | 
youth in care, the Department shall create an appropriate  | 
individualized, program-oriented plan for such youth in care.  | 
 | 
The plan may be developed within the Department or through  | 
purchase of services by the Department to the extent that it is  | 
within its statutory authority to do. | 
 (i) Service programs shall be available throughout the  | 
State and shall include but not be limited to the following  | 
services: | 
  (1) case management; | 
  (2) homemakers; | 
  (3) counseling; | 
  (4) parent education; | 
  (5) day care; and | 
  (6) emergency assistance and advocacy. | 
 In addition, the following services may be made available  | 
to assess and meet the needs of children and families: | 
  (1) comprehensive family-based services; | 
  (2) assessments; | 
  (3) respite care; and | 
  (4) in-home health services. | 
 The Department shall provide transportation for any of the  | 
services it makes available to children or families or for  | 
which it refers children or families. | 
 (j) The Department may provide categories of financial  | 
assistance and education assistance grants, and shall  | 
establish rules and regulations concerning the assistance and  | 
grants, to persons who adopt children with physical or mental  | 
disabilities, children who are older, or other hard-to-place  | 
 | 
children who (i) immediately prior to their adoption were  | 
youth in care or (ii) were determined eligible for financial  | 
assistance with respect to a prior adoption and who become  | 
available for adoption because the prior adoption has been  | 
dissolved and the parental rights of the adoptive parents have  | 
been terminated or because the child's adoptive parents have  | 
died. The Department may continue to provide financial  | 
assistance and education assistance grants for a child who was  | 
determined eligible for financial assistance under this  | 
subsection (j) in the interim period beginning when the  | 
child's adoptive parents died and ending with the finalization  | 
of the new adoption of the child by another adoptive parent or  | 
parents. The Department may also provide categories of  | 
financial assistance and education assistance grants, and  | 
shall establish rules and regulations for the assistance and  | 
grants, to persons appointed guardian of the person under  | 
Section 5-7 of the Juvenile Court Act or Section 2-27, 3-28,  | 
4-25, or 5-740 of the Juvenile Court Act of 1987 for children  | 
who were youth in care for 12 months immediately prior to the  | 
appointment of the guardian. | 
 The amount of assistance may vary, depending upon the  | 
needs of the child and the adoptive parents, as set forth in  | 
the annual assistance agreement. Special purpose grants are  | 
allowed where the child requires special service but such  | 
costs may not exceed the amounts which similar services would  | 
cost the Department if it were to provide or secure them as  | 
 | 
guardian of the child. | 
 Any financial assistance provided under this subsection is  | 
inalienable by assignment, sale, execution, attachment,  | 
garnishment, or any other remedy for recovery or collection of  | 
a judgment or debt. | 
 (j-5) The Department shall not deny or delay the placement  | 
of a child for adoption if an approved family is available  | 
either outside of the Department region handling the case, or  | 
outside of the State of Illinois. | 
 (k) The Department shall accept for care and training any  | 
child who has been adjudicated neglected or abused, or  | 
dependent committed to it pursuant to the Juvenile Court Act  | 
or the Juvenile Court Act of 1987. | 
 (l) The Department shall offer family preservation  | 
services, as defined in Section 8.2 of the Abused and  | 
Neglected Child Reporting Act, to help families, including  | 
adoptive and extended families. Family preservation services  | 
shall be offered (i) to prevent the placement of children in  | 
substitute care when the children can be cared for at home or  | 
in the custody of the person responsible for the children's  | 
welfare, (ii) to reunite children with their families, or  | 
(iii) to maintain an adoptive placement. Family preservation  | 
services shall only be offered when doing so will not endanger  | 
the children's health or safety. With respect to children who  | 
are in substitute care pursuant to the Juvenile Court Act of  | 
1987, family preservation services shall not be offered if a  | 
 | 
goal other than those of subdivisions (A), (B), or (B-1) of  | 
subsection (2) of Section 2-28 of that Act has been set, except  | 
that reunification services may be offered as provided in  | 
paragraph (F) of subsection (2) of Section 2-28 of that Act.  | 
Nothing in this paragraph shall be construed to create a  | 
private right of action or claim on the part of any individual  | 
or child welfare agency, except that when a child is the  | 
subject of an action under Article II of the Juvenile Court Act  | 
of 1987 and the child's service plan calls for services to  | 
facilitate achievement of the permanency goal, the court  | 
hearing the action under Article II of the Juvenile Court Act  | 
of 1987 may order the Department to provide the services set  | 
out in the plan, if those services are not provided with  | 
reasonable promptness and if those services are available. | 
 The Department shall notify the child and the child's  | 
family of the Department's responsibility to offer and provide  | 
family preservation services as identified in the service  | 
plan. The child and the child's family shall be eligible for  | 
services as soon as the report is determined to be  | 
"indicated". The Department may offer services to any child or  | 
family with respect to whom a report of suspected child abuse  | 
or neglect has been filed, prior to concluding its  | 
investigation under Section 7.12 of the Abused and Neglected  | 
Child Reporting Act. However, the child's or family's  | 
willingness to accept services shall not be considered in the  | 
investigation. The Department may also provide services to any  | 
 | 
child or family who is the subject of any report of suspected  | 
child abuse or neglect or may refer such child or family to  | 
services available from other agencies in the community, even  | 
if the report is determined to be unfounded, if the conditions  | 
in the child's or family's home are reasonably likely to  | 
subject the child or family to future reports of suspected  | 
child abuse or neglect. Acceptance of such services shall be  | 
voluntary. The Department may also provide services to any  | 
child or family after completion of a family assessment, as an  | 
alternative to an investigation, as provided under the  | 
"differential response program" provided for in subsection  | 
(a-5) of Section 7.4 of the Abused and Neglected Child  | 
Reporting Act. | 
 The Department may, at its discretion except for those  | 
children also adjudicated neglected or dependent, accept for  | 
care and training any child who has been adjudicated addicted,  | 
as a truant minor in need of supervision or as a minor  | 
requiring authoritative intervention, under the Juvenile Court  | 
Act or the Juvenile Court Act of 1987, but no such child shall  | 
be committed to the Department by any court without the  | 
approval of the Department. On and after January 1, 2015 (the  | 
effective date of Public Act 98-803) and before January 1,  | 
2017, a minor charged with a criminal offense under the  | 
Criminal Code of 1961 or the Criminal Code of 2012 or  | 
adjudicated delinquent shall not be placed in the custody of  | 
or committed to the Department by any court, except (i) a minor  | 
 | 
less than 16 years of age committed to the Department under  | 
Section 5-710 of the Juvenile Court Act of 1987, (ii) a minor  | 
for whom an independent basis of abuse, neglect, or dependency  | 
exists, which must be defined by departmental rule, or (iii) a  | 
minor for whom the court has granted a supplemental petition  | 
to reinstate wardship pursuant to subsection (2) of Section  | 
2-33 of the Juvenile Court Act of 1987. On and after January 1,  | 
2017, a minor charged with a criminal offense under the  | 
Criminal Code of 1961 or the Criminal Code of 2012 or  | 
adjudicated delinquent shall not be placed in the custody of  | 
or committed to the Department by any court, except (i) a minor  | 
less than 15 years of age committed to the Department under  | 
Section 5-710 of the Juvenile Court Act of 1987, (ii) a minor  | 
for whom an independent basis of abuse, neglect, or dependency  | 
exists, which must be defined by departmental rule, or (iii) a  | 
minor for whom the court has granted a supplemental petition  | 
to reinstate wardship pursuant to subsection (2) of Section  | 
2-33 of the Juvenile Court Act of 1987. An independent basis  | 
exists when the allegations or adjudication of abuse, neglect,  | 
or dependency do not arise from the same facts, incident, or  | 
circumstances which give rise to a charge or adjudication of  | 
delinquency. The Department shall assign a caseworker to  | 
attend any hearing involving a youth in the care and custody of  | 
the Department who is placed on aftercare release, including  | 
hearings involving sanctions for violation of aftercare  | 
release conditions and aftercare release revocation hearings.  | 
 | 
 As soon as is possible after August 7, 2009 (the effective  | 
date of Public Act 96-134), the Department shall develop and  | 
implement a special program of family preservation services to  | 
support intact, foster, and adoptive families who are  | 
experiencing extreme hardships due to the difficulty and  | 
stress of caring for a child who has been diagnosed with a  | 
pervasive developmental disorder if the Department determines  | 
that those services are necessary to ensure the health and  | 
safety of the child. The Department may offer services to any  | 
family whether or not a report has been filed under the Abused  | 
and Neglected Child Reporting Act. The Department may refer  | 
the child or family to services available from other agencies  | 
in the community if the conditions in the child's or family's  | 
home are reasonably likely to subject the child or family to  | 
future reports of suspected child abuse or neglect. Acceptance  | 
of these services shall be voluntary. The Department shall  | 
develop and implement a public information campaign to alert  | 
health and social service providers and the general public  | 
about these special family preservation services. The nature  | 
and scope of the services offered and the number of families  | 
served under the special program implemented under this  | 
paragraph shall be determined by the level of funding that the  | 
Department annually allocates for this purpose. The term  | 
"pervasive developmental disorder" under this paragraph means  | 
a neurological condition, including, but not limited to,  | 
Asperger's Syndrome and autism, as defined in the most recent  | 
 | 
edition of the Diagnostic and Statistical Manual of Mental  | 
Disorders of the American Psychiatric Association. | 
 (l-1) The General Assembly recognizes that the best  | 
interests of the child require that the child be placed in the  | 
most permanent living arrangement as soon as is practically  | 
possible. To achieve this goal, the General Assembly directs  | 
the Department of Children and Family Services to conduct  | 
concurrent planning so that permanency may occur at the  | 
earliest opportunity. Permanent living arrangements may  | 
include prevention of placement of a child outside the home of  | 
the family when the child can be cared for at home without  | 
endangering the child's health or safety; reunification with  | 
the family, when safe and appropriate, if temporary placement  | 
is necessary; or movement of the child toward the most  | 
permanent living arrangement and permanent legal status. | 
 When determining reasonable efforts to be made with  | 
respect to a child, as described in this subsection, and in  | 
making such reasonable efforts, the child's health and safety  | 
shall be the paramount concern. | 
 When a child is placed in foster care, the Department  | 
shall ensure and document that reasonable efforts were made to  | 
prevent or eliminate the need to remove the child from the  | 
child's home. The Department must make reasonable efforts to  | 
reunify the family when temporary placement of the child  | 
occurs unless otherwise required, pursuant to the Juvenile  | 
Court Act of 1987. At any time after the dispositional hearing  | 
 | 
where the Department believes that further reunification  | 
services would be ineffective, it may request a finding from  | 
the court that reasonable efforts are no longer appropriate.  | 
The Department is not required to provide further  | 
reunification services after such a finding. | 
 A decision to place a child in substitute care shall be  | 
made with considerations of the child's health, safety, and  | 
best interests. At the time of placement, consideration should  | 
also be given so that if reunification fails or is delayed, the  | 
placement made is the best available placement to provide  | 
permanency for the child. | 
 The Department shall adopt rules addressing concurrent  | 
planning for reunification and permanency. The Department  | 
shall consider the following factors when determining  | 
appropriateness of concurrent planning: | 
  (1) the likelihood of prompt reunification; | 
  (2) the past history of the family; | 
  (3) the barriers to reunification being addressed by  | 
 the family; | 
  (4) the level of cooperation of the family; | 
  (5) the foster parents' willingness to work with the  | 
 family to reunite; | 
  (6) the willingness and ability of the foster family  | 
 to provide an adoptive home or long-term placement; | 
  (7) the age of the child; | 
  (8) placement of siblings. | 
 | 
 (m) The Department may assume temporary custody of any  | 
child if: | 
  (1) it has received a written consent to such  | 
 temporary custody signed by the parents of the child or by  | 
 the parent having custody of the child if the parents are  | 
 not living together or by the guardian or custodian of the  | 
 child if the child is not in the custody of either parent,  | 
 or | 
  (2) the child is found in the State and neither a  | 
 parent, guardian nor custodian of the child can be  | 
 located. | 
If the child is found in the child's residence without a  | 
parent, guardian, custodian, or responsible caretaker, the  | 
Department may, instead of removing the child and assuming  | 
temporary custody, place an authorized representative of the  | 
Department in that residence until such time as a parent,  | 
guardian, or custodian enters the home and expresses a  | 
willingness and apparent ability to ensure the child's health  | 
and safety and resume permanent charge of the child, or until a  | 
relative enters the home and is willing and able to ensure the  | 
child's health and safety and assume charge of the child until  | 
a parent, guardian, or custodian enters the home and expresses  | 
such willingness and ability to ensure the child's safety and  | 
resume permanent charge. After a caretaker has remained in the  | 
home for a period not to exceed 12 hours, the Department must  | 
follow those procedures outlined in Section 2-9, 3-11, 4-8, or  | 
 | 
5-415 of the Juvenile Court Act of 1987. | 
 The Department shall have the authority, responsibilities  | 
and duties that a legal custodian of the child would have  | 
pursuant to subsection (9) of Section 1-3 of the Juvenile  | 
Court Act of 1987. Whenever a child is taken into temporary  | 
custody pursuant to an investigation under the Abused and  | 
Neglected Child Reporting Act, or pursuant to a referral and  | 
acceptance under the Juvenile Court Act of 1987 of a minor in  | 
limited custody, the Department, during the period of  | 
temporary custody and before the child is brought before a  | 
judicial officer as required by Section 2-9, 3-11, 4-8, or  | 
5-415 of the Juvenile Court Act of 1987, shall have the  | 
authority, responsibilities and duties that a legal custodian  | 
of the child would have under subsection (9) of Section 1-3 of  | 
the Juvenile Court Act of 1987. | 
 The Department shall ensure that any child taken into  | 
custody is scheduled for an appointment for a medical  | 
examination. | 
 A parent, guardian, or custodian of a child in the  | 
temporary custody of the Department who would have custody of  | 
the child if the child were not in the temporary custody of the  | 
Department may deliver to the Department a signed request that  | 
the Department surrender the temporary custody of the child.  | 
The Department may retain temporary custody of the child for  | 
10 days after the receipt of the request, during which period  | 
the Department may cause to be filed a petition pursuant to the  | 
 | 
Juvenile Court Act of 1987. If a petition is so filed, the  | 
Department shall retain temporary custody of the child until  | 
the court orders otherwise. If a petition is not filed within  | 
the 10-day period, the child shall be surrendered to the  | 
custody of the requesting parent, guardian, or custodian not  | 
later than the expiration of the 10-day period, at which time  | 
the authority and duties of the Department with respect to the  | 
temporary custody of the child shall terminate. | 
 (m-1) The Department may place children under 18 years of  | 
age in a secure child care facility licensed by the Department  | 
that cares for children who are in need of secure living  | 
arrangements for their health, safety, and well-being after a  | 
determination is made by the facility director and the  | 
Director or the Director's designate prior to admission to the  | 
facility subject to Section 2-27.1 of the Juvenile Court Act  | 
of 1987. This subsection (m-1) does not apply to a child who is  | 
subject to placement in a correctional facility operated  | 
pursuant to Section 3-15-2 of the Unified Code of Corrections,  | 
unless the child is a youth in care who was placed in the care  | 
of the Department before being subject to placement in a  | 
correctional facility and a court of competent jurisdiction  | 
has ordered placement of the child in a secure care facility. | 
 (n) The Department may place children under 18 years of  | 
age in licensed child care facilities when in the opinion of  | 
the Department, appropriate services aimed at family  | 
preservation have been unsuccessful and cannot ensure the  | 
 | 
child's health and safety or are unavailable and such  | 
placement would be for their best interest. Payment for board,  | 
clothing, care, training and supervision of any child placed  | 
in a licensed child care facility may be made by the  | 
Department, by the parents or guardians of the estates of  | 
those children, or by both the Department and the parents or  | 
guardians, except that no payments shall be made by the  | 
Department for any child placed in a licensed child care  | 
facility for board, clothing, care, training, and supervision  | 
of such a child that exceed the average per capita cost of  | 
maintaining and of caring for a child in institutions for  | 
dependent or neglected children operated by the Department.  | 
However, such restriction on payments does not apply in cases  | 
where children require specialized care and treatment for  | 
problems of severe emotional disturbance, physical disability,  | 
social adjustment, or any combination thereof and suitable  | 
facilities for the placement of such children are not  | 
available at payment rates within the limitations set forth in  | 
this Section. All reimbursements for services delivered shall  | 
be absolutely inalienable by assignment, sale, attachment, or  | 
garnishment or otherwise. | 
 (n-1) The Department shall provide or authorize child  | 
welfare services, aimed at assisting minors to achieve  | 
sustainable self-sufficiency as independent adults, for any  | 
minor eligible for the reinstatement of wardship pursuant to  | 
subsection (2) of Section 2-33 of the Juvenile Court Act of  | 
 | 
1987, whether or not such reinstatement is sought or allowed,  | 
provided that the minor consents to such services and has not  | 
yet attained the age of 21. The Department shall have  | 
responsibility for the development and delivery of services  | 
under this Section. An eligible youth may access services  | 
under this Section through the Department of Children and  | 
Family Services or by referral from the Department of Human  | 
Services. Youth participating in services under this Section  | 
shall cooperate with the assigned case manager in developing  | 
an agreement identifying the services to be provided and how  | 
the youth will increase skills to achieve self-sufficiency. A  | 
homeless shelter is not considered appropriate housing for any  | 
youth receiving child welfare services under this Section. The  | 
Department shall continue child welfare services under this  | 
Section to any eligible minor until the minor becomes 21 years  | 
of age, no longer consents to participate, or achieves  | 
self-sufficiency as identified in the minor's service plan.  | 
The Department of Children and Family Services shall create  | 
clear, readable notice of the rights of former foster youth to  | 
child welfare services under this Section and how such  | 
services may be obtained. The Department of Children and  | 
Family Services and the Department of Human Services shall  | 
disseminate this information statewide. The Department shall  | 
adopt regulations describing services intended to assist  | 
minors in achieving sustainable self-sufficiency as  | 
independent adults.  | 
 | 
 (o) The Department shall establish an administrative  | 
review and appeal process for children and families who  | 
request or receive child welfare services from the Department.  | 
Youth in care who are placed by private child welfare  | 
agencies, and foster families with whom those youth are  | 
placed, shall be afforded the same procedural and appeal  | 
rights as children and families in the case of placement by the  | 
Department, including the right to an initial review of a  | 
private agency decision by that agency. The Department shall  | 
ensure that any private child welfare agency, which accepts  | 
youth in care for placement, affords those rights to children  | 
and foster families. The Department shall accept for  | 
administrative review and an appeal hearing a complaint made  | 
by (i) a child or foster family concerning a decision  | 
following an initial review by a private child welfare agency  | 
or (ii) a prospective adoptive parent who alleges a violation  | 
of subsection (j-5) of this Section. An appeal of a decision  | 
concerning a change in the placement of a child shall be  | 
conducted in an expedited manner. A court determination that a  | 
current foster home placement is necessary and appropriate  | 
under Section 2-28 of the Juvenile Court Act of 1987 does not  | 
constitute a judicial determination on the merits of an  | 
administrative appeal, filed by a former foster parent,  | 
involving a change of placement decision. | 
 (p) (Blank). | 
 (q) The Department may receive and use, in their entirety,  | 
 | 
for the benefit of children any gift, donation, or bequest of  | 
money or other property which is received on behalf of such  | 
children, or any financial benefits to which such children are  | 
or may become entitled while under the jurisdiction or care of  | 
the Department, except that the benefits described in Section  | 
5.46 must be used and conserved consistent with the provisions  | 
under Section 5.46. | 
 The Department shall set up and administer no-cost,  | 
interest-bearing accounts in appropriate financial  | 
institutions for children for whom the Department is legally  | 
responsible and who have been determined eligible for  | 
Veterans' Benefits, Social Security benefits, assistance  | 
allotments from the armed forces, court ordered payments,  | 
parental voluntary payments, Supplemental Security Income,  | 
Railroad Retirement payments, Black Lung benefits, or other  | 
miscellaneous payments. Interest earned by each account shall  | 
be credited to the account, unless disbursed in accordance  | 
with this subsection. | 
 In disbursing funds from children's accounts, the  | 
Department shall: | 
  (1) Establish standards in accordance with State and  | 
 federal laws for disbursing money from children's  | 
 accounts. In all circumstances, the Department's  | 
 Guardianship Administrator or the Guardianship  | 
 Administrator's designee must approve disbursements from  | 
 children's accounts. The Department shall be responsible  | 
 | 
 for keeping complete records of all disbursements for each  | 
 account for any purpose. | 
  (2) Calculate on a monthly basis the amounts paid from  | 
 State funds for the child's board and care, medical care  | 
 not covered under Medicaid, and social services; and  | 
 utilize funds from the child's account, as covered by  | 
 regulation, to reimburse those costs. Monthly,  | 
 disbursements from all children's accounts, up to 1/12 of  | 
 $13,000,000, shall be deposited by the Department into the  | 
 General Revenue Fund and the balance over 1/12 of  | 
 $13,000,000 into the DCFS Children's Services Fund. | 
  (3) Maintain any balance remaining after reimbursing  | 
 for the child's costs of care, as specified in item (2).  | 
 The balance shall accumulate in accordance with relevant  | 
 State and federal laws and shall be disbursed to the child  | 
 or the child's guardian, or to the issuing agency. | 
 (r) The Department shall promulgate regulations  | 
encouraging all adoption agencies to voluntarily forward to  | 
the Department or its agent names and addresses of all persons  | 
who have applied for and have been approved for adoption of a  | 
hard-to-place child or child with a disability and the names  | 
of such children who have not been placed for adoption. A list  | 
of such names and addresses shall be maintained by the  | 
Department or its agent, and coded lists which maintain the  | 
confidentiality of the person seeking to adopt the child and  | 
of the child shall be made available, without charge, to every  | 
 | 
adoption agency in the State to assist the agencies in placing  | 
such children for adoption. The Department may delegate to an  | 
agent its duty to maintain and make available such lists. The  | 
Department shall ensure that such agent maintains the  | 
confidentiality of the person seeking to adopt the child and  | 
of the child. | 
 (s) The Department of Children and Family Services may  | 
establish and implement a program to reimburse Department and  | 
private child welfare agency foster parents licensed by the  | 
Department of Children and Family Services for damages  | 
sustained by the foster parents as a result of the malicious or  | 
negligent acts of foster children, as well as providing third  | 
party coverage for such foster parents with regard to actions  | 
of foster children to other individuals. Such coverage will be  | 
secondary to the foster parent liability insurance policy, if  | 
applicable. The program shall be funded through appropriations  | 
from the General Revenue Fund, specifically designated for  | 
such purposes. | 
 (t) The Department shall perform home studies and  | 
investigations and shall exercise supervision over visitation  | 
as ordered by a court pursuant to the Illinois Marriage and  | 
Dissolution of Marriage Act or the Adoption Act only if: | 
  (1) an order entered by an Illinois court specifically  | 
 directs the Department to perform such services; and | 
  (2) the court has ordered one or both of the parties to  | 
 the proceeding to reimburse the Department for its  | 
 | 
 reasonable costs for providing such services in accordance  | 
 with Department rules, or has determined that neither  | 
 party is financially able to pay. | 
 The Department shall provide written notification to the  | 
court of the specific arrangements for supervised visitation  | 
and projected monthly costs within 60 days of the court order.  | 
The Department shall send to the court information related to  | 
the costs incurred except in cases where the court has  | 
determined the parties are financially unable to pay. The  | 
court may order additional periodic reports as appropriate. | 
 (u) In addition to other information that must be  | 
provided, whenever the Department places a child with a  | 
prospective adoptive parent or parents, in a licensed foster  | 
home, group home, or child care institution, or in a relative  | 
home, the Department shall provide to the prospective adoptive  | 
parent or parents or other caretaker: | 
  (1) available detailed information concerning the  | 
 child's educational and health history, copies of  | 
 immunization records (including insurance and medical card  | 
 information), a history of the child's previous  | 
 placements, if any, and reasons for placement changes  | 
 excluding any information that identifies or reveals the  | 
 location of any previous caretaker; | 
  (2) a copy of the child's portion of the client  | 
 service plan, including any visitation arrangement, and  | 
 all amendments or revisions to it as related to the child;  | 
 | 
 and | 
  (3) information containing details of the child's  | 
 individualized educational plan when the child is  | 
 receiving special education services. | 
 The caretaker shall be informed of any known social or  | 
behavioral information (including, but not limited to,  | 
criminal background, fire setting, perpetuation of sexual  | 
abuse, destructive behavior, and substance abuse) necessary to  | 
care for and safeguard the children to be placed or currently  | 
in the home. The Department may prepare a written summary of  | 
the information required by this paragraph, which may be  | 
provided to the foster or prospective adoptive parent in  | 
advance of a placement. The foster or prospective adoptive  | 
parent may review the supporting documents in the child's file  | 
in the presence of casework staff. In the case of an emergency  | 
placement, casework staff shall at least provide known  | 
information verbally, if necessary, and must subsequently  | 
provide the information in writing as required by this  | 
subsection.  | 
 The information described in this subsection shall be  | 
provided in writing. In the case of emergency placements when  | 
time does not allow prior review, preparation, and collection  | 
of written information, the Department shall provide such  | 
information as it becomes available. Within 10 business days  | 
after placement, the Department shall obtain from the  | 
prospective adoptive parent or parents or other caretaker a  | 
 | 
signed verification of receipt of the information provided.  | 
Within 10 business days after placement, the Department shall  | 
provide to the child's guardian ad litem a copy of the  | 
information provided to the prospective adoptive parent or  | 
parents or other caretaker. The information provided to the  | 
prospective adoptive parent or parents or other caretaker  | 
shall be reviewed and approved regarding accuracy at the  | 
supervisory level.  | 
 (u-5) Effective July 1, 1995, only foster care placements  | 
licensed as foster family homes pursuant to the Child Care Act  | 
of 1969 shall be eligible to receive foster care payments from  | 
the Department. Relative caregivers who, as of July 1, 1995,  | 
were approved pursuant to approved relative placement rules  | 
previously promulgated by the Department at 89 Ill. Adm. Code  | 
335 and had submitted an application for licensure as a foster  | 
family home may continue to receive foster care payments only  | 
until the Department determines that they may be licensed as a  | 
foster family home or that their application for licensure is  | 
denied or until September 30, 1995, whichever occurs first. | 
 (v) The Department shall access criminal history record  | 
information as defined in the Illinois Uniform Conviction  | 
Information Act and information maintained in the adjudicatory  | 
and dispositional record system as defined in Section 2605-355  | 
of the Illinois State Police Law if the Department determines  | 
the information is necessary to perform its duties under the  | 
Abused and Neglected Child Reporting Act, the Child Care Act  | 
 | 
of 1969, and the Children and Family Services Act. The  | 
Department shall provide for interactive computerized  | 
communication and processing equipment that permits direct  | 
on-line communication with the Illinois State Police's central  | 
criminal history data repository. The Department shall comply  | 
with all certification requirements and provide certified  | 
operators who have been trained by personnel from the Illinois  | 
State Police. In addition, one Office of the Inspector General  | 
investigator shall have training in the use of the criminal  | 
history information access system and have access to the  | 
terminal. The Department of Children and Family Services and  | 
its employees shall abide by rules and regulations established  | 
by the Illinois State Police relating to the access and  | 
dissemination of this information. | 
 (v-1) Prior to final approval for placement of a child,  | 
the Department shall conduct a criminal records background  | 
check of the prospective foster or adoptive parent, including  | 
fingerprint-based checks of national crime information  | 
databases. Final approval for placement shall not be granted  | 
if the record check reveals a felony conviction for child  | 
abuse or neglect, for spousal abuse, for a crime against  | 
children, or for a crime involving violence, including rape,  | 
sexual assault, or homicide, but not including other physical  | 
assault or battery, or if there is a felony conviction for  | 
physical assault, battery, or a drug-related offense committed  | 
within the past 5 years. | 
 | 
 (v-2) Prior to final approval for placement of a child,  | 
the Department shall check its child abuse and neglect  | 
registry for information concerning prospective foster and  | 
adoptive parents, and any adult living in the home. If any  | 
prospective foster or adoptive parent or other adult living in  | 
the home has resided in another state in the preceding 5 years,  | 
the Department shall request a check of that other state's  | 
child abuse and neglect registry.  | 
 (w) Within 120 days of August 20, 1995 (the effective date  | 
of Public Act 89-392), the Department shall prepare and submit  | 
to the Governor and the General Assembly, a written plan for  | 
the development of in-state licensed secure child care  | 
facilities that care for children who are in need of secure  | 
living arrangements for their health, safety, and well-being.  | 
For purposes of this subsection, secure care facility shall  | 
mean a facility that is designed and operated to ensure that  | 
all entrances and exits from the facility, a building or a  | 
distinct part of the building, are under the exclusive control  | 
of the staff of the facility, whether or not the child has the  | 
freedom of movement within the perimeter of the facility,  | 
building, or distinct part of the building. The plan shall  | 
include descriptions of the types of facilities that are  | 
needed in Illinois; the cost of developing these secure care  | 
facilities; the estimated number of placements; the potential  | 
cost savings resulting from the movement of children currently  | 
out-of-state who are projected to be returned to Illinois; the  | 
 | 
necessary geographic distribution of these facilities in  | 
Illinois; and a proposed timetable for development of such  | 
facilities. | 
 (x) The Department shall conduct annual credit history  | 
checks to determine the financial history of children placed  | 
under its guardianship pursuant to the Juvenile Court Act of  | 
1987. The Department shall conduct such credit checks starting  | 
when a youth in care turns 12 years old and each year  | 
thereafter for the duration of the guardianship as terminated  | 
pursuant to the Juvenile Court Act of 1987. The Department  | 
shall determine if financial exploitation of the child's  | 
personal information has occurred. If financial exploitation  | 
appears to have taken place or is presently ongoing, the  | 
Department shall notify the proper law enforcement agency, the  | 
proper State's Attorney, or the Attorney General. | 
 (y) Beginning on July 22, 2010 (the effective date of  | 
Public Act 96-1189), a child with a disability who receives  | 
residential and educational services from the Department shall  | 
be eligible to receive transition services in accordance with  | 
Article 14 of the School Code from the age of 14.5 through age  | 
21, inclusive, notwithstanding the child's residential  | 
services arrangement. For purposes of this subsection, "child  | 
with a disability" means a child with a disability as defined  | 
by the federal Individuals with Disabilities Education  | 
Improvement Act of 2004.  | 
 (z) The Department shall access criminal history record  | 
 | 
information as defined as "background information" in this  | 
subsection and criminal history record information as defined  | 
in the Illinois Uniform Conviction Information Act for each  | 
Department employee or Department applicant. Each Department  | 
employee or Department applicant shall submit the employee's  | 
or applicant's fingerprints to the Illinois State Police in  | 
the form and manner prescribed by the Illinois State Police.  | 
These fingerprints shall be checked against the fingerprint  | 
records now and hereafter filed in the Illinois State Police  | 
and the Federal Bureau of Investigation criminal history  | 
records databases. The Illinois State Police shall charge a  | 
fee for conducting the criminal history record check, which  | 
shall be deposited into the State Police Services Fund and  | 
shall not exceed the actual cost of the record check. The  | 
Illinois State Police shall furnish, pursuant to positive  | 
identification, all Illinois conviction information to the  | 
Department of Children and Family Services.  | 
 For purposes of this subsection:  | 
 "Background information" means all of the following:  | 
  (i) Upon the request of the Department of Children and  | 
 Family Services, conviction information obtained from the  | 
 Illinois State Police as a result of a fingerprint-based  | 
 criminal history records check of the Illinois criminal  | 
 history records database and the Federal Bureau of  | 
 Investigation criminal history records database concerning  | 
 a Department employee or Department applicant.  | 
 | 
  (ii) Information obtained by the Department of  | 
 Children and Family Services after performing a check of  | 
 the Illinois State Police's Sex Offender Database, as  | 
 authorized by Section 120 of the Sex Offender Community  | 
 Notification Law, concerning a Department employee or  | 
 Department applicant.  | 
  (iii) Information obtained by the Department of  | 
 Children and Family Services after performing a check of  | 
 the Child Abuse and Neglect Tracking System (CANTS)  | 
 operated and maintained by the Department.  | 
 "Department employee" means a full-time or temporary  | 
employee coded or certified within the State of Illinois  | 
Personnel System.  | 
 "Department applicant" means an individual who has  | 
conditional Department full-time or part-time work, a  | 
contractor, an individual used to replace or supplement staff,  | 
an academic intern, a volunteer in Department offices or on  | 
Department contracts, a work-study student, an individual or  | 
entity licensed by the Department, or an unlicensed service  | 
provider who works as a condition of a contract or an agreement  | 
and whose work may bring the unlicensed service provider into  | 
contact with Department clients or client records.  | 
(Source: P.A. 102-538, eff. 8-20-21; 102-558, eff. 8-20-21;  | 
102-1014, eff. 5-27-22; 103-22, eff. 8-8-23; 103-50, eff.  | 
1-1-24; 103-546, eff. 8-11-23; revised 9-25-23.)
 | 
 | 
 (20 ILCS 505/5d) | 
 Sec. 5d. The Direct Child Welfare Service Employee License  | 
Board.  | 
 (a) For purposes of this Section: | 
  (1) "Board" means the Direct Child Welfare Service  | 
 Employee License Board. | 
  (2) "Director" means the Director of Children and  | 
 Family Services. | 
 (b) The Direct Child Welfare Service Employee License  | 
Board is created within the Department of Children and Family  | 
Services and shall consist of 9 members appointed by the  | 
Director. The Director shall annually designate a chairperson  | 
and vice-chairperson of the Board. The membership of the Board  | 
must be composed as follows: (i) 5 licensed professionals from  | 
the field of human services with a human services, juris  | 
doctor, medical, public administration, or other relevant  | 
human services degree and who are in good standing within  | 
their profession, at least 2 of which must be employed in the  | 
private not-for-profit sector and at least one of which in the  | 
public sector; (ii) 2 faculty members of an accredited  | 
university who have child welfare experience and are in good  | 
standing within their profession; and (iii) 2 members of the  | 
general public who are not licensed under this Act or a similar  | 
rule and will represent consumer interests. | 
 In making the first appointments, the Director shall  | 
appoint 3 members to serve for a term of one year, 3 members to  | 
 | 
serve for a term of 2 years, and 3 members to serve for a term  | 
of 3 years, or until their successors are appointed and  | 
qualified. Their successors shall be appointed to serve 3-year  | 
terms, or until their successors are appointed and qualified.  | 
Appointments to fill unexpired vacancies shall be made in the  | 
same manner as original appointments. No member may be  | 
reappointed if a reappointment would cause that member to  | 
serve on the Board for longer than 6 consecutive years. Board  | 
membership must have reasonable representation from different  | 
geographic areas of Illinois, and all members must be  | 
residents of this State. | 
 The Director may terminate the appointment of any member  | 
for good cause, including, but not limited to: (i) unjustified  | 
absences from Board meetings or other failure to meet Board  | 
responsibilities, (ii) failure to recuse oneself when required  | 
by subsection (c) of this Section or Department rule, or (iii)  | 
failure to maintain the professional position required by  | 
Department rule. No member of the Board may have a pending or  | 
indicated report of child abuse or neglect or a pending  | 
complaint or criminal conviction of any of the offenses set  | 
forth in paragraph (b) of Section 4.2 of the Child Care Act of  | 
1969. | 
 The members of the Board shall receive no compensation for  | 
the performance of their duties as members, but each member  | 
shall be reimbursed for the member's reasonable and necessary  | 
expenses incurred in attending the meetings of the Board. | 
 | 
 (c) The Board shall make recommendations to the Director  | 
regarding licensure rules. Board members must recuse  | 
themselves from sitting on any matter involving an employee of  | 
a child welfare agency at which the Board member is an employee  | 
or contractual employee. The Board shall make a final  | 
determination concerning revocation, suspension, or  | 
reinstatement of an employee's direct child welfare service  | 
license after a hearing conducted under the Department's  | 
rules. Upon notification of the manner of the vote to all the  | 
members, votes on a final determination may be cast in person,  | 
by telephonic or electronic means, or by mail at the  | 
discretion of the chairperson. A simple majority of the  | 
members appointed and serving is required when Board members  | 
vote by mail or by telephonic or electronic means. A majority  | 
of the currently appointed and serving Board members  | 
constitutes a quorum. A majority of a quorum is required when a  | 
recommendation is voted on during a Board meeting. A vacancy  | 
in the membership of the Board shall not impair the right of a  | 
quorum to perform all the duties of the Board. Board members  | 
are not personally liable in any action based upon a  | 
disciplinary proceeding or otherwise for any action taken in  | 
good faith as a member of the Board. | 
 (d) The Director may assign Department employees to  | 
provide staffing services to the Board. The Department must  | 
promulgate any rules necessary to implement and administer the  | 
requirements of this Section. | 
 | 
(Source: P.A. 102-45, eff. 1-1-22; 103-22, eff. 8-8-23;  | 
revised 9-25-23.)
 | 
 (20 ILCS 505/7.4) | 
 Sec. 7.4. Development and preservation of sibling  | 
relationships for children in care; placement of siblings;  | 
contact among siblings placed apart.  | 
 (a) Purpose and policy. The General Assembly recognizes  | 
that sibling relationships are unique and essential for a  | 
person, but even more so for children who are removed from the  | 
care of their families and placed in the State child welfare  | 
system. When family separation occurs through State  | 
intervention, every effort must be made to preserve, support,  | 
and nurture sibling relationships when doing so is in the best  | 
interest of each sibling. It is in the interests of foster  | 
children who are part of a sibling group to enjoy contact with  | 
one another, as long as the contact is in each child's best  | 
interest. This is true both while the siblings are in State  | 
care and after one or all of the siblings leave State care  | 
through adoption, guardianship, or aging out. | 
 (b) Definitions. For purposes of this Section: | 
  (1) Whenever a best interest determination is required  | 
 by this Section, the Department shall consider the factors  | 
 set out in subsection (4.05) of Section 1-3 of the  | 
 Juvenile Court Act of 1987 and the Department's rules  | 
 regarding Sibling Placement, 89 Ill. Adm. Code 301.70, and  | 
 | 
 Sibling Visitation, 89 Ill. Adm. Code 301.220, and the  | 
 Department's rules regarding Placement Selection Criteria,  | 
 89 Ill. Adm. Code 301.60. | 
  (2) "Adopted child" means a child who, immediately  | 
 preceding the adoption, was in the custody or guardianship  | 
 of the Illinois Department of Children and Family Services  | 
 under Article II of the Juvenile Court Act of 1987. | 
  (3) "Adoptive parent" means a person who has become a  | 
 parent through the legal process of adoption. | 
  (4) "Child" means a person in the temporary custody or  | 
 guardianship of the Department who is under the age of 21. | 
  (5) "Child placed in private guardianship" means a  | 
 child who, immediately preceding the guardianship, was in  | 
 the custody or guardianship of the Illinois Department of  | 
 Children and Family Services under Article II of the  | 
 Juvenile Court Act of 1987. | 
  (6) "Contact" may include, but is not limited to,  | 
 visits, telephone calls, letters, sharing of photographs  | 
 or information, e-mails, video conferencing, and other  | 
 forms form of communication or contact. | 
  (7) "Legal guardian" means a person who has become the  | 
 legal guardian of a child who, immediately prior to the  | 
 guardianship, was in the custody or guardianship of the  | 
 Illinois Department of Children and Family Services under  | 
 Article II of the Juvenile Court Act of 1987. | 
  (8) "Parent" means the child's mother or father who is  | 
 | 
 named as the respondent in proceedings conducted under  | 
 Article II of the Juvenile Court Act of 1987. | 
  (9) "Post Permanency Sibling Contact" means contact  | 
 between siblings following the entry of a Judgment Order  | 
 for Adoption under Section 14 of the Adoption Act  | 
 regarding at least one sibling or an Order for  | 
 Guardianship appointing a private guardian under Section  | 
 2-27 of or the Juvenile Court Act of 1987, regarding at  | 
 least one sibling. Post Permanency Sibling Contact may  | 
 include, but is not limited to, visits, telephone calls,  | 
 letters, sharing of photographs or information, emails,  | 
 video conferencing, and other forms of communication or  | 
 connection agreed to by the parties to a Post Permanency  | 
 Sibling Contact Agreement. | 
  (10) "Post Permanency Sibling Contact Agreement" means  | 
 a written agreement between the adoptive parent or  | 
 parents, the child, and the child's sibling regarding post  | 
 permanency contact between the adopted child and the  | 
 child's sibling, or a written agreement between the legal  | 
 guardians, the child, and the child's sibling regarding  | 
 post permanency contact between the child placed in  | 
 guardianship and the child's sibling. The Post Permanency  | 
 Sibling Contact Agreement may specify the nature and  | 
 frequency of contact between the adopted child or child  | 
 placed in guardianship and the child's sibling following  | 
 the entry of the Judgment Order for Adoption or Order for  | 
 | 
 Private Guardianship. The Post Permanency Sibling Contact  | 
 Agreement may be supported by services as specified in  | 
 this Section. The Post Permanency Sibling Contact  | 
 Agreement is voluntary on the part of the parties to the  | 
 Post Permanency Sibling Contact Agreement and is not a  | 
 requirement for finalization of the child's adoption or  | 
 guardianship. The Post Permanency Sibling Contract  | 
 Agreement shall not be enforceable in any court of law or  | 
 administrative forum and no cause of action shall be  | 
 brought to enforce the Agreement. When entered into, the  | 
 Post Permanency Sibling Contact Agreement shall be placed  | 
 in the child's Post Adoption or Guardianship case record  | 
 and in the case file of a sibling who is a party to the  | 
 agreement and who remains in the Department's custody or  | 
 guardianship. | 
  (11) "Sibling Contact Support Plan" means a written  | 
 document that sets forth the plan for future contact  | 
 between siblings who are in the Department's care and  | 
 custody and residing separately. The goal of the Support  | 
 Plan is to develop or preserve and nurture the siblings'  | 
 relationships. The Support Plan shall set forth the role  | 
 of the foster parents, caregivers, and others in  | 
 implementing the Support Plan. The Support Plan must meet  | 
 the minimum standards regarding frequency of in-person  | 
 visits provided for in Department rule. | 
  (12) "Siblings" means children who share at least one  | 
 | 
 parent in common. This definition of siblings applies  | 
 solely for purposes of placement and contact under this  | 
 Section. For purposes of this Section, children who share  | 
 at least one parent in common continue to be siblings  | 
 after their parent's parental rights are terminated, if  | 
 parental rights were terminated while a petition under  | 
 Article II of the Juvenile Court Act of 1987 was pending.  | 
 For purposes of this Section, children who share at least  | 
 one parent in common continue to be siblings after a  | 
 sibling is adopted or placed in private guardianship when  | 
 the adopted child or child placed in private guardianship  | 
 was in the Department's custody or guardianship under  | 
 Article II of the Juvenile Court Act of 1987 immediately  | 
 prior to the adoption or private guardianship. For  | 
 children who have been in the guardianship of the  | 
 Department under Article II of the Juvenile Court Act of  | 
 1987, have been adopted, and are subsequently returned to  | 
 the temporary custody or guardianship of the Department  | 
 under Article II of the Juvenile Court Act of 1987,  | 
 "siblings" includes a person who would have been  | 
 considered a sibling prior to the adoption and siblings  | 
 through adoption. | 
 (c) No later than January 1, 2013, the Department shall  | 
promulgate rules addressing the development and preservation  | 
of sibling relationships. The rules shall address, at a  | 
minimum: | 
 | 
  (1) Recruitment, licensing, and support of foster  | 
 parents willing and capable of either fostering sibling  | 
 groups or supporting and being actively involved in  | 
 planning and executing sibling contact for siblings placed  | 
 apart. The rules shall address training for foster  | 
 parents, licensing workers, placement workers, and others  | 
 as deemed necessary. | 
  (2) Placement selection for children who are separated  | 
 from their siblings and how to best promote placements of  | 
 children with foster parents or programs that can meet the  | 
 children's needs, including the need to develop and  | 
 maintain contact with siblings. | 
  (3) State-supported guidance to siblings who have aged  | 
 out of State state care regarding positive engagement with  | 
 siblings. | 
  (4) Implementation of Post Permanency Sibling Contact  | 
 Agreements for children exiting State care, including  | 
 services offered by the Department to encourage and assist  | 
 parties in developing agreements, services offered by the  | 
 Department post permanency to support parties in  | 
 implementing and maintaining agreements, and including  | 
 services offered by the Department post permanency to  | 
 assist parties in amending agreements as necessary to meet  | 
 the needs of the children. | 
  (5) Services offered by the Department for children  | 
 who exited foster care prior to the availability of Post  | 
 | 
 Permanency Sibling Contact Agreements, to invite willing  | 
 parties to participate in a facilitated discussion,  | 
 including, but not limited to, a mediation or joint team  | 
 decision-making meeting, to explore sibling contact.  | 
 (d) The Department shall develop a form to be provided to  | 
youth entering care and exiting care explaining their rights  | 
and responsibilities related to sibling visitation while in  | 
care and post permanency.  | 
 (e) Whenever a child enters care or requires a new  | 
placement, the Department shall consider the development and  | 
preservation of sibling relationships.  | 
  (1) This subsection applies when a child entering care  | 
 or requiring a change of placement has siblings who are in  | 
 the custody or guardianship of the Department. When a  | 
 child enters care or requires a new placement, the  | 
 Department shall examine its files and other available  | 
 resources and determine whether a sibling of that child is  | 
 in the custody or guardianship of the Department. If the  | 
 Department determines that a sibling is in its custody or  | 
 guardianship, the Department shall then determine whether  | 
 it is in the best interests of each of the siblings for the  | 
 child needing placement to be placed with the sibling. If  | 
 the Department determines that it is in the best interest  | 
 of each sibling to be placed together, and the sibling's  | 
 foster parent is able and willing to care for the child  | 
 needing placement, the Department shall place the child  | 
 | 
 needing placement with the sibling. A determination that  | 
 it is not in a child's best interest to be placed with a  | 
 sibling shall be made in accordance with Department rules,  | 
 and documented in the file of each sibling.  | 
  (2) This subsection applies when a child who is  | 
 entering care has siblings who have been adopted or placed  | 
 in private guardianship. When a child enters care, the  | 
 Department shall examine its files and other available  | 
 resources, including consulting with the child's parents,  | 
 to determine whether a sibling of the child was adopted or  | 
 placed in private guardianship from State care. The  | 
 Department shall determine, in consultation with the  | 
 child's parents, whether it would be in the child's best  | 
 interests to explore placement with the adopted sibling or  | 
 sibling in guardianship. Unless the parent objects, if the  | 
 Department determines it is in the child's best interest  | 
 to explore the placement, the Department shall contact the  | 
 adoptive parents or guardians of the sibling, determine  | 
 whether they are willing to be considered as placement  | 
 resources for the child, and, if so, determine whether it  | 
 is in the best interests of the child to be placed in the  | 
 home with the sibling. If the Department determines that  | 
 it is in the child's best interests to be placed in the  | 
 home with the sibling, and the sibling's adoptive parents  | 
 or guardians are willing and capable, the Department shall  | 
 make the placement. A determination that it is not in a  | 
 | 
 child's best interest to be placed with a sibling shall be  | 
 made in accordance with Department rule, and documented in  | 
 the child's file. | 
  (3) This subsection applies when a child in Department  | 
 custody or guardianship requires a change of placement,  | 
 and the child has siblings who have been adopted or placed  | 
 in private guardianship. When a child in care requires a  | 
 new placement, the Department may consider placing the  | 
 child with the adoptive parent or guardian of a sibling  | 
 under the same procedures and standards set forth in  | 
 paragraph (2) of this subsection. | 
  (4) When the Department determines it is not in the  | 
 best interest of one or more siblings to be placed  | 
 together the Department shall ensure that the child  | 
 requiring placement is placed in a home or program where  | 
 the caregiver is willing and able to be actively involved  | 
 in supporting the sibling relationship to the extent doing  | 
 so is in the child's best interest. | 
 (f) When siblings in care are placed in separate  | 
placements, the Department shall develop a Sibling Contact  | 
Support Plan. The Department shall convene a meeting to  | 
develop the Support Plan. The meeting shall include, at a  | 
minimum, the case managers for the siblings, the foster  | 
parents or other care providers if a child is in a non-foster  | 
home placement and the child, when developmentally and  | 
clinically appropriate. The Department shall make all  | 
 | 
reasonable efforts to promote the participation of the foster  | 
parents. Parents whose parental rights are intact shall be  | 
invited to the meeting. Others, such as therapists and  | 
mentors, shall be invited as appropriate. The Support Plan  | 
shall set forth future contact and visits between the siblings  | 
to develop or preserve, and nurture the siblings'  | 
relationships. The Support Plan shall set forth the role of  | 
the foster parents and caregivers and others in implementing  | 
the Support Plan. The Support Plan must meet the minimum  | 
standards regarding frequency of in-person visits provided for  | 
in Department rule. The Support Plan will be incorporated in  | 
the child's service plan and reviewed at each administrative  | 
case review. The Support Plan should be modified if one of the  | 
children moves to a new placement, or as necessary to meet the  | 
needs of the children. The Sibling Contact Support Plan for a  | 
child in care may include siblings who are not in the care of  | 
the Department, with the consent and participation of that  | 
child's parent or guardian. | 
 (g) By January 1, 2013, the Department shall develop a  | 
registry so that placement information regarding adopted  | 
siblings and siblings in private guardianship is readily  | 
available to Department and private agency caseworkers  | 
responsible for placing children in the Department's care.  | 
When a child is adopted or placed in private guardianship from  | 
foster care the Department shall inform the adoptive parents  | 
or guardians that they may be contacted in the future  | 
 | 
regarding placement of or contact with siblings subsequently  | 
requiring placement.  | 
 (h) When a child is in need of an adoptive placement, the  | 
Department shall examine its files and other available  | 
resources and attempt to determine whether a sibling of the  | 
child has been adopted or placed in private guardianship after  | 
being in the Department's custody or guardianship. If the  | 
Department determines that a sibling of the child has been  | 
adopted or placed in private guardianship, the Department  | 
shall make a good faith effort to locate the adoptive parents  | 
or guardians of the sibling and inform them of the  | 
availability of the child for adoption. The Department may  | 
determine not to inform the adoptive parents or guardians of a  | 
sibling of a child that the child is available for adoption  | 
only for a reason permitted under criteria adopted by the  | 
Department by rule, and documented in the child's case file.  | 
If a child available for adoption has a sibling who has been  | 
adopted or placed in guardianship, and the adoptive parents or  | 
guardians of that sibling apply to adopt the child, the  | 
Department shall consider them as adoptive applicants for the  | 
adoption of the child. The Department's final decision as to  | 
whether it will consent to the adoptive parents or guardians  | 
of a sibling being the adoptive parents of the child shall be  | 
based upon the welfare and best interest of the child. In  | 
arriving at its decision, the Department shall consider all  | 
relevant factors, including, but not limited to:  | 
 | 
  (1) the wishes of the child; | 
  (2) the interaction and interrelationship of the child  | 
 with the applicant to adopt the child; | 
  (3) the child's need for stability and continuity of  | 
 relationship with parent figures; | 
  (4) the child's adjustment to the child's present  | 
 home, school, and community; | 
  (5) the mental and physical health of all individuals  | 
 involved; | 
  (6) the family ties between the child and the child's  | 
 relatives, including siblings; | 
  (7) the background, age, and living arrangements of  | 
 the applicant to adopt the child; | 
  (8) a criminal background report of the applicant to  | 
 adopt the child.  | 
 If placement of the child available for adoption with the  | 
adopted sibling or sibling in private guardianship is not  | 
feasible, but it is in the child's best interest to develop a  | 
relationship with the child's sibling, the Department shall  | 
invite the adoptive parents, guardian, or guardians for a  | 
mediation or joint team decision-making meeting to facilitate  | 
a discussion regarding future sibling contact.  | 
 (i) Post Permanency Sibling Contact Agreement. When a  | 
child in the Department's care has a permanency goal of  | 
adoption or private guardianship, and the Department is  | 
preparing to finalize the adoption or guardianship, the  | 
 | 
Department shall convene a meeting with the pre-adoptive  | 
parent or prospective guardian and the case manager for the  | 
child being adopted or placed in guardianship and the foster  | 
parents and case managers for the child's siblings, and others  | 
as applicable. The children should participate as is  | 
developmentally appropriate. Others, such as therapists and  | 
mentors, may participate as appropriate. At the meeting the  | 
Department shall encourage the parties to discuss sibling  | 
contact post permanency. The Department may assist the parties  | 
in drafting a Post Permanency Sibling Contact Agreement. | 
  (1) Parties to the Post Permanency Sibling Contact  | 
 Agreement shall include: | 
   (A) The adoptive parent or parents or guardian. | 
   (B) The child's sibling or siblings, parents, or  | 
 guardians. | 
   (C) The child. | 
  (2) Consent of child 14 and over. The written consent  | 
 of a child age 14 and over to the terms and conditions of  | 
 the Post Permanency Sibling Contact Agreement and  | 
 subsequent modifications is required. | 
  (3) In developing this Agreement, the Department shall  | 
 encourage the parties to consider the following factors: | 
   (A) the physical and emotional safety and welfare  | 
 of the child; | 
   (B) the child's wishes; | 
   (C) the interaction and interrelationship of the  | 
 | 
 child with the child's sibling or siblings who would  | 
 be visiting or communicating with the child,  | 
 including: | 
    (i) the quality of the relationship between  | 
 the child and the sibling or siblings, and | 
    (ii) the benefits and potential harms to the  | 
 child in allowing the relationship or  | 
 relationships to continue or in ending them; | 
   (D) the child's sense of attachments to the birth  | 
 sibling or siblings and adoptive family, including: | 
    (i) the child's sense of being valued; | 
    (ii) the child's sense of familiarity; and | 
    (iii) continuity of affection for the child;  | 
 and | 
   (E) other factors relevant to the best interest of  | 
 the child. | 
  (4) In considering the factors in paragraph (3) of  | 
 this subsection, the Department shall encourage the  | 
 parties to recognize the importance to a child of  | 
 developing a relationship with siblings including siblings  | 
 with whom the child does not yet have a relationship; and  | 
 the value of preserving family ties between the child and  | 
 the child's siblings, including: | 
   (A) the child's need for stability and continuity  | 
 of relationships with siblings, and | 
   (B) the importance of sibling contact in the  | 
 | 
 development of the child's identity. | 
  (5) Modification or termination of Post Permanency  | 
 Sibling Contact Agreement. The parties to the agreement  | 
 may modify or terminate the Post Permanency Sibling  | 
 Contact Agreement. If the parties cannot agree to  | 
 modification or termination, they may request the  | 
 assistance of the Department of Children and Family  | 
 Services or another agency identified and agreed upon by  | 
 the parties to the Post Permanency Sibling Contact  | 
 Agreement. Any and all terms may be modified by agreement  | 
 of the parties. Post Permanency Sibling Contact Agreements  | 
 may also be modified to include contact with siblings  | 
 whose whereabouts were unknown or who had not yet been  | 
 born when the Judgment Order for Adoption or Order for  | 
 Private Guardianship was entered. | 
  (6) Adoptions and private guardianships finalized  | 
 prior to August 24, 2012 (the effective date of Public Act  | 
 97-1076) amendatory Act. Nothing in this Section prohibits  | 
 the parties from entering into a Post Permanency Sibling  | 
 Contact Agreement if the adoption or private guardianship  | 
 was finalized prior to the effective date of this Section.  | 
 If the Agreement is completed and signed by the parties,  | 
 the Department shall include the Post Permanency Sibling  | 
 Contact Agreement in the child's Post Adoption or Private  | 
 Guardianship case record and in the case file of siblings  | 
 who are parties to the agreement who are in the  | 
 | 
 Department's custody or guardianship.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-154, eff. 6-30-23;  | 
revised 1-30-24.)
 | 
 (20 ILCS 505/17) (from Ch. 23, par. 5017) | 
 Sec. 17. Youth and Community Services Program. The  | 
Department of Human Services shall develop a State program for  | 
youth and community services which will assure that youth who  | 
come into contact or may come into contact with either the  | 
child welfare system or the juvenile justice system will have  | 
access to needed community, prevention, diversion, emergency,  | 
and independent living services. The term "youth" means a  | 
person under the age of 19 years. The term "homeless youth"  | 
means a youth who cannot be reunited with the youth's family  | 
and is not in a safe and stable living situation. This Section  | 
shall not be construed to require the Department of Human  | 
Services to provide services under this Section to any  | 
homeless youth who is at least 18 years of age but is younger  | 
than 19 years of age; however, the Department may, in its  | 
discretion, provide services under this Section to any such  | 
homeless youth. | 
 (a) The goals of the program shall be to:  | 
  (1) maintain children and youths in their own  | 
 community;  | 
  (2) eliminate unnecessary categorical funding of  | 
 programs by funding more comprehensive and integrated  | 
 | 
 programs;  | 
  (3) encourage local volunteers and voluntary  | 
 associations in developing programs aimed at preventing  | 
 and controlling juvenile delinquency;  | 
  (4) address voids in services and close service gaps;  | 
  (5) develop program models aimed at strengthening the  | 
 relationships between youth and their families and aimed  | 
 at developing healthy, independent lives for homeless  | 
 youth;  | 
  (6) contain costs by redirecting funding to more  | 
 comprehensive and integrated community-based services; and  | 
  (7) coordinate education, employment, training and  | 
 other programs for youths with other State agencies. | 
 (b) The duties of the Department under the program shall  | 
be to:  | 
  (1) design models for service delivery by local  | 
 communities;  | 
  (2) test alternative systems for delivering youth  | 
 services;  | 
  (3) develop standards necessary to achieve and  | 
 maintain, on a statewide basis, more comprehensive and  | 
 integrated community-based youth services;  | 
  (4) monitor and provide technical assistance to local  | 
 boards and local service systems;  | 
  (5) assist local organizations in developing programs  | 
 which address the problems of youths and their families  | 
 | 
 through direct services, advocacy with institutions, and  | 
 improvement of local conditions;  | 
  (6) (blank); and | 
  (7) establish temporary emergency placements for youth  | 
 in crisis as defined by the Children's Behavioral Health  | 
 Transformation Team through comprehensive community-based  | 
 youth services provider grants. | 
   (A) Temporary emergency placements: | 
    (i) must be licensed through the Department of  | 
 Children and Family Services or, in the case of a  | 
 foster home or host home, by the supervising child  | 
 welfare agency;  | 
    (ii) must be strategically situated to meet  | 
 regional need and minimize geographic disruption  | 
 in consultation with the Children's Behavioral  | 
 Health Transformation Officer and the Children's  | 
 Behavioral Health Transformation Team; and  | 
    (iii) shall include Comprehensive  | 
 Community-Based Youth Services program host homes,  | 
 foster homes, homeless youth shelters, Department  | 
 of Children and Family Services youth shelters, or  | 
 other licensed placements for minor youth  | 
 compliant with the Child Care Act of 1969 provided  | 
 under the Comprehensive Community-Based Youth  | 
 Services program.  | 
   (B) Beginning on August 11, 2023 (the effective  | 
 | 
 date of Public Act 103-546) this amendatory Act of the  | 
 103rd General Assembly, once sufficient capacity has  | 
 been developed, temporary emergency placements must  | 
 also include temporary emergency placement shelters  | 
 provided under the Comprehensive Community-Based Youth  | 
 Services program. Temporary emergency placement  | 
 shelters shall be managed by Comprehensive  | 
 Community-Based Youth Services provider organizations  | 
 and shall be available to house youth receiving  | 
 interim 24/7 crisis intervention services as defined  | 
 by the Juvenile Court Act of 1987 and the  | 
 Comprehensive Community-Based Youth Services program  | 
 grant and the Department, and shall provide access to  | 
 clinical supports for youth while staying at the  | 
 shelter. | 
   (C) Comprehensive Community-Based Youth Services  | 
 organizations shall retain the sole authority to place  | 
 youth in host homes and temporary emergency placement  | 
 shelters provided under the Comprehensive  | 
 Community-Based Youth Services program. | 
   (D) Crisis youth, as defined by the Children's  | 
 Behavioral Health Transformation Team, shall be  | 
 prioritized in temporary emergency placements. | 
   (E) Additional placement options may be authorized  | 
 for crisis and non-crisis program youth with the  | 
 permission of the youth's parent or legal guardian. | 
 | 
   (F) While in a temporary emergency placement, the  | 
 organization shall work with the parent, guardian, or  | 
 custodian to effectuate the youth's return home or to  | 
 an alternative long-term living arrangement. As  | 
 necessary, the agency or association shall also work  | 
 with the youth's local school district, the  | 
 Department, the Department of Human Services, the  | 
 Department of Healthcare and Family Services, and the  | 
 Department of Juvenile Justice to identify immediate  | 
 and long-term services, treatment, or placement. | 
 Nothing in this Section shall be construed or applied in a  | 
manner that would conflict with, diminish, or infringe upon,  | 
any State agency's obligation to comply fully with  | 
requirements imposed under a court order or State or federal  | 
consent decree applicable to that agency.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-546, eff. 8-11-23;  | 
revised 8-28-23.)
 | 
 (20 ILCS 505/21) | 
 Sec. 21. Investigative powers; training.  | 
 (a) To make such investigations as it may deem necessary  | 
to the performance of its duties. | 
 (b) In the course of any such investigation any qualified  | 
person authorized by the Director may administer oaths and  | 
secure by its subpoena both the attendance and testimony of  | 
witnesses and the production of books and papers relevant to  | 
 | 
such investigation. Any person who is served with a subpoena  | 
by the Department to appear and testify or to produce books and  | 
papers, in the course of an investigation authorized by law,  | 
and who refuses or neglects to appear, or to testify, or to  | 
produce books and papers relevant to such investigation, as  | 
commanded in such subpoena, shall be guilty of a Class B  | 
misdemeanor. The fees of witnesses for attendance and travel  | 
shall be the same as the fees of witnesses before the circuit  | 
courts of this State. Any circuit court of this State, upon  | 
application of the person requesting the hearing or the  | 
Department, may compel the attendance of witnesses, the  | 
production of books and papers, and giving of testimony before  | 
the Department or before any authorized officer or employee  | 
thereof, by an attachment for contempt or otherwise, in the  | 
same manner as production of evidence may be compelled before  | 
such court. Every person who, having taken an oath or made  | 
affirmation before the Department or any authorized officer or  | 
employee thereof, shall willfully swear or affirm falsely,  | 
shall be guilty of perjury and upon conviction shall be  | 
punished accordingly. | 
 (c) Investigations initiated under this Section shall  | 
provide individuals due process of law, including the right to  | 
a hearing, to cross-examine witnesses, to obtain relevant  | 
documents, and to present evidence. Administrative findings  | 
shall be subject to the provisions of the Administrative  | 
Review Law. | 
 | 
 (d) Beginning July 1, 1988, any child protective  | 
investigator or supervisor or child welfare specialist or  | 
supervisor employed by the Department on January 1, 1988 (the  | 
effective date of Public Act 85-206) this amendatory Act of  | 
1987 shall have completed a training program which shall be  | 
instituted by the Department. The training program shall  | 
include, but not be limited to, the following: (1) training in  | 
the detection of symptoms of child neglect and drug abuse; (2)  | 
specialized training for dealing with families and children of  | 
drug abusers; and (3) specific training in child development,  | 
family dynamics and interview techniques. Such program shall  | 
conform to the criteria and curriculum developed under Section  | 
4 of the Child Protective Investigator and Child Welfare  | 
Specialist Certification Act of 1987. Failure to complete such  | 
training due to lack of opportunity provided by the Department  | 
shall in no way be grounds for any disciplinary or other action  | 
against an investigator or a specialist. | 
 The Department shall develop a continuous inservice staff  | 
development program and evaluation system. Each child  | 
protective investigator and supervisor and child welfare  | 
specialist and supervisor shall participate in such program  | 
and evaluation and shall complete a minimum of 20 hours of  | 
inservice education and training every 2 years in order to  | 
maintain certification. | 
 Any child protective investigator or child protective  | 
supervisor, or child welfare specialist or child welfare  | 
 | 
specialist supervisor hired by the Department who begins  | 
actual employment after January 1, 1988 (the effective date of  | 
Public Act 85-206) this amendatory Act of 1987, shall be  | 
certified pursuant to the Child Protective Investigator and  | 
Child Welfare Specialist Certification Act of 1987 before  | 
beginning such employment. Nothing in this Act shall replace  | 
or diminish the rights of employees under the Illinois Public  | 
Labor Relations Act, as amended, or the National Labor  | 
Relations Act. In the event of any conflict between either of  | 
those Acts, or any collective bargaining agreement negotiated  | 
thereunder, and the provisions of subsections (d) and (e), the  | 
former shall prevail and control. | 
 (e) The Department shall develop and implement the  | 
following: | 
  (1) A safety-based child welfare intervention system. | 
  (2) Related training procedures. | 
  (3) A standardized method for demonstration of  | 
 proficiency in application of the safety-based child  | 
 welfare intervention system. | 
  (4) An evaluation of the reliability and validity of  | 
 the safety-based child welfare intervention system. | 
All child protective investigators and supervisors and child  | 
welfare specialists and supervisors employed by the Department  | 
or its contractors shall be required, subsequent to the  | 
availability of training under this Act, to demonstrate  | 
proficiency in application of the safety-based child welfare  | 
 | 
intervention system previous to being permitted to make safety  | 
decisions about the children for whom they are responsible.  | 
The Department shall establish a multi-disciplinary advisory  | 
committee appointed by the Director, including, but not  | 
limited to, representatives from the fields of child  | 
development, domestic violence, family systems, juvenile  | 
justice, law enforcement, health care, mental health,  | 
substance abuse, and social service to advise the Department  | 
and its related contractors in the development and  | 
implementation of the safety-based child welfare intervention  | 
system, related training, method for demonstration of  | 
proficiency in application of the safety-based child welfare  | 
intervention system, and evaluation of the reliability and  | 
validity of the safety-based child welfare intervention  | 
system. The Department shall develop the safety-based child  | 
welfare intervention system, training curriculum, method for  | 
demonstration of proficiency in application of the  | 
safety-based child welfare intervention system, and method for  | 
evaluation of the reliability and validity of the safety-based  | 
child welfare intervention system. Training and demonstration  | 
of proficiency in application of the safety-based child  | 
welfare intervention system for all child protective  | 
investigators and supervisors and child welfare specialists  | 
and supervisors shall be completed as soon as practicable. The  | 
Department shall submit to the General Assembly on or before  | 
December 31, 2026, and every year thereafter, an annual report  | 
 | 
on the evaluation of the reliability and validity of the  | 
safety-based child welfare intervention system. The Department  | 
shall contract with a not-for-profit not for profit  | 
organization with demonstrated expertise in the field of  | 
safety-based child welfare intervention to assist in the  | 
development and implementation of the safety-based child  | 
welfare intervention system, related training, method for  | 
demonstration of proficiency in application of the  | 
safety-based child welfare intervention system, and evaluation  | 
of the reliability and validity of the safety-based child  | 
welfare intervention system. | 
 (f) The Department shall provide each parent or guardian  | 
and responsible adult caregiver participating in a safety plan  | 
a copy of the written safety plan as signed by each parent or  | 
guardian and responsible adult caregiver and by a  | 
representative of the Department. The Department shall also  | 
provide each parent or guardian and responsible adult  | 
caregiver safety plan information on their rights and  | 
responsibilities that shall include, but need not be limited  | 
to, information on how to obtain medical care, emergency phone  | 
numbers, and information on how to notify schools or day care  | 
providers as appropriate. The Department's representative  | 
shall ensure that the safety plan is reviewed and approved by  | 
the child protection supervisor.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-460, eff. 1-1-24;  | 
revised 9-11-23.)
 | 
 | 
 Section 75. The Department of Commerce and Economic  | 
Opportunity Law of the Civil Administrative Code of Illinois  | 
is amended by renumbering Section 1105 as follows:
 | 
 (20 ILCS 605/605-1103) | 
 (Section scheduled to be repealed on December 31, 2024) | 
 Sec. 605-1103 1105. Power price mitigation assistance.  | 
Subject to appropriation from such funds made available, the  | 
Department shall reimburse up to $200,000,000 to an eligible  | 
electric utility serving adversely impacted residential and  | 
small commercial customers pursuant to Section 16-107.7 of the  | 
Public Utilities Act. This Section is repealed December 31,  | 
2024. | 
(Source: P.A. 102-1123, eff. 1-27-23; revised 10-18-23.)
 | 
 Section 80. The Illinois Enterprise Zone Act is amended by  | 
changing Section 5.5 as follows:
 | 
 (20 ILCS 655/5.5) (from Ch. 67 1/2, par. 609.1) | 
 Sec. 5.5. High Impact Business.  | 
 (a) In order to respond to unique opportunities to assist  | 
in the encouragement, development, growth, and expansion of  | 
the private sector through large scale investment and  | 
development projects, the Department is authorized to receive  | 
and approve applications for the designation of "High Impact  | 
 | 
Businesses" in Illinois, for an initial term of 20 years with  | 
an option for renewal for a term not to exceed 20 years,  | 
subject to the following conditions: | 
  (1) such applications may be submitted at any time  | 
 during the year; | 
  (2) such business is not located, at the time of  | 
 designation, in an enterprise zone designated pursuant to  | 
 this Act; | 
  (3) the business intends to do, commits to do, or is  | 
 one or more of the following:  | 
   (A) the business intends to make a minimum  | 
 investment of $12,000,000 which will be placed in  | 
 service in qualified property and intends to create  | 
 500 full-time equivalent jobs at a designated location  | 
 in Illinois or intends to make a minimum investment of  | 
 $30,000,000 which will be placed in service in  | 
 qualified property and intends to retain 1,500  | 
 full-time retained jobs at a designated location in  | 
 Illinois. The terms "placed in service" and "qualified  | 
 property" have the same meanings as described in  | 
 subsection (h) of Section 201 of the Illinois Income  | 
 Tax Act; or | 
   (B) the business intends to establish a new  | 
 electric generating facility at a designated location  | 
 in Illinois. "New electric generating facility", for  | 
 purposes of this Section, means a newly constructed  | 
 | 
 electric generation plant or a newly constructed  | 
 generation capacity expansion at an existing electric  | 
 generation plant, including the transmission lines and  | 
 associated equipment that transfers electricity from  | 
 points of supply to points of delivery, and for which  | 
 such new foundation construction commenced not sooner  | 
 than July 1, 2001. Such facility shall be designed to  | 
 provide baseload electric generation and shall operate  | 
 on a continuous basis throughout the year; and (i)  | 
 shall have an aggregate rated generating capacity of  | 
 at least 1,000 megawatts for all new units at one site  | 
 if it uses natural gas as its primary fuel and  | 
 foundation construction of the facility is commenced  | 
 on or before December 31, 2004, or shall have an  | 
 aggregate rated generating capacity of at least 400  | 
 megawatts for all new units at one site if it uses coal  | 
 or gases derived from coal as its primary fuel and  | 
 shall support the creation of at least 150 new  | 
 Illinois coal mining jobs, or (ii) shall be funded  | 
 through a federal Department of Energy grant before  | 
 December 31, 2010 and shall support the creation of  | 
 Illinois coal mining coal-mining jobs, or (iii) shall  | 
 use coal gasification or integrated  | 
 gasification-combined cycle units that generate  | 
 electricity or chemicals, or both, and shall support  | 
 the creation of Illinois coal mining coal-mining jobs.  | 
 | 
 The term "placed in service" has the same meaning as  | 
 described in subsection (h) of Section 201 of the  | 
 Illinois Income Tax Act; or | 
   (B-5) the business intends to establish a new  | 
 gasification facility at a designated location in  | 
 Illinois. As used in this Section, "new gasification  | 
 facility" means a newly constructed coal gasification  | 
 facility that generates chemical feedstocks or  | 
 transportation fuels derived from coal (which may  | 
 include, but are not limited to, methane, methanol,  | 
 and nitrogen fertilizer), that supports the creation  | 
 or retention of Illinois coal mining coal-mining jobs,  | 
 and that qualifies for financial assistance from the  | 
 Department before December 31, 2010. A new  | 
 gasification facility does not include a pilot project  | 
 located within Jefferson County or within a county  | 
 adjacent to Jefferson County for synthetic natural gas  | 
 from coal; or | 
   (C) the business intends to establish production  | 
 operations at a new coal mine, re-establish production  | 
 operations at a closed coal mine, or expand production  | 
 at an existing coal mine at a designated location in  | 
 Illinois not sooner than July 1, 2001; provided that  | 
 the production operations result in the creation of  | 
 150 new Illinois coal mining jobs as described in  | 
 subdivision (a)(3)(B) of this Section, and further  | 
 | 
 provided that the coal extracted from such mine is  | 
 utilized as the predominant source for a new electric  | 
 generating facility. The term "placed in service" has  | 
 the same meaning as described in subsection (h) of  | 
 Section 201 of the Illinois Income Tax Act; or | 
   (D) the business intends to construct new  | 
 transmission facilities or upgrade existing  | 
 transmission facilities at designated locations in  | 
 Illinois, for which construction commenced not sooner  | 
 than July 1, 2001. For the purposes of this Section,  | 
 "transmission facilities" means transmission lines  | 
 with a voltage rating of 115 kilovolts or above,  | 
 including associated equipment, that transfer  | 
 electricity from points of supply to points of  | 
 delivery and that transmit a majority of the  | 
 electricity generated by a new electric generating  | 
 facility designated as a High Impact Business in  | 
 accordance with this Section. The term "placed in  | 
 service" has the same meaning as described in  | 
 subsection (h) of Section 201 of the Illinois Income  | 
 Tax Act; or | 
   (E) the business intends to establish a new wind  | 
 power facility at a designated location in Illinois.  | 
 For purposes of this Section, "new wind power  | 
 facility" means a newly constructed electric  | 
 generation facility, a newly constructed expansion of  | 
 | 
 an existing electric generation facility, or the  | 
 replacement of an existing electric generation  | 
 facility, including the demolition and removal of an  | 
 electric generation facility irrespective of whether  | 
 it will be replaced, placed in service or replaced on  | 
 or after July 1, 2009, that generates electricity  | 
 using wind energy devices, and such facility shall be  | 
 deemed to include any permanent structures associated  | 
 with the electric generation facility and all  | 
 associated transmission lines, substations, and other  | 
 equipment related to the generation of electricity  | 
 from wind energy devices. For purposes of this  | 
 Section, "wind energy device" means any device, with a  | 
 nameplate capacity of at least 0.5 megawatts, that is  | 
 used in the process of converting kinetic energy from  | 
 the wind to generate electricity; or  | 
   (E-5) the business intends to establish a new  | 
 utility-scale solar facility at a designated location  | 
 in Illinois. For purposes of this Section, "new  | 
 utility-scale solar power facility" means a newly  | 
 constructed electric generation facility, or a newly  | 
 constructed expansion of an existing electric  | 
 generation facility, placed in service on or after  | 
 July 1, 2021, that (i) generates electricity using  | 
 photovoltaic cells and (ii) has a nameplate capacity  | 
 that is greater than 5,000 kilowatts, and such  | 
 | 
 facility shall be deemed to include all associated  | 
 transmission lines, substations, energy storage  | 
 facilities, and other equipment related to the  | 
 generation and storage of electricity from  | 
 photovoltaic cells; or  | 
   (F) the business commits to (i) make a minimum  | 
 investment of $500,000,000, which will be placed in  | 
 service in a qualified property, (ii) create 125  | 
 full-time equivalent jobs at a designated location in  | 
 Illinois, (iii) establish a fertilizer plant at a  | 
 designated location in Illinois that complies with the  | 
 set-back standards as described in Table 1: Initial  | 
 Isolation and Protective Action Distances in the 2012  | 
 Emergency Response Guidebook published by the United  | 
 States Department of Transportation, (iv) pay a  | 
 prevailing wage for employees at that location who are  | 
 engaged in construction activities, and (v) secure an  | 
 appropriate level of general liability insurance to  | 
 protect against catastrophic failure of the fertilizer  | 
 plant or any of its constituent systems; in addition,  | 
 the business must agree to enter into a construction  | 
 project labor agreement including provisions  | 
 establishing wages, benefits, and other compensation  | 
 for employees performing work under the project labor  | 
 agreement at that location; for the purposes of this  | 
 Section, "fertilizer plant" means a newly constructed  | 
 | 
 or upgraded plant utilizing gas used in the production  | 
 of anhydrous ammonia and downstream nitrogen  | 
 fertilizer products for resale; for the purposes of  | 
 this Section, "prevailing wage" means the hourly cash  | 
 wages plus fringe benefits for training and  | 
 apprenticeship programs approved by the U.S.  | 
 Department of Labor, Bureau of Apprenticeship and  | 
 Training, health and welfare, insurance, vacations and  | 
 pensions paid generally, in the locality in which the  | 
 work is being performed, to employees engaged in work  | 
 of a similar character on public works; this paragraph  | 
 (F) applies only to businesses that submit an  | 
 application to the Department within 60 days after  | 
 July 25, 2013 (the effective date of Public Act  | 
 98-109); or  | 
   (G) the business intends to establish a new  | 
 cultured cell material food production facility at a  | 
 designated location in Illinois. As used in this  | 
 paragraph (G): | 
   "Cultured cell material food production facility"  | 
 means a facility (i) at which cultured animal cell  | 
 food is developed using animal cell culture  | 
 technology, (ii) at which production processes occur  | 
 that include the establishment of cell lines and cell  | 
 banks, manufacturing controls, and all components and  | 
 inputs, and (iii) that complies with all existing  | 
 | 
 registrations, inspections, licensing, and approvals  | 
 from all applicable and participating State and  | 
 federal food agencies, including the Department of  | 
 Agriculture, the Department of Public Health, and the  | 
 United States Food and Drug Administration, to ensure  | 
 that all food production is safe and lawful under  | 
 provisions of the Federal Food, Drug and Cosmetic Act  | 
 related to the development, production, and storage of  | 
 cultured animal cell food. | 
   "New cultured cell material food production  | 
 facility" means a newly constructed cultured cell  | 
 material food production facility that is placed in  | 
 service on or after June 7, 2023 (the effective date of  | 
 Public Act 103-9) this amendatory Act of the 103rd  | 
 General Assembly or a newly constructed expansion of  | 
 an existing cultured cell material food production  | 
 facility, in a controlled environment, when the  | 
 improvements are placed in service on or after June 7,  | 
 2023 (the effective date of Public Act 103-9) this  | 
 amendatory Act of the 103rd General Assembly; or and | 
   (H) (G) the business is an existing or planned  | 
 grocery store, as that term is defined in Section 5 of  | 
 the Grocery Initiative Act, and receives financial  | 
 support under that Act within the 10 years before  | 
 submitting its application under this Act; and  | 
  (4) no later than 90 days after an application is  | 
 | 
 submitted, the Department shall notify the applicant of  | 
 the Department's determination of the qualification of the  | 
 proposed High Impact Business under this Section. | 
 (b) Businesses designated as High Impact Businesses  | 
pursuant to subdivision (a)(3)(A) of this Section shall  | 
qualify for the credits and exemptions described in the  | 
following Acts: Section 9-222 and Section 9-222.1A of the  | 
Public Utilities Act, subsection (h) of Section 201 of the  | 
Illinois Income Tax Act, and Section 1d of the Retailers'  | 
Occupation Tax Act; provided that these credits and exemptions  | 
described in these Acts shall not be authorized until the  | 
minimum investments set forth in subdivision (a)(3)(A) of this  | 
Section have been placed in service in qualified properties  | 
and, in the case of the exemptions described in the Public  | 
Utilities Act and Section 1d of the Retailers' Occupation Tax  | 
Act, the minimum full-time equivalent jobs or full-time  | 
retained jobs set forth in subdivision (a)(3)(A) of this  | 
Section have been created or retained. Businesses designated  | 
as High Impact Businesses under this Section shall also  | 
qualify for the exemption described in Section 5l of the  | 
Retailers' Occupation Tax Act. The credit provided in  | 
subsection (h) of Section 201 of the Illinois Income Tax Act  | 
shall be applicable to investments in qualified property as  | 
set forth in subdivision (a)(3)(A) of this Section. | 
 (b-5) Businesses designated as High Impact Businesses  | 
pursuant to subdivisions (a)(3)(B), (a)(3)(B-5), (a)(3)(C),  | 
 | 
(a)(3)(D), and (a)(3)(G), and (a)(3)(H) of this Section shall  | 
qualify for the credits and exemptions described in the  | 
following Acts: Section 51 of the Retailers' Occupation Tax  | 
Act, Section 9-222 and Section 9-222.1A of the Public  | 
Utilities Act, and subsection (h) of Section 201 of the  | 
Illinois Income Tax Act; however, the credits and exemptions  | 
authorized under Section 9-222 and Section 9-222.1A of the  | 
Public Utilities Act, and subsection (h) of Section 201 of the  | 
Illinois Income Tax Act shall not be authorized until the new  | 
electric generating facility, the new gasification facility,  | 
the new transmission facility, the new, expanded, or reopened  | 
coal mine, or the new cultured cell material food production  | 
facility, or the existing or planned grocery store is  | 
operational, except that a new electric generating facility  | 
whose primary fuel source is natural gas is eligible only for  | 
the exemption under Section 5l of the Retailers' Occupation  | 
Tax Act. | 
 (b-6) Businesses designated as High Impact Businesses  | 
pursuant to subdivision (a)(3)(E) or (a)(3)(E-5) of this  | 
Section shall qualify for the exemptions described in Section  | 
5l of the Retailers' Occupation Tax Act; any business so  | 
designated as a High Impact Business being, for purposes of  | 
this Section, a "Wind Energy Business".  | 
 (b-7) Beginning on January 1, 2021, businesses designated  | 
as High Impact Businesses by the Department shall qualify for  | 
the High Impact Business construction jobs credit under  | 
 | 
subsection (h-5) of Section 201 of the Illinois Income Tax Act  | 
if the business meets the criteria set forth in subsection (i)  | 
of this Section. The total aggregate amount of credits awarded  | 
under the Blue Collar Jobs Act (Article 20 of Public Act 101-9)  | 
shall not exceed $20,000,000 in any State fiscal year.  | 
 (c) High Impact Businesses located in federally designated  | 
foreign trade zones or sub-zones are also eligible for  | 
additional credits, exemptions and deductions as described in  | 
the following Acts: Section 9-221 and Section 9-222.1 of the  | 
Public Utilities Act; and subsection (g) of Section 201, and  | 
Section 203 of the Illinois Income Tax Act. | 
 (d) Except for businesses contemplated under subdivision  | 
(a)(3)(E), (a)(3)(E-5), or (a)(3)(G), or (a)(3)(H) of this  | 
Section, existing Illinois businesses which apply for  | 
designation as a High Impact Business must provide the  | 
Department with the prospective plan for which 1,500 full-time  | 
retained jobs would be eliminated in the event that the  | 
business is not designated. | 
 (e) Except for new businesses contemplated under  | 
subdivision (a)(3)(E), or subdivision (a)(3)(G), or  | 
subdivision (a)(3)(H) of this Section, new proposed facilities  | 
which apply for designation as High Impact Business must  | 
provide the Department with proof of alternative non-Illinois  | 
sites which would receive the proposed investment and job  | 
creation in the event that the business is not designated as a  | 
High Impact Business. | 
 | 
 (f) Except for businesses contemplated under subdivision  | 
(a)(3)(E), or subdivision (a)(3)(G), or subdivision (a)(3)(H)  | 
of this Section, in the event that a business is designated a  | 
High Impact Business and it is later determined after  | 
reasonable notice and an opportunity for a hearing as provided  | 
under the Illinois Administrative Procedure Act, that the  | 
business would have placed in service in qualified property  | 
the investments and created or retained the requisite number  | 
of jobs without the benefits of the High Impact Business  | 
designation, the Department shall be required to immediately  | 
revoke the designation and notify the Director of the  | 
Department of Revenue who shall begin proceedings to recover  | 
all wrongfully exempted State taxes with interest. The  | 
business shall also be ineligible for all State funded  | 
Department programs for a period of 10 years. | 
 (g) The Department shall revoke a High Impact Business  | 
designation if the participating business fails to comply with  | 
the terms and conditions of the designation. | 
 (h) Prior to designating a business, the Department shall  | 
provide the members of the General Assembly and Commission on  | 
Government Forecasting and Accountability with a report  | 
setting forth the terms and conditions of the designation and  | 
guarantees that have been received by the Department in  | 
relation to the proposed business being designated. | 
 (i) High Impact Business construction jobs credit.  | 
Beginning on January 1, 2021, a High Impact Business may  | 
 | 
receive a tax credit against the tax imposed under subsections  | 
(a) and (b) of Section 201 of the Illinois Income Tax Act in an  | 
amount equal to 50% of the amount of the incremental income tax  | 
attributable to High Impact Business construction jobs credit  | 
employees employed in the course of completing a High Impact  | 
Business construction jobs project. However, the High Impact  | 
Business construction jobs credit may equal 75% of the amount  | 
of the incremental income tax attributable to High Impact  | 
Business construction jobs credit employees if the High Impact  | 
Business construction jobs credit project is located in an  | 
underserved area.  | 
 The Department shall certify to the Department of Revenue:  | 
(1) the identity of taxpayers that are eligible for the High  | 
Impact Business construction jobs credit; and (2) the amount  | 
of High Impact Business construction jobs credits that are  | 
claimed pursuant to subsection (h-5) of Section 201 of the  | 
Illinois Income Tax Act in each taxable year. Any business  | 
entity that receives a High Impact Business construction jobs  | 
credit shall maintain a certified payroll pursuant to  | 
subsection (j) of this Section.  | 
 As used in this subsection (i): | 
 "High Impact Business construction jobs credit" means an  | 
amount equal to 50% (or 75% if the High Impact Business  | 
construction project is located in an underserved area) of the  | 
incremental income tax attributable to High Impact Business  | 
construction job employees. The total aggregate amount of  | 
 | 
credits awarded under the Blue Collar Jobs Act (Article 20 of  | 
Public Act 101-9) shall not exceed $20,000,000 in any State  | 
fiscal year | 
 "High Impact Business construction job employee" means a  | 
laborer or worker who is employed by an Illinois contractor or  | 
subcontractor in the actual construction work on the site of a  | 
High Impact Business construction job project. | 
 "High Impact Business construction jobs project" means  | 
building a structure or building or making improvements of any  | 
kind to real property, undertaken and commissioned by a  | 
business that was designated as a High Impact Business by the  | 
Department. The term "High Impact Business construction jobs  | 
project" does not include the routine operation, routine  | 
repair, or routine maintenance of existing structures,  | 
buildings, or real property. | 
 "Incremental income tax" means the total amount withheld  | 
during the taxable year from the compensation of High Impact  | 
Business construction job employees. | 
 "Underserved area" means a geographic area that meets one  | 
or more of the following conditions: | 
  (1) the area has a poverty rate of at least 20%  | 
 according to the latest American Community Survey;  | 
  (2) 35% or more of the families with children in the  | 
 area are living below 130% of the poverty line, according  | 
 to the latest American Community Survey;  | 
  (3) at least 20% of the households in the area receive  | 
 | 
 assistance under the Supplemental Nutrition Assistance  | 
 Program (SNAP); or  | 
  (4) the area has an average unemployment rate, as  | 
 determined by the Illinois Department of Employment  | 
 Security, that is more than 120% of the national  | 
 unemployment average, as determined by the U.S. Department  | 
 of Labor, for a period of at least 2 consecutive calendar  | 
 years preceding the date of the application.  | 
 (j) Each contractor and subcontractor who is engaged in  | 
and executing a High Impact Business construction Construction  | 
jobs project, as defined under subsection (i) of this Section,  | 
for a business that is entitled to a credit pursuant to  | 
subsection (i) of this Section shall:  | 
  (1) make and keep, for a period of 5 years from the  | 
 date of the last payment made on or after June 5, 2019 (the  | 
 effective date of Public Act 101-9) on a contract or  | 
 subcontract for a High Impact Business construction jobs  | 
 project Construction Jobs Project, records for all  | 
 laborers and other workers employed by the contractor or  | 
 subcontractor on the project; the records shall include:  | 
   (A) the worker's name;  | 
   (B) the worker's address;  | 
   (C) the worker's telephone number, if available;  | 
   (D) the worker's social security number;  | 
   (E) the worker's classification or  | 
 classifications;  | 
 | 
   (F) the worker's gross and net wages paid in each  | 
 pay period;  | 
   (G) the worker's number of hours worked each day;  | 
   (H) the worker's starting and ending times of work  | 
 each day;  | 
   (I) the worker's hourly wage rate; | 
   (J) the worker's hourly overtime wage rate;  | 
   (K) the worker's race and ethnicity; and | 
   (L) the worker's gender; | 
  (2) no later than the 15th day of each calendar month,  | 
 provide a certified payroll for the immediately preceding  | 
 month to the taxpayer in charge of the High Impact  | 
 Business construction jobs project; within 5 business days  | 
 after receiving the certified payroll, the taxpayer shall  | 
 file the certified payroll with the Department of Labor  | 
 and the Department of Commerce and Economic Opportunity; a  | 
 certified payroll must be filed for only those calendar  | 
 months during which construction on a High Impact Business  | 
 construction jobs project has occurred; the certified  | 
 payroll shall consist of a complete copy of the records  | 
 identified in paragraph (1) of this subsection (j), but  | 
 may exclude the starting and ending times of work each  | 
 day; the certified payroll shall be accompanied by a  | 
 statement signed by the contractor or subcontractor or an  | 
 officer, employee, or agent of the contractor or  | 
 subcontractor which avers that:  | 
 | 
   (A) he or she has examined the certified payroll  | 
 records required to be submitted by the Act and such  | 
 records are true and accurate; and  | 
   (B) the contractor or subcontractor is aware that  | 
 filing a certified payroll that he or she knows to be  | 
 false is a Class A misdemeanor.  | 
 A general contractor is not prohibited from relying on a  | 
certified payroll of a lower-tier subcontractor, provided the  | 
general contractor does not knowingly rely upon a  | 
subcontractor's false certification.  | 
 Any contractor or subcontractor subject to this  | 
subsection, and any officer, employee, or agent of such  | 
contractor or subcontractor whose duty as an officer,  | 
employee, or agent it is to file a certified payroll under this  | 
subsection, who willfully fails to file such a certified  | 
payroll on or before the date such certified payroll is  | 
required by this paragraph to be filed and any person who  | 
willfully files a false certified payroll that is false as to  | 
any material fact is in violation of this Act and guilty of a  | 
Class A misdemeanor.  | 
 The taxpayer in charge of the project shall keep the  | 
records submitted in accordance with this subsection on or  | 
after June 5, 2019 (the effective date of Public Act 101-9) for  | 
a period of 5 years from the date of the last payment for work  | 
on a contract or subcontract for the High Impact Business  | 
construction jobs project.  | 
 | 
 The records submitted in accordance with this subsection  | 
shall be considered public records, except an employee's  | 
address, telephone number, and social security number, and  | 
made available in accordance with the Freedom of Information  | 
Act. The Department of Labor shall share the information with  | 
the Department in order to comply with the awarding of a High  | 
Impact Business construction jobs credit. A contractor,  | 
subcontractor, or public body may retain records required  | 
under this Section in paper or electronic format.  | 
 (k) Upon 7 business days' notice, each contractor and  | 
subcontractor shall make available for inspection and copying  | 
at a location within this State during reasonable hours, the  | 
records identified in this subsection (j) to the taxpayer in  | 
charge of the High Impact Business construction jobs project,  | 
its officers and agents, the Director of the Department of  | 
Labor and his or her deputies and agents, and to federal,  | 
State, or local law enforcement agencies and prosecutors.  | 
 (l) The changes made to this Section by Public Act  | 
102-1125 this amendatory Act of the 102nd General Assembly,  | 
other than the changes in subsection (a), apply to High Impact  | 
Businesses high impact businesses that submit applications on  | 
or after February 3, 2023 (the effective date of Public Act  | 
102-1125) this amendatory Act of the 102nd General Assembly.  | 
(Source: P.A. 102-108, eff. 1-1-22; 102-558, eff. 8-20-21;  | 
102-605, eff. 8-27-21; 102-662, eff. 9-15-21; 102-673, eff.  | 
11-30-21; 102-813, eff. 5-13-22; 102-1125, eff. 2-3-23; 103-9,  | 
 | 
eff. 6-7-23; 103-561, eff. 1-1-24; revised 9-27-23.)
 | 
 Section 85. The Department of Human Services Act is  | 
amended by changing Sections 10-75 and 80-45 as follows:
 | 
 (20 ILCS 1305/10-75) | 
 Sec. 10-75. Homelessness supports in Illinois.  | 
 (a) The Office to Prevent and End Homelessness (Office) is  | 
created within the Department of Human Services to facilitate  | 
the implementation of a strategic plan and initiatives aimed  | 
at decreasing homelessness and unnecessary  | 
institutionalization in Illinois, improving health and human  | 
services outcomes for people who experience homelessness, and  | 
strengthening the safety nets that contribute to housing  | 
stability. The Office shall be led by the State Homelessness  | 
Chief Officer who shall report to the Secretary of the  | 
Department. The Chief Officer shall also chair the Interagency  | 
Task Force on Homelessness, co-chair the Community Advisory  | 
Council on Homelessness, and lead the State's comprehensive  | 
efforts related to homelessness prevention. The Chief Officer  | 
shall serve as a policymaker and spokesperson on homelessness  | 
prevention, including coordinating the multi-agency effort  | 
through legislation, rules, and budgets and communicating with  | 
the General Assembly and federal and local leaders on these  | 
critical issues. | 
 (b) The Interagency Task Force on Homelessness is created  | 
 | 
within the Department of Human Services to facilitate and  | 
implement initiatives related to decreasing homelessness and  | 
unnecessary institutionalization in this State, improve health  | 
and human services outcomes for people who experience  | 
homelessness, and strengthen the safety nets that contribute  | 
to housing stability. The Task Force shall: | 
  (1) Implement the State Plan which is aimed at  | 
 addressing homelessness and unnecessary  | 
 institutionalization with the goals of achieving  | 
 functional zero homelessness, improving health and human  | 
 services outcomes for people experiencing homelessness,  | 
 and strengthening the safety nets that contribute to  | 
 housing stability. | 
  (2) Recommend policy, regulatory, and resource changes  | 
 necessary to accomplish goals and objectives laid out in  | 
 the State Plan. | 
  (3) Serve within State government and in the State at  | 
 large as an advocate for people experiencing homelessness. | 
  (4) Provide leadership for and collaborate with those  | 
 developing and implementing local plans to end  | 
 homelessness in Illinois, including, but not limited to,  | 
 the Community Advisory Council and its members. | 
  (5) Recommend the resources needed for successful  | 
 implementation and oversee that implementation. | 
  (6) Recommend and promote effective interagency  | 
 collaboration and system integration to converge related  | 
 | 
 efforts, including coordination with the Illinois Youth  | 
 Homelessness Prevention Subcommittee, the Illinois  | 
 Commission on the Elimination of Poverty, and the Illinois  | 
 Commission to End Hunger on drafting policy  | 
 recommendations related to the intersection of  | 
 homelessness and poverty. | 
  (7) Recommend needed policy, regulatory, and resource  | 
 distribution changes; make oversight recommendations that  | 
 will ensure accountability, results, and sustained  | 
 success; and develop specific proposals and  | 
 recommendations for action to provide to the Governor and  | 
 the General Assembly. | 
 (c) (Blank).  | 
 (d) The Task Force may solicit feedback from stakeholders,  | 
customers, and advocates to inform Task Force recommendations  | 
as necessary.  | 
 (e) On or before December 1, 2024, and each year  | 
thereafter, the Task Force shall submit a report to the  | 
Governor and General Assembly regarding the Task Force's work  | 
during the year prior, any new recommendations developed by  | 
the Task Force, any recommendations made by the Community  | 
Advisory Council on Homelessness, and any key outcomes and  | 
measures related to homelessness.  | 
 (f) The Task Force shall include the following members  | 
appointed by the Governor:  | 
  (1) The Chief Homelessness Officer, who shall serve as  | 
 | 
 Chair. | 
  (2) The Secretary of Human Services, or his or her  | 
 designee. | 
  (3) The Executive Director of the Illinois Housing  | 
 Development Authority, or his or her designee. | 
  (4) The Director of Healthcare and Family Services, or  | 
 his or her designee. | 
  (5) The Superintendent of the State Board of  | 
 Education, or his or her designee. | 
  (6) The Executive Director of the Board of Higher  | 
 Education, or his or her designee. | 
  (7) The Executive Director of the Illinois Community  | 
 College Board, or his or her designee. | 
  (8) The Director of Corrections, or his or her  | 
 designee. | 
  (9) The Director of Veterans' Affairs, or his or her  | 
 designee. | 
  (10) The Director of Children and Family Services, or  | 
 his or her designee. | 
  (11) The Director of Public Health, or his or her  | 
 designee. | 
  (12) The Director of Aging, or his or her designee. | 
  (13) The Director of Juvenile Justice, or his or her  | 
 designee. | 
  (14) The Director of Commerce and Economic  | 
 Opportunity, or his or her designee. | 
 | 
  (15) The Director of Employment Security, or his or  | 
 her designee. | 
  (16) The Director of the Illinois State Police, or his  | 
 or her designee. | 
  (17) The Executive Director of the Illinois Criminal  | 
 Justice Information Authority, or his or her designee. | 
  (18) The Director of the Office of Management and  | 
 Budget, or his or her designee. | 
 (g) The Task Force shall also include the following  | 
members: | 
  (1) One member appointed by the President of the  | 
 Senate.  | 
  (2) One member appointed by the Minority Leader of the  | 
 Senate. | 
  (3) One member appointed by the Speaker of the House  | 
 of Representatives. | 
  (4) One member appointed by the Minority Leader of the  | 
 House of Representatives. | 
 (h) The Chair of the Task Force may appoint additional  | 
representatives from State agencies as needed. | 
 (i) The Task Force shall meet at the call of the chair, at  | 
least 4 times per year. Members shall serve without  | 
compensation. | 
 (j) The Task Force may establish subcommittees to address  | 
specific issues or populations and may collaborate with  | 
individuals with relevant expertise who are not members of the  | 
 | 
Task Force to assist the subcommittee in carrying out its  | 
duties. | 
 (k) The Department of Human Services shall provide  | 
administrative support to the Task Force. | 
 (l) Nothing in this Act shall be construed to contravene  | 
any federal or State law or regulation. Unless specifically  | 
referenced in this Act, nothing in this Act shall affect or  | 
alter the existing statutory powers of any State agency or be  | 
construed as a reassignment or reorganization of any State  | 
agency. | 
 (m) Community Advisory Council. The Community Advisory  | 
Council on Homelessness is created within the Department of  | 
Human Services to make recommendations to the Interagency Task  | 
Force on Homelessness regarding homelessness and unnecessary  | 
institutionalization with the goals of achieving functional  | 
zero homelessness, improving health and human services  | 
outcomes for people experiencing homelessness and  | 
strengthening the safety nets that contribute to housing  | 
stability. | 
  (1) The Advisory Council shall be co-chaired by the  | 
 Chief Homelessness Officer and a member of the Advisory  | 
 Council designated by the Governor. The Advisory Council  | 
 shall consist of all of the following members appointed by  | 
 the Governor. Members appointed to the Advisory Council  | 
 must reflect the racial, ethnic, and geographic diversity  | 
 of this State. The Chief may include any State agency  | 
 | 
 staff that they deem necessary as ex officio, nonvoting  | 
 members of the Community Advisory Council. | 
   (A) Three members with lived experience of  | 
 homelessness or housing insecurity, which may include,  | 
 but are not limited to, formerly incarcerated persons,  | 
 veterans, and youth (16 to 25 years old). | 
   (B) One member representing individuals with  | 
 disabilities. | 
   (C) Two members representing the philanthropic  | 
 private funding sector. | 
   (D) One member representing a statewide behavioral  | 
 health advocacy organization. | 
   (E) One member representing a statewide housing  | 
 advocacy organization. | 
   (F) At least 2 members representing local  | 
 Continuums of Care. | 
   (G) At least 3 members representing local units of  | 
 government (municipal, county, or township). | 
   (H) One member representing an organization that  | 
 supports victims of domestic violence.  | 
   (I) A minimum of 4 members representing providers  | 
 of the homeless response system inclusive of, but not  | 
 limited to, emergency supportive housing, rapid  | 
 rehousing, permanent supportive housing, homeless  | 
 youth programs, and homeless prevention. | 
   (J) Two members, who may or may not meet the  | 
 | 
 qualification requirements for the other appointees. | 
 The Advisory Council shall meet at least 4 times per year.  | 
  (2) Members shall serve without compensation, but  | 
 public members may be reimbursed for reasonable and  | 
 necessary travel expenses connected to Task Force  | 
 business. Persons with lived experience of homelessness  | 
 and housing insecurity, who are not otherwise compensated  | 
 by employers to attend the Community Advisory Council,  | 
 shall receive compensation for each quarterly Council  | 
 meeting attended. | 
  (3) The meetings of the Advisory Council shall be  | 
 conducted in accordance with the provisions of Section 2  | 
 of the Open Meetings Act. The Department of Human Services  | 
 shall provide staff and administrative support to assist  | 
 the Advisory Council in carrying out its duties. | 
  (4) Nothing in this Act shall be construed to  | 
 contravene any federal or State law or regulation. Unless  | 
 specifically referenced in this Act, nothing in this Act  | 
 shall affect or alter the existing statutory powers of any  | 
 State agency or be construed as a reassignment or  | 
 reorganization of any State agency. | 
  (5) On or before November 15, 2023, and each year  | 
 thereafter, the Advisory Council shall submit  | 
 recommendations to the Interagency Task Force on  | 
 Homelessness. | 
(Source: P.A. 103-269, eff. 7-26-23; revised 1-20-24.)
 | 
 | 
 (20 ILCS 1305/80-45) | 
 Sec. 80-45. Funding agent and administration. | 
 (a) The Department shall act as funding agent under the  | 
terms of the Illinois Affordable Housing Act and shall  | 
administer other appropriations for the use of the Illinois  | 
Housing Development Authority. | 
 (b) The Department may enter into contracts,  | 
intergovernmental agreements, grants, cooperative agreements,  | 
memoranda of understanding, or other instruments with any  | 
federal, State, or local government agency as necessary to  | 
fulfill its role as funding agent in compliance with State and  | 
federal law. The Department and the Department of Revenue  | 
shall coordinate, in consultation with the Illinois Housing  | 
Development Authority, the transition of the funding agent  | 
role, including the transfer of any and all books, records, or  | 
documents, in whatever form stored, necessary to the  | 
Department's execution of the duties of the funding agent, and  | 
the Department may submit to the Governor's Office of  | 
Management and Budget requests for exception pursuant to  | 
Section 55 of the Grant Accountability and Transparency Act.  | 
Notwithstanding Section 5 of the Illinois Grant Funds Recovery  | 
Act, for State fiscal years 2023 and 2024 only, in order to  | 
accomplish the transition of the funding agent role to the  | 
Department, grant funds may be made available for expenditure  | 
by a grantee for a period of 3 years from the date the funds  | 
 | 
were distributed by the State. | 
(Source: P.A. 103-8, eff. 7-1-23; revised 9-25-23.)
 | 
 Section 90. The Department of Innovation and Technology  | 
Act is amended by changing Section 1-80 as follows:
 | 
 (20 ILCS 1370/1-80) | 
 Sec. 1-80. Generative AI and Natural Language Processing  | 
Task Force. | 
 (a) As used in this Section, "Task Force" means the  | 
Generative AI and Natural Language Processing Task Force  | 
established by this Section. | 
 (b) The Department shall establish the Generative AI and  | 
Natural Language Processing Task Force. The Task Force shall  | 
investigate and provide a report on generative artificial  | 
intelligence software and natural language processing  | 
software. | 
 (c) The Task Force shall be composed of all of the  | 
following members: | 
  (1) One member appointed by the Speaker of the House  | 
 of Representatives, who shall serve as a co-chairperson. | 
  (2) One member appointed by the Minority Leader of the  | 
 House of Representatives. | 
  (3) One member appointed by the President of the  | 
 Senate, who shall serve as a co-chairperson. | 
  (4) One member appointed by the Minority Leader of the  | 
 | 
 Senate. | 
  (5) The Secretary of the Department of Innovation and  | 
 Technology or his or her designee. | 
  (6) The State Superintendent of Education or his or  | 
 her designee. | 
  (7) The Executive Director of the Illinois Community  | 
 College Board or his or her designee. | 
  (8) The Executive Director of the Board of Higher  | 
 Education or his or her designee. | 
  (9) Two teachers recommended by a statewide  | 
 association representing teachers, appointed by the  | 
 Governor. | 
  (10) Two principals recommended by a statewide  | 
 principals association, appointed by the Governor. | 
  (11) Two experts on cybersecurity, appointed by the  | 
 Governor. | 
  (12) Two experts on artificial intelligence, appointed  | 
 by the Governor. | 
  (13) Two members of statewide business associations,  | 
 appointed by the Governor. | 
  (14) The Statewide Chief Information Security Officer  | 
 or his or her designee. | 
  (15) Two members of statewide labor associations,  | 
 appointed by the Governor. | 
  (16) The Attorney General or his or her designee.  | 
 (d) The Task Force shall hold at least 5 public meetings in  | 
 | 
a hybrid format, with both virtual and in-person options to  | 
attend. Of those required 5 meetings, one shall be held in each  | 
of the following locations: | 
  (1) Chicago; | 
  (2) Springfield; | 
  (3) the Metro East region; | 
  (4) the Quad Cities region; and | 
  (5) Southern Illinois.  | 
 (e) The responsibilities of the Task Force shall include  | 
all of the following: | 
  (1) recommending legislation or regulations to protect  | 
 consumer information as it relates to generative  | 
 artificial intelligence; | 
  (2) recommending model policies for schools to address  | 
 the use of generative artificial intelligence by students  | 
 in the classroom; | 
  (3) assessing the use of generative artificial  | 
 intelligence to improve delivery of public services; | 
  (4) (5) protecting civil rights and civil liberties of  | 
 individuals and consumers as it relates to generative  | 
 artificial intelligence; | 
  (5) (6) assessing the use of generative artificial  | 
 intelligence in the workforce and how this could affect  | 
 employment levels, types of employment, and the deployment  | 
 of workers; | 
  (6) (7) assessing the challenges of generative  | 
 | 
 artificial intelligence for cybersecurity; and | 
  (7) (8) other topics related to generative artificial  | 
 intelligence software and natural language processing  | 
 software that may arise from testimony or reports to the  | 
 Task Force submitted by its members or the public.  | 
 (f) The Department shall provide administrative and  | 
technical support to the Task Force. | 
 (g) The Task Force shall file a report by December 31, 2024  | 
with the Governor and the General Assembly covering the Task  | 
Force's investigation into generative artificial intelligence  | 
software and natural language processing software and the Task  | 
Force's responsibilities under subsection (e). | 
(Source: P.A. 103-451, eff. 8-4-23; revised 11-1-23.)
 | 
 Section 95. The Department of Insurance Law of the Civil  | 
Administrative Code of Illinois is amended by setting forth  | 
and renumbering multiple versions of Section 1405-50 as  | 
follows:
 | 
 (20 ILCS 1405/1405-50) | 
 Sec. 1405-50. Marketplace Director of the Illinois Health  | 
Benefits Exchange. The Governor shall appoint, with the advice  | 
and consent of the Senate, a person within the Department of  | 
Insurance to serve as the Marketplace Director of the Illinois  | 
Health Benefits Exchange. The Governor may make a temporary  | 
appointment until the next meeting of the Senate. This person  | 
 | 
may be an existing employee with other duties. The Marketplace  | 
Director shall receive an annual salary as set by the Governor  | 
and shall be paid out of the appropriations to the Department.  | 
The Marketplace Director shall not be subject to the Personnel  | 
Code. The Marketplace Director, under the direction of the  | 
Director, shall manage the operations and staff of the  | 
Illinois Health Benefits Exchange to ensure optimal exchange  | 
performance. | 
(Source: P.A. 103-103, eff. 6-27-23.)
 | 
 (20 ILCS 1405/1405-51) | 
 Sec. 1405-51 1405-50. Health insurance coverage,  | 
affordability, and cost transparency annual report. | 
 (a) On or before May 1, 2026, and each May 1 thereafter,  | 
the Department of Insurance shall report to the Governor and  | 
the General Assembly on health insurance coverage,  | 
affordability, and cost trends, including: | 
  (1) medical cost trends by major service category,  | 
 including prescription drugs; | 
  (2) utilization patterns of services by major service  | 
 categories; | 
  (3) impact of benefit changes, including essential  | 
 health benefits and non-essential health benefits; | 
  (4) enrollment trends; | 
  (5) demographic shifts; | 
  (6) geographic factors and variations, including  | 
 | 
 changes in provider availability; | 
  (7) health care quality improvement initiatives; | 
  (8) inflation and other factors impacting this State's  | 
 economic condition; | 
  (9) the availability of financial assistance and tax  | 
 credits to pay for health insurance coverage for  | 
 individuals and small businesses; | 
  (10) trends in out-of-pocket costs for consumers; and | 
  (11) factors contributing to costs that are not  | 
 otherwise specified in paragraphs (1) through (10) of this  | 
 subsection. | 
 (b) This report shall not attribute any information or  | 
trend to a specific company and shall not disclose any  | 
information otherwise considered confidential or proprietary. | 
(Source: P.A. 103-106, eff. 1-1-24; revised 12-19-23.)
 | 
 Section 100. The Department of Professional Regulation Law  | 
of the Civil Administrative Code of Illinois is amended by  | 
changing Section 2105-15 and by setting forth and renumbering  | 
multiple versions of Section 2105-370 as follows:
 | 
 (20 ILCS 2105/2105-15) | 
 Sec. 2105-15. General powers and duties.  | 
 (a) The Department has, subject to the provisions of the  | 
Civil Administrative Code of Illinois, the following powers  | 
and duties: | 
 | 
  (1) To authorize examinations in English to ascertain  | 
 the qualifications and fitness of applicants to exercise  | 
 the profession, trade, or occupation for which the  | 
 examination is held. | 
  (2) To prescribe rules and regulations for a fair and  | 
 wholly impartial method of examination of candidates to  | 
 exercise the respective professions, trades, or  | 
 occupations. | 
  (3) To pass upon the qualifications of applicants for  | 
 licenses, certificates, and authorities, whether by  | 
 examination, by reciprocity, or by endorsement. | 
  (4) To prescribe rules and regulations defining, for  | 
 the respective professions, trades, and occupations, what  | 
 shall constitute a school, college, or university, or  | 
 department of a university, or other institution,  | 
 reputable and in good standing, and to determine the  | 
 reputability and good standing of a school, college, or  | 
 university, or department of a university, or other  | 
 institution, reputable and in good standing, by reference  | 
 to a compliance with those rules and regulations;  | 
 provided, that no school, college, or university, or  | 
 department of a university, or other institution that  | 
 refuses admittance to applicants solely on account of  | 
 race, color, creed, sex, sexual orientation, or national  | 
 origin shall be considered reputable and in good standing. | 
  (5) To conduct hearings on proceedings to revoke,  | 
 | 
 suspend, refuse to renew, place on probationary status, or  | 
 take other disciplinary action as authorized in any  | 
 licensing Act administered by the Department with regard  | 
 to licenses, certificates, or authorities of persons  | 
 exercising the respective professions, trades, or  | 
 occupations and to revoke, suspend, refuse to renew, place  | 
 on probationary status, or take other disciplinary action  | 
 as authorized in any licensing Act administered by the  | 
 Department with regard to those licenses, certificates, or  | 
 authorities.  | 
  The Department shall issue a monthly disciplinary  | 
 report.  | 
  The Department shall refuse to issue or renew a  | 
 license to, or shall suspend or revoke a license of, any  | 
 person who, after receiving notice, fails to comply with a  | 
 subpoena or warrant relating to a paternity or child  | 
 support proceeding. However, the Department may issue a  | 
 license or renewal upon compliance with the subpoena or  | 
 warrant. | 
  The Department, without further process or hearings,  | 
 shall revoke, suspend, or deny any license or renewal  | 
 authorized by the Civil Administrative Code of Illinois to  | 
 a person who is certified by the Department of Healthcare  | 
 and Family Services (formerly Illinois Department of  | 
 Public Aid) as being more than 30 days delinquent in  | 
 complying with a child support order or who is certified  | 
 | 
 by a court as being in violation of the Non-Support  | 
 Punishment Act for more than 60 days. The Department may,  | 
 however, issue a license or renewal if the person has  | 
 established a satisfactory repayment record as determined  | 
 by the Department of Healthcare and Family Services  | 
 (formerly Illinois Department of Public Aid) or if the  | 
 person is determined by the court to be in compliance with  | 
 the Non-Support Punishment Act. The Department may  | 
 implement this paragraph as added by Public Act 89-6  | 
 through the use of emergency rules in accordance with  | 
 Section 5-45 of the Illinois Administrative Procedure Act.  | 
 For purposes of the Illinois Administrative Procedure Act,  | 
 the adoption of rules to implement this paragraph shall be  | 
 considered an emergency and necessary for the public  | 
 interest, safety, and welfare. | 
  (6) To transfer jurisdiction of any realty under the  | 
 control of the Department to any other department of the  | 
 State Government or to acquire or accept federal lands  | 
 when the transfer, acquisition, or acceptance is  | 
 advantageous to the State and is approved in writing by  | 
 the Governor. | 
  (7) To formulate rules and regulations necessary for  | 
 the enforcement of any Act administered by the Department. | 
  (8) To exchange with the Department of Healthcare and  | 
 Family Services information that may be necessary for the  | 
 enforcement of child support orders entered pursuant to  | 
 | 
 the Illinois Public Aid Code, the Illinois Marriage and  | 
 Dissolution of Marriage Act, the Non-Support of Spouse and  | 
 Children Act, the Non-Support Punishment Act, the Revised  | 
 Uniform Reciprocal Enforcement of Support Act, the Uniform  | 
 Interstate Family Support Act, the Illinois Parentage Act  | 
 of 1984, or the Illinois Parentage Act of 2015.  | 
 Notwithstanding any provisions in this Code to the  | 
 contrary, the Department of Financial and Professional  | 
 Regulation shall not be liable under any federal or State  | 
 law to any person for any disclosure of information to the  | 
 Department of Healthcare and Family Services (formerly  | 
 Illinois Department of Public Aid) under this paragraph  | 
 (8) or for any other action taken in good faith to comply  | 
 with the requirements of this paragraph (8). | 
  (8.3) To exchange information with the Department of  | 
 Human Rights regarding recommendations received under  | 
 paragraph (B) of Section 8-109 of the Illinois Human  | 
 Rights Act regarding a licensee or candidate for licensure  | 
 who has committed a civil rights violation that may lead  | 
 to the refusal, suspension, or revocation of a license  | 
 from the Department.  | 
  (8.5) To accept continuing education credit for  | 
 mandated reporter training on how to recognize and report  | 
 child abuse offered by the Department of Children and  | 
 Family Services and completed by any person who holds a  | 
 professional license issued by the Department and who is a  | 
 | 
 mandated reporter under the Abused and Neglected Child  | 
 Reporting Act. The Department shall adopt any rules  | 
 necessary to implement this paragraph.  | 
  (9) To perform other duties prescribed by law. | 
 (a-5) Except in cases involving delinquency in complying  | 
with a child support order or violation of the Non-Support  | 
Punishment Act and notwithstanding anything that may appear in  | 
any individual licensing Act or administrative rule, no person  | 
or entity whose license, certificate, or authority has been  | 
revoked as authorized in any licensing Act administered by the  | 
Department may apply for restoration of that license,  | 
certification, or authority until 3 years after the effective  | 
date of the revocation.  | 
 (b) (Blank). | 
 (c) For the purpose of securing and preparing evidence,  | 
and for the purchase of controlled substances, professional  | 
services, and equipment necessary for enforcement activities,  | 
recoupment of investigative costs, and other activities  | 
directed at suppressing the misuse and abuse of controlled  | 
substances, including those activities set forth in Sections  | 
504 and 508 of the Illinois Controlled Substances Act, the  | 
Director and agents appointed and authorized by the Director  | 
may expend sums from the Professional Regulation Evidence Fund  | 
that the Director deems necessary from the amounts  | 
appropriated for that purpose. Those sums may be advanced to  | 
the agent when the Director deems that procedure to be in the  | 
 | 
public interest. Sums for the purchase of controlled  | 
substances, professional services, and equipment necessary for  | 
enforcement activities and other activities as set forth in  | 
this Section shall be advanced to the agent who is to make the  | 
purchase from the Professional Regulation Evidence Fund on  | 
vouchers signed by the Director. The Director and those agents  | 
are authorized to maintain one or more commercial checking  | 
accounts with any State banking corporation or corporations  | 
organized under or subject to the Illinois Banking Act for the  | 
deposit and withdrawal of moneys to be used for the purposes  | 
set forth in this Section; provided, that no check may be  | 
written nor any withdrawal made from any such account except  | 
upon the written signatures of 2 persons designated by the  | 
Director to write those checks and make those withdrawals.  | 
Vouchers for those expenditures must be signed by the  | 
Director. All such expenditures shall be audited by the  | 
Director, and the audit shall be submitted to the Department  | 
of Central Management Services for approval. | 
 (d) Whenever the Department is authorized or required by  | 
law to consider some aspect of criminal history record  | 
information for the purpose of carrying out its statutory  | 
powers and responsibilities, then, upon request and payment of  | 
fees in conformance with the requirements of Section 2605-400  | 
of the Illinois State Police Law, the Illinois State Police is  | 
authorized to furnish, pursuant to positive identification,  | 
the information contained in State files that is necessary to  | 
 | 
fulfill the request. | 
 (e) The provisions of this Section do not apply to private  | 
business and vocational schools as defined by Section 15 of  | 
the Private Business and Vocational Schools Act of 2012. | 
 (f) (Blank). | 
 (f-5) Notwithstanding anything that may appear in any  | 
individual licensing statute or administrative rule, the  | 
Department shall allow an applicant to provide his or her  | 
individual taxpayer identification number as an alternative to  | 
providing a social security number when applying for a  | 
license. | 
 (g) Notwithstanding anything that may appear in any  | 
individual licensing statute or administrative rule, the  | 
Department shall deny any license application or renewal  | 
authorized under any licensing Act administered by the  | 
Department to any person who has failed to file a return, or to  | 
pay the tax, penalty, or interest shown in a filed return, or  | 
to pay any final assessment of tax, penalty, or interest, as  | 
required by any tax Act administered by the Illinois  | 
Department of Revenue, until such time as the requirement of  | 
any such tax Act are satisfied; however, the Department may  | 
issue a license or renewal if the person has established a  | 
satisfactory repayment record as determined by the Illinois  | 
Department of Revenue. For the purpose of this Section,  | 
"satisfactory repayment record" shall be defined by rule.  | 
 In addition, a complaint filed with the Department by the  | 
 | 
Illinois Department of Revenue that includes a certification,  | 
signed by its Director or designee, attesting to the amount of  | 
the unpaid tax liability or the years for which a return was  | 
not filed, or both, is prima facie evidence of the licensee's  | 
failure to comply with the tax laws administered by the  | 
Illinois Department of Revenue. Upon receipt of that  | 
certification, the Department shall, without a hearing,  | 
immediately suspend all licenses held by the licensee.  | 
Enforcement of the Department's order shall be stayed for 60  | 
days. The Department shall provide notice of the suspension to  | 
the licensee by mailing a copy of the Department's order to the  | 
licensee's address of record or emailing a copy of the order to  | 
the licensee's email address of record. The notice shall  | 
advise the licensee that the suspension shall be effective 60  | 
days after the issuance of the Department's order unless the  | 
Department receives, from the licensee, a request for a  | 
hearing before the Department to dispute the matters contained  | 
in the order.  | 
 Any suspension imposed under this subsection (g) shall be  | 
terminated by the Department upon notification from the  | 
Illinois Department of Revenue that the licensee is in  | 
compliance with all tax laws administered by the Illinois  | 
Department of Revenue.  | 
 The Department may promulgate rules for the administration  | 
of this subsection (g).  | 
 (g-5) Notwithstanding anything that may appear in any  | 
 | 
individual licensing statute or administrative rule, the  | 
Department shall refuse the issuance or renewal of a license  | 
to, or suspend or revoke the license of, any individual,  | 
corporation, partnership, or other business entity that has  | 
been found by the Illinois Workers' Compensation Commission or  | 
the Department of Insurance to have failed to (i) secure  | 
workers' compensation obligations in the manner required by  | 
subsections (a) and (b) of Section 4 of the Workers'  | 
Compensation Act, (ii) pay in full a fine or penalty imposed  | 
due to a failure to secure workers' compensation obligations  | 
in the manner required by subsections (a) and (b) of Section 4  | 
of the Workers' Compensation Act, or (iii) fulfill all  | 
obligations assumed pursuant to a settlement reached with the  | 
Illinois Workers' Compensation Commission or the Department of  | 
Insurance relating to a failure to secure workers'  | 
compensation obligations in the manner required by subsections  | 
(a) and (b) of Section 4 of the Workers' Compensation Act. No  | 
initial or renewal license shall be issued, and no suspended  | 
license shall be reinstated, until such time that the  | 
Department is notified by the Illinois Workers' Compensation  | 
Commission or the Department of Insurance that the licensee's  | 
or applicant's failure to comply with subsections (a) and (b)  | 
of Section 4 of the Workers' Compensation Act has been  | 
corrected or otherwise resolved to satisfaction of the  | 
Illinois Workers' Compensation Commission or the Department of  | 
Insurance.  | 
 | 
 In addition, a complaint filed with the Department by the  | 
Illinois Workers' Compensation Commission or the Department of  | 
Insurance that includes a certification, signed by its  | 
Director or Chairman, or the Director or Chairman's designee,  | 
attesting to a finding of the failure to secure workers'  | 
compensation obligations in the manner required by subsections  | 
(a) and (b) of Section 4 of the Workers' Compensation Act or  | 
the failure to pay any fines or penalties or to discharge any  | 
obligation under a settlement relating to the failure to  | 
secure workers' compensation obligations in the manner  | 
required by subsections (a) and (b) of Section 4 of the  | 
Workers' Compensation Act is prima facie evidence of the  | 
licensee's or applicant's failure to comply with subsections  | 
(a) and (b) of Section 4 of the Workers' Compensation Act. Upon  | 
receipt of that certification, the Department shall, without a  | 
hearing, immediately suspend all licenses held by the licensee  | 
or the processing of any application from the applicant.  | 
Enforcement of the Department's order shall be stayed for 60  | 
days. The Department shall provide notice of the suspension to  | 
the licensee by mailing a copy of the Department's order to the  | 
licensee's address of record or emailing a copy of the order to  | 
the licensee's email address of record. The notice shall  | 
advise the licensee that the suspension shall be effective 60  | 
days after the issuance of the Department's order unless the  | 
Department receives from the licensee or applicant a request  | 
for a hearing before the Department to dispute the matters  | 
 | 
contained in the order.  | 
 Any suspension imposed under this subsection shall be  | 
terminated by the Department upon notification from the  | 
Illinois Workers' Compensation Commission or the Department of  | 
Insurance that the licensee's or applicant's failure to comply  | 
with subsections (a) and (b) of Section 4 of the Workers'  | 
Compensation Act has been corrected or otherwise resolved to  | 
the satisfaction of the Illinois Workers' Compensation  | 
Commission Commissions or the Department of Insurance. | 
 No license shall be suspended or revoked until after the  | 
licensee is afforded any due process protection guaranteed by  | 
statute or rule adopted by the Illinois Workers' Compensation  | 
Commission or the Department of Insurance.  | 
 The Department may adopt rules for the administration of  | 
this subsection.  | 
 (h) The Department may grant the title "Retired", to be  | 
used immediately adjacent to the title of a profession  | 
regulated by the Department, to eligible retirees. For  | 
individuals licensed under the Medical Practice Act of 1987,  | 
the title "Retired" may be used in the profile required by the  | 
Patients' Right to Know Act. The use of the title "Retired"  | 
shall not constitute representation of current licensure,  | 
registration, or certification. Any person without an active  | 
license, registration, or certificate in a profession that  | 
requires licensure, registration, or certification shall not  | 
be permitted to practice that profession. | 
 | 
 (i) The Department shall make available on its website  | 
general information explaining how the Department utilizes  | 
criminal history information in making licensure application  | 
decisions, including a list of enumerated offenses that serve  | 
as a statutory bar to licensure. | 
(Source: P.A. 102-538, eff. 8-20-21; 103-26, eff. 1-1-24;  | 
revised 1-2-24.)
 | 
 (20 ILCS 2105/2105-368) | 
 (This Section may contain text from a Public Act with a  | 
delayed effective date) | 
 Sec. 2105-368 2105-370. Data on applications. In  | 
conjunction with applications for licensure, the Department  | 
shall request, and applicants may voluntarily provide,  | 
demographic information that includes sex, ethnicity, race,  | 
and disability. On or before March 1 of each calendar year, the  | 
Department shall publish a report on the Department's website  | 
that contains the demographic information it collected the  | 
preceding calendar year, the number of applications for  | 
licensure and renewal of licensure it received in the  | 
preceding calendar year, and the number of applicants who were  | 
denied licensure in the preceding calendar year regardless of  | 
whether application was made in that calendar year. | 
(Source: P.A. 103-522, eff. 1-1-25; revised 9-25-23.)
 | 
 (20 ILCS 2105/2105-370) | 
 | 
 (This Section may contain text from a Public Act with a  | 
delayed effective date) | 
 Sec. 2105-370. Continuing education; cultural competency. | 
 (a) As used in this Section: | 
 "Cultural competency" means a set of integrated attitudes,  | 
knowledge, and skills that enables a health care professional  | 
or organization to care effectively for patients from diverse  | 
cultures, groups, and communities. | 
 "Health care professional" means a person licensed or  | 
registered by the Department under the following Acts: the  | 
Medical Practice Act of 1987, the Nurse Practice Act, the  | 
Clinical Psychologist Licensing Act, the Illinois Optometric  | 
Practice Act of 1987, the Illinois Physical Therapy Act, the  | 
Pharmacy Practice Act, the Physician Assistant Practice Act of  | 
1987, the Clinical Social Work and Social Work Practice Act,  | 
the Nursing Home Administrators Licensing and Disciplinary  | 
Act, the Illinois Occupational Therapy Practice Act, the  | 
Podiatric Medical Practice Act of 1987, the Respiratory Care  | 
Practice Act, the Professional Counselor and Clinical  | 
Professional Counselor Licensing and Practice Act, the  | 
Illinois Speech-Language Pathology and Audiology Practice Act,  | 
the Illinois Dental Practice Act, the Illinois Dental Practice  | 
Act, or the Behavior Analyst Licensing Act. | 
 (b) For health care professional license or registration  | 
renewals occurring on or after January 1, 2025, a health care  | 
professional who has continuing education requirements must  | 
 | 
complete at least a one-hour course in training on cultural  | 
competency. A health care professional may count this one hour  | 
for completion of this course toward meeting the minimum  | 
credit hours required for continuing education. | 
 (c) The Department may adopt rules for the implementation  | 
of this Section.  | 
(Source: P.A. 103-531, eff. 1-1-25.)
 | 
 Section 105. The Department of Public Health Powers and  | 
Duties Law of the Civil Administrative Code of Illinois is  | 
amended by changing Section 2310-130 and by setting forth and  | 
renumbering multiple versions of Section 2310-720 as follows:
 | 
 (20 ILCS 2310/2310-130) | 
 Sec. 2310-130. Long term care surveyors; surveyor  | 
development unit. Long Term Care Monitor/Receiver Beginning  | 
July 1, 2011, the Department shall employ a minimum of one  | 
surveyor for every 500 licensed long term care beds. Beginning  | 
July 1, 2012, the Department shall employ a minimum of one  | 
surveyor for every 400 licensed long term care beds. Beginning  | 
July 1, 2013, the Department shall employ a minimum of one  | 
surveyor for every 300 licensed long term care beds.  | 
 The Department shall establish a surveyor development unit  | 
funded from money deposited in the Long Term Care  | 
Monitor/Receiver Fund.  | 
(Source: P.A. 103-127, eff. 1-1-24; 103-363, eff. 7-28-23;  | 
 | 
revised 12-12-23.)
 | 
 (20 ILCS 2310/2310-720) | 
 Sec. 2310-720. Pilot program with municipalities that  | 
employ a certified plumbing inspector. The Department shall  | 
create a pilot program to allow the Department to enter into an  | 
agreement with a municipality that employs a State of Illinois  | 
certified plumbing inspector to do inspections on behalf of  | 
the Department and submit appropriate documentation as  | 
requested to verify the inspections were completed to the  | 
standards required by the Department and outlined in the  | 
partnership. | 
(Source: P.A. 103-321, eff. 1-1-24.)
 | 
 (20 ILCS 2310/2310-725) | 
 Sec. 2310-725 2310-720. Public educational effort on  | 
mental health and wellness. Subject to appropriation, the  | 
Department shall undertake a public educational campaign to  | 
bring broad public awareness to communities across this State  | 
on the importance of mental health and wellness, including the  | 
expanded coverage of mental health treatment, and consistent  | 
with the recommendations of the Illinois Children's Mental  | 
Health Partnership's Children's Mental Health Plan of 2022 and  | 
Public Act 102-899. The Department shall look to other  | 
successful public educational campaigns to guide this effort,  | 
such as the public educational campaign related to Get Covered  | 
 | 
Illinois. Additionally, the Department shall work with the  | 
Department of Insurance, the Illinois State Board of  | 
Education, the Department of Human Services, the Department of  | 
Healthcare and Family Services, the Department of Juvenile  | 
Justice, the Department of Children and Family Services, and  | 
other State agencies as necessary to promote consistency in  | 
messaging and distribution methods between this campaign and  | 
other concurrent public educational campaigns related to  | 
mental health and mental wellness. Public messaging for this  | 
campaign shall be simple, be easy to understand, and include  | 
culturally competent messaging for different communities and  | 
regions throughout this State. | 
(Source: P.A. 103-535, eff. 8-11-23; revised 9-25-23.)
 | 
 Section 110. The Illinois State Police Law of the Civil  | 
Administrative Code of Illinois is amended by changing Section  | 
2605-52 as follows:
 | 
 (20 ILCS 2605/2605-52) | 
 Sec. 2605-52. Division of Statewide 9-1-1. | 
 (a) There shall be established an Office of the Statewide  | 
9-1-1 Administrator within the Division of Statewide 9-1-1.  | 
Beginning January 1, 2016, the Office of the Statewide 9-1-1  | 
Administrator shall be responsible for developing,  | 
implementing, and overseeing a uniform statewide 9-1-1 system  | 
for all areas of the State outside of municipalities having a  | 
 | 
population over 500,000. | 
 (b) The Governor shall appoint, with the advice and  | 
consent of the Senate, a Statewide 9-1-1 Administrator. The  | 
Administrator shall serve for a term of 2 years, and until a  | 
successor is appointed and qualified; except that the term of  | 
the first 9-1-1 Administrator appointed under this Act shall  | 
expire on the third Monday in January, 2017. The Administrator  | 
shall not hold any other remunerative public office. The  | 
Administrator shall receive an annual salary as set by the  | 
Governor.  | 
 (c) The Illinois State Police, from appropriations made to  | 
it for that purpose, shall make grants to 9-1-1 Authorities  | 
for the purpose of defraying costs associated with 9-1-1  | 
system consolidations awarded by the Administrator under  | 
Section 15.4b of the Emergency Telephone System Act.  | 
 (d) The Division of Statewide 9-1-1 shall exercise the  | 
rights, powers, and duties vested by law in the Illinois State  | 
Police by the Illinois State Police Radio Act and shall  | 
oversee the Illinois State Police radio network, including the  | 
Illinois State Police Emergency Radio Network and Illinois  | 
State Police's STARCOM21. | 
 (e) The Division of Statewide 9-1-1 shall also conduct the  | 
following communication activities: | 
  (1) Acquire and operate one or more radio broadcasting  | 
 stations in the State to be used for police purposes. | 
  (2) Operate a statewide communications network to  | 
 | 
 gather and disseminate information for law enforcement  | 
 agencies. | 
  (3) Undertake other communication activities that may  | 
 be required by law. | 
  (4) Oversee Illinois State Police telecommunications. | 
 (f) The Division of Statewide 9-1-1 shall oversee the  | 
Illinois State Police fleet operations.  | 
(Source: P.A. 102-538, eff. 8-20-21; 103-34, eff. 1-1-24;  | 
revised 1-2-24.)
 | 
 Section 115. The Illinois State Police Act is amended by  | 
changing Section 16 as follows:
 | 
 (20 ILCS 2610/16) (from Ch. 121, par. 307.16) | 
 Sec. 16. State policemen shall enforce the provisions of  | 
the Illinois Vehicle Code, approved September 29, 1969, as  | 
amended, and Article 9 of the "Illinois Highway Code" as  | 
amended; and shall patrol the public highways and rural  | 
districts to make arrests for violations of the provisions of  | 
such Acts. They are conservators of the peace and as such have  | 
all powers possessed by policemen in cities, and sheriffs,  | 
except that they may exercise such powers anywhere in this  | 
State. The State policemen shall cooperate with the police of  | 
cities, villages, and incorporated towns, and with the police  | 
officers of any county, in enforcing the laws of the State and  | 
in making arrests and recovering property. They may be  | 
 | 
equipped with standardized and tested devices for weighing  | 
motor vehicles and may stop and weigh, acting reasonably, or  | 
cause to be weighed, any motor vehicle which appears to weigh  | 
in excess of the weight permitted by law. It shall also be the  | 
duty of the Illinois State Police to determine, whenever  | 
possible, the person or persons or the causes responsible for  | 
the breaking or destruction of any improved hard-surfaced  | 
roadway; and to arrest all persons criminally responsible for  | 
such breaking or destruction and bring them before the proper  | 
officer for trial. The Illinois State Police shall divide the  | 
State into zones, troops, or regions and assign each zone,  | 
troop, or region to one or more policemen. No person employed  | 
under this Act, however, shall serve or execute civil process,  | 
except for process issued under the authority of the General  | 
Assembly, or a committee or commission thereof vested with  | 
subpoena powers when the county sheriff refuses or fails to  | 
serve such process, and except for process allowed by statute  | 
or issued under the authority of the Illinois Department of  | 
Revenue. | 
(Source: P.A. 102-538, eff. 8-20-21; 103-34, eff. 6-9-23;  | 
revised 9-25-23.)
 | 
 Section 120. The Human Remains Protection Act is amended  | 
by changing Section 13 as follows:
 | 
 (20 ILCS 3440/13) (from Ch. 127, par. 2673) | 
 | 
 Sec. 13. Notification.  | 
 (a) If an undertaking will occur on property that the  | 
property owner has been notified in writing by the Department  | 
that the land is likely to contain human remains, unregistered  | 
graves, grave markers, or grave artifacts, a permit shall be  | 
obtained by the landowner from the Department.  | 
 (b) If human remains, unregistered graves, grave markers,  | 
or grave artifacts that were unknown and were encountered by  | 
any person, a permit shall be obtained from the Department  | 
before any work on the undertaking may continue.  | 
 (c) The Department of Natural Resources shall adopt  | 
administrative rules whereby permits shall be issued for the  | 
avoidance, disturbance, or removal of human remains,  | 
unregistered graves, grave markers, or grave artifacts, or a  | 
combination of those activities. The Department may adopt  | 
emergency rules in accordance with Sections 5-45 and 5-45.47  | 
5-45.35 of the Illinois Administrative Procedure Act. The  | 
adoption of emergency rules authorized by Sections 5-45 and  | 
5-45.47 5-45.35 of the Illinois Administrative Procedure Act  | 
and this paragraph is deemed to be necessary for the public  | 
interest, safety, and welfare.  | 
 (d) Each permit shall specify all terms and conditions  | 
under which the avoidance, removal, or disturbance of human  | 
remains, grave artifacts, grave markers, or unregistered  | 
graves shall be carried out. All costs accrued in the removal  | 
of the aforementioned materials shall be borne by the permit  | 
 | 
applicant. Within 60 days of the completion of the  | 
undertaking, the permit holder shall submit a report, on a  | 
form provided by the Department, of the results to the  | 
Department. | 
(Source: P.A. 103-446, eff. 8-4-23; revised 10-5-23.)
 | 
 Section 125. The Illinois Power Agency Act is amended by  | 
changing Section 1-56 as follows:
 | 
 (20 ILCS 3855/1-56) | 
 Sec. 1-56. Illinois Power Agency Renewable Energy  | 
Resources Fund; Illinois Solar for All Program. | 
 (a) The Illinois Power Agency Renewable Energy Resources  | 
Fund is created as a special fund in the State treasury. | 
 (b) The Illinois Power Agency Renewable Energy Resources  | 
Fund shall be administered by the Agency as described in this  | 
subsection (b), provided that the changes to this subsection  | 
(b) made by Public Act 99-906 this amendatory Act of the 99th  | 
General Assembly shall not interfere with existing contracts  | 
under this Section.  | 
  (1) The Illinois Power Agency Renewable Energy  | 
 Resources Fund shall be used to purchase renewable energy  | 
 credits according to any approved procurement plan  | 
 developed by the Agency prior to June 1, 2017. | 
  (2) The Illinois Power Agency Renewable Energy  | 
 Resources Fund shall also be used to create the Illinois  | 
 | 
 Solar for All Program, which provides incentives for  | 
 low-income distributed generation and community solar  | 
 projects, and other associated approved expenditures. The  | 
 objectives of the Illinois Solar for All Program are to  | 
 bring photovoltaics to low-income communities in this  | 
 State in a manner that maximizes the development of new  | 
 photovoltaic generating facilities, to create a long-term,  | 
 low-income solar marketplace throughout this State, to  | 
 integrate, through interaction with stakeholders, with  | 
 existing energy efficiency initiatives, and to minimize  | 
 administrative costs. The Illinois Solar for All Program  | 
 shall be implemented in a manner that seeks to minimize  | 
 administrative costs, and maximize efficiencies and  | 
 synergies available through coordination with similar  | 
 initiatives, including the Adjustable Block program  | 
 described in subparagraphs (K) through (M) of paragraph  | 
 (1) of subsection (c) of Section 1-75, energy efficiency  | 
 programs, job training programs, and community action  | 
 agencies. The Agency shall strive to ensure that renewable  | 
 energy credits procured through the Illinois Solar for All  | 
 Program and each of its subprograms are purchased from  | 
 projects across the breadth of low-income and  | 
 environmental justice communities in Illinois, including  | 
 both urban and rural communities, are not concentrated in  | 
 a few communities, and do not exclude particular  | 
 low-income or environmental justice communities. The  | 
 | 
 Agency shall include a description of its proposed  | 
 approach to the design, administration, implementation and  | 
 evaluation of the Illinois Solar for All Program, as part  | 
 of the long-term renewable resources procurement plan  | 
 authorized by subsection (c) of Section 1-75 of this Act,  | 
 and the program shall be designed to grow the low-income  | 
 solar market. The Agency or utility, as applicable, shall  | 
 purchase renewable energy credits from the (i)  | 
 photovoltaic distributed renewable energy generation  | 
 projects and (ii) community solar projects that are  | 
 procured under procurement processes authorized by the  | 
 long-term renewable resources procurement plans approved  | 
 by the Commission. | 
  The Illinois Solar for All Program shall include the  | 
 program offerings described in subparagraphs (A) through  | 
 (E) of this paragraph (2), which the Agency shall  | 
 implement through contracts with third-party providers  | 
 and, subject to appropriation, pay the approximate amounts  | 
 identified using monies available in the Illinois Power  | 
 Agency Renewable Energy Resources Fund. Each contract that  | 
 provides for the installation of solar facilities shall  | 
 provide that the solar facilities will produce energy and  | 
 economic benefits, at a level determined by the Agency to  | 
 be reasonable, for the participating low-income low income  | 
 customers. The monies available in the Illinois Power  | 
 Agency Renewable Energy Resources Fund and not otherwise  | 
 | 
 committed to contracts executed under subsection (i) of  | 
 this Section, as well as, in the case of the programs  | 
 described under subparagraphs (A) through (E) of this  | 
 paragraph (2), funding authorized pursuant to subparagraph  | 
 (O) of paragraph (1) of subsection (c) of Section 1-75 of  | 
 this Act, shall initially be allocated among the programs  | 
 described in this paragraph (2), as follows: 35% of these  | 
 funds shall be allocated to programs described in  | 
 subparagraphs (A) and (E) of this paragraph (2), 40% of  | 
 these funds shall be allocated to programs described in  | 
 subparagraph (B) of this paragraph (2), and 25% of these  | 
 funds shall be allocated to programs described in  | 
 subparagraph (C) of this paragraph (2). The allocation of  | 
 funds among subparagraphs (A), (B), (C), and (E) of this  | 
 paragraph (2) may be changed if the Agency, after  | 
 receiving input through a stakeholder process, determines  | 
 incentives in subparagraphs (A), (B), (C), or (E) of this  | 
 paragraph (2) have not been adequately subscribed to fully  | 
 utilize available Illinois Solar for All Program funds. | 
  Contracts that will be paid with funds in the Illinois  | 
 Power Agency Renewable Energy Resources Fund shall be  | 
 executed by the Agency. Contracts that will be paid with  | 
 funds collected by an electric utility shall be executed  | 
 by the electric utility. | 
  Contracts under the Illinois Solar for All Program  | 
 shall include an approach, as set forth in the long-term  | 
 | 
 renewable resources procurement plans, to ensure the  | 
 wholesale market value of the energy is credited to  | 
 participating low-income customers or organizations and to  | 
 ensure tangible economic benefits flow directly to program  | 
 participants, except in the case of low-income  | 
 multi-family housing where the low-income customer does  | 
 not directly pay for energy. Priority shall be given to  | 
 projects that demonstrate meaningful involvement of  | 
 low-income community members in designing the initial  | 
 proposals. Acceptable proposals to implement projects must  | 
 demonstrate the applicant's ability to conduct initial  | 
 community outreach, education, and recruitment of  | 
 low-income participants in the community. Projects must  | 
 include job training opportunities if available, with the  | 
 specific level of trainee usage to be determined through  | 
 the Agency's long-term renewable resources procurement  | 
 plan, and the Illinois Solar for All Program Administrator  | 
 shall coordinate with the job training programs described  | 
 in paragraph (1) of subsection (a) of Section 16-108.12 of  | 
 the Public Utilities Act and in the Energy Transition Act.  | 
  The Agency shall make every effort to ensure that  | 
 small and emerging businesses, particularly those located  | 
 in low-income and environmental justice communities, are  | 
 able to participate in the Illinois Solar for All Program.  | 
 These efforts may include, but shall not be limited to,  | 
 proactive support from the program administrator,  | 
 | 
 different or preferred access to subprograms and  | 
 administrator-identified customers or grassroots  | 
 education provider-identified customers, and different  | 
 incentive levels. The Agency shall report on progress and  | 
 barriers to participation of small and emerging businesses  | 
 in the Illinois Solar for All Program at least once a year.  | 
 The report shall be made available on the Agency's website  | 
 and, in years when the Agency is updating its long-term  | 
 renewable resources procurement plan, included in that  | 
 Plan.  | 
   (A) Low-income single-family and small multifamily  | 
 solar incentive. This program will provide incentives  | 
 to low-income customers, either directly or through  | 
 solar providers, to increase the participation of  | 
 low-income households in photovoltaic on-site  | 
 distributed generation at residential buildings  | 
 containing one to 4 units. Companies participating in  | 
 this program that install solar panels shall commit to  | 
 hiring job trainees for a portion of their low-income  | 
 installations, and an administrator shall facilitate  | 
 partnering the companies that install solar panels  | 
 with entities that provide solar panel installation  | 
 job training. It is a goal of this program that a  | 
 minimum of 25% of the incentives for this program be  | 
 allocated to projects located within environmental  | 
 justice communities. Contracts entered into under this  | 
 | 
 paragraph may be entered into with an entity that will  | 
 develop and administer the program and shall also  | 
 include contracts for renewable energy credits from  | 
 the photovoltaic distributed generation that is the  | 
 subject of the program, as set forth in the long-term  | 
 renewable resources procurement plan. Additionally: | 
    (i) The Agency shall reserve a portion of this  | 
 program for projects that promote energy  | 
 sovereignty through ownership of projects by  | 
 low-income households, not-for-profit  | 
 organizations providing services to low-income  | 
 households, affordable housing owners, community  | 
 cooperatives, or community-based limited liability  | 
 companies providing services to low-income  | 
 households. Projects that feature energy ownership  | 
 should ensure that local people have control of  | 
 the project and reap benefits from the project  | 
 over and above energy bill savings. The Agency may  | 
 consider the inclusion of projects that promote  | 
 ownership over time or that involve partial  | 
 project ownership by communities, as promoting  | 
 energy sovereignty. Incentives for projects that  | 
 promote energy sovereignty may be higher than  | 
 incentives for equivalent projects that do not  | 
 promote energy sovereignty under this same  | 
 program. | 
 | 
    (ii) Through its long-term renewable resources  | 
 procurement plan, the Agency shall consider  | 
 additional program and contract requirements to  | 
 ensure faithful compliance by applicants  | 
 benefiting from preferences for projects  | 
 designated to promote energy sovereignty. The  | 
 Agency shall make every effort to enable solar  | 
 providers already participating in the Adjustable  | 
 Block Program Block-Program under subparagraph (K)  | 
 of paragraph (1) of subsection (c) of Section 1-75  | 
 of this Act, and particularly solar providers  | 
 developing projects under item (i) of subparagraph  | 
 (K) of paragraph (1) of subsection (c) of Section  | 
 1-75 of this Act to easily participate in the  | 
 Low-Income Distributed Generation Incentive  | 
 program described under this subparagraph (A), and  | 
 vice versa. This effort may include, but shall not  | 
 be limited to, utilizing similar or the same  | 
 application systems and processes, similar or the  | 
 same forms and formats of communication, and  | 
 providing active outreach to companies  | 
 participating in one program but not the other.  | 
 The Agency shall report on efforts made to  | 
 encourage this cross-participation in its  | 
 long-term renewable resources procurement plan.  | 
   (B) Low-Income Community Solar Project Initiative.  | 
 | 
 Incentives shall be offered to low-income customers,  | 
 either directly or through developers, to increase the  | 
 participation of low-income subscribers of community  | 
 solar projects. The developer of each project shall  | 
 identify its partnership with community stakeholders  | 
 regarding the location, development, and participation  | 
 in the project, provided that nothing shall preclude a  | 
 project from including an anchor tenant that does not  | 
 qualify as low-income. Companies participating in this  | 
 program that develop or install solar projects shall  | 
 commit to hiring job trainees for a portion of their  | 
 low-income installations, and an administrator shall  | 
 facilitate partnering the companies that install solar  | 
 projects with entities that provide solar installation  | 
 and related job training. It is a goal of this program  | 
 that a minimum of 25% of the incentives for this  | 
 program be allocated to community photovoltaic  | 
 projects in environmental justice communities. The  | 
 Agency shall reserve a portion of this program for  | 
 projects that promote energy sovereignty through  | 
 ownership of projects by low-income households,  | 
 not-for-profit organizations providing services to  | 
 low-income households, affordable housing owners, or  | 
 community-based limited liability companies providing  | 
 services to low-income households. Projects that  | 
 feature energy ownership should ensure that local  | 
 | 
 people have control of the project and reap benefits  | 
 from the project over and above energy bill savings.  | 
 The Agency may consider the inclusion of projects that  | 
 promote ownership over time or that involve partial  | 
 project ownership by communities, as promoting energy  | 
 sovereignty. Incentives for projects that promote  | 
 energy sovereignty may be higher than incentives for  | 
 equivalent projects that do not promote energy  | 
 sovereignty under this same program. Contracts entered  | 
 into under this paragraph may be entered into with  | 
 developers and shall also include contracts for  | 
 renewable energy credits related to the program. | 
   (C) Incentives for non-profits and public  | 
 facilities. Under this program funds shall be used to  | 
 support on-site photovoltaic distributed renewable  | 
 energy generation devices to serve the load associated  | 
 with not-for-profit customers and to support  | 
 photovoltaic distributed renewable energy generation  | 
 that uses photovoltaic technology to serve the load  | 
 associated with public sector customers taking service  | 
 at public buildings. Companies participating in this  | 
 program that develop or install solar projects shall  | 
 commit to hiring job trainees for a portion of their  | 
 low-income installations, and an administrator shall  | 
 facilitate partnering the companies that install solar  | 
 projects with entities that provide solar installation  | 
 | 
 and related job training. Through its long-term  | 
 renewable resources procurement plan, the Agency shall  | 
 consider additional program and contract requirements  | 
 to ensure faithful compliance by applicants benefiting  | 
 from preferences for projects designated to promote  | 
 energy sovereignty. It is a goal of this program that  | 
 at least 25% of the incentives for this program be  | 
 allocated to projects located in environmental justice  | 
 communities. Contracts entered into under this  | 
 paragraph may be entered into with an entity that will  | 
 develop and administer the program or with developers  | 
 and shall also include contracts for renewable energy  | 
 credits related to the program. | 
   (D) (Blank).  | 
   (E) Low-income large multifamily solar incentive.  | 
 This program shall provide incentives to low-income  | 
 customers, either directly or through solar providers,  | 
 to increase the participation of low-income households  | 
 in photovoltaic on-site distributed generation at  | 
 residential buildings with 5 or more units. Companies  | 
 participating in this program that develop or install  | 
 solar projects shall commit to hiring job trainees for  | 
 a portion of their low-income installations, and an  | 
 administrator shall facilitate partnering the  | 
 companies that install solar projects with entities  | 
 that provide solar installation and related job  | 
 | 
 training. It is a goal of this program that a minimum  | 
 of 25% of the incentives for this program be allocated  | 
 to projects located within environmental justice  | 
 communities. The Agency shall reserve a portion of  | 
 this program for projects that promote energy  | 
 sovereignty through ownership of projects by  | 
 low-income households, not-for-profit organizations  | 
 providing services to low-income households,  | 
 affordable housing owners, or community-based limited  | 
 liability companies providing services to low-income  | 
 households. Projects that feature energy ownership  | 
 should ensure that local people have control of the  | 
 project and reap benefits from the project over and  | 
 above energy bill savings. The Agency may consider the  | 
 inclusion of projects that promote ownership over time  | 
 or that involve partial project ownership by  | 
 communities, as promoting energy sovereignty.  | 
 Incentives for projects that promote energy  | 
 sovereignty may be higher than incentives for  | 
 equivalent projects that do not promote energy  | 
 sovereignty under this same program.  | 
  The requirement that a qualified person, as defined in  | 
 paragraph (1) of subsection (i) of this Section, install  | 
 photovoltaic devices does not apply to the Illinois Solar  | 
 for All Program described in this subsection (b). | 
  In addition to the programs outlined in paragraphs (A)  | 
 | 
 through (E), the Agency and other parties may propose  | 
 additional programs through the Long-Term Renewable  | 
 Resources Procurement Plan developed and approved under  | 
 paragraph (5) of subsection (b) of Section 16-111.5 of the  | 
 Public Utilities Act. Additional programs may target  | 
 market segments not specified above and may also include  | 
 incentives targeted to increase the uptake of  | 
 nonphotovoltaic technologies by low-income customers,  | 
 including energy storage paired with photovoltaics, if the  | 
 Commission determines that the Illinois Solar for All  | 
 Program would provide greater benefits to the public  | 
 health and well-being of low-income residents through also  | 
 supporting that additional program versus supporting  | 
 programs already authorized.  | 
  (3) Costs associated with the Illinois Solar for All  | 
 Program and its components described in paragraph (2) of  | 
 this subsection (b), including, but not limited to, costs  | 
 associated with procuring experts, consultants, and the  | 
 program administrator referenced in this subsection (b)  | 
 and related incremental costs, costs related to income  | 
 verification and facilitating customer participation in  | 
 the program, and costs related to the evaluation of the  | 
 Illinois Solar for All Program, may be paid for using  | 
 monies in the Illinois Power Agency Renewable Energy  | 
 Resources Fund, and funds allocated pursuant to  | 
 subparagraph (O) of paragraph (1) of subsection (c) of  | 
 | 
 Section 1-75, but the Agency or program administrator  | 
 shall strive to minimize costs in the implementation of  | 
 the program. The Agency or contracting electric utility  | 
 shall purchase renewable energy credits from generation  | 
 that is the subject of a contract under subparagraphs (A)  | 
 through (E) of paragraph (2) of this subsection (b), and  | 
 may pay for such renewable energy credits through an  | 
 upfront payment per installed kilowatt of nameplate  | 
 capacity paid once the device is interconnected at the  | 
 distribution system level of the interconnecting utility  | 
 and verified as energized. Payments for renewable energy  | 
 credits shall be in exchange for all renewable energy  | 
 credits generated by the system during the first 15 years  | 
 of operation and shall be structured to overcome barriers  | 
 to participation in the solar market by the low-income  | 
 community. The incentives provided for in this Section may  | 
 be implemented through the pricing of renewable energy  | 
 credits where the prices paid for the credits are higher  | 
 than the prices from programs offered under subsection (c)  | 
 of Section 1-75 of this Act to account for the additional  | 
 capital necessary to successfully access targeted market  | 
 segments. The Agency or contracting electric utility shall  | 
 retire any renewable energy credits purchased under this  | 
 program and the credits shall count toward towards the  | 
 obligation under subsection (c) of Section 1-75 of this  | 
 Act for the electric utility to which the project is  | 
 | 
 interconnected, if applicable. | 
  The Agency shall direct that up to 5% of the funds  | 
 available under the Illinois Solar for All Program to  | 
 community-based groups and other qualifying organizations  | 
 to assist in community-driven education efforts related to  | 
 the Illinois Solar for All Program, including general  | 
 energy education, job training program outreach efforts,  | 
 and other activities deemed to be qualified by the Agency.  | 
 Grassroots education funding shall not be used to support  | 
 the marketing by solar project development firms and  | 
 organizations, unless such education provides equal  | 
 opportunities for all applicable firms and organizations. | 
  (4) The Agency shall, consistent with the requirements  | 
 of this subsection (b), propose the Illinois Solar for All  | 
 Program terms, conditions, and requirements, including the  | 
 prices to be paid for renewable energy credits, and which  | 
 prices may be determined through a formula, through the  | 
 development, review, and approval of the Agency's  | 
 long-term renewable resources procurement plan described  | 
 in subsection (c) of Section 1-75 of this Act and Section  | 
 16-111.5 of the Public Utilities Act. In the course of the  | 
 Commission proceeding initiated to review and approve the  | 
 plan, including the Illinois Solar for All Program  | 
 proposed by the Agency, a party may propose an additional  | 
 low-income solar or solar incentive program, or  | 
 modifications to the programs proposed by the Agency, and  | 
 | 
 the Commission may approve an additional program, or  | 
 modifications to the Agency's proposed program, if the  | 
 additional or modified program more effectively maximizes  | 
 the benefits to low-income customers after taking into  | 
 account all relevant factors, including, but not limited  | 
 to, the extent to which a competitive market for  | 
 low-income solar has developed. Following the Commission's  | 
 approval of the Illinois Solar for All Program, the Agency  | 
 or a party may propose adjustments to the program terms,  | 
 conditions, and requirements, including the price offered  | 
 to new systems, to ensure the long-term viability and  | 
 success of the program. The Commission shall review and  | 
 approve any modifications to the program through the plan  | 
 revision process described in Section 16-111.5 of the  | 
 Public Utilities Act. | 
  (5) The Agency shall issue a request for  | 
 qualifications for a third-party program administrator or  | 
 administrators to administer all or a portion of the  | 
 Illinois Solar for All Program. The third-party program  | 
 administrator shall be chosen through a competitive bid  | 
 process based on selection criteria and requirements  | 
 developed by the Agency, including, but not limited to,  | 
 experience in administering low-income energy programs and  | 
 overseeing statewide clean energy or energy efficiency  | 
 services. If the Agency retains a program administrator or  | 
 administrators to implement all or a portion of the  | 
 | 
 Illinois Solar for All Program, each administrator shall  | 
 periodically submit reports to the Agency and Commission  | 
 for each program that it administers, at appropriate  | 
 intervals to be identified by the Agency in its long-term  | 
 renewable resources procurement plan, provided that the  | 
 reporting interval is at least quarterly. The third-party  | 
 program administrator may be, but need not be, the same  | 
 administrator as for the Adjustable Block program  | 
 described in subparagraphs (K) through (M) of paragraph  | 
 (1) of subsection (c) of Section 1-75. The Agency, through  | 
 its long-term renewable resources procurement plan  | 
 approval process, shall also determine if individual  | 
 subprograms of the Illinois Solar for All Program are  | 
 better served by a different or separate Program  | 
 Administrator. | 
  The third-party administrator's responsibilities  | 
 shall also include facilitating placement for graduates of  | 
 Illinois-based renewable energy-specific job training  | 
 programs, including the Clean Jobs Workforce Network  | 
 Program and the Illinois Climate Works Preapprenticeship  | 
 Program administered by the Department of Commerce and  | 
 Economic Opportunity and programs administered under  | 
 Section 16-108.12 of the Public Utilities Act. To increase  | 
 the uptake of trainees by participating firms, the  | 
 administrator shall also develop a web-based clearinghouse  | 
 for information available to both job training program  | 
 | 
 graduates and firms participating, directly or indirectly,  | 
 in Illinois solar incentive programs. The program  | 
 administrator shall also coordinate its activities with  | 
 entities implementing electric and natural gas  | 
 income-qualified energy efficiency programs, including  | 
 customer referrals to and from such programs, and connect  | 
 prospective low-income solar customers with any existing  | 
 deferred maintenance programs where applicable.  | 
  (6) The long-term renewable resources procurement plan  | 
 shall also provide for an independent evaluation of the  | 
 Illinois Solar for All Program. At least every 2 years,  | 
 the Agency shall select an independent evaluator to review  | 
 and report on the Illinois Solar for All Program and the  | 
 performance of the third-party program administrator of  | 
 the Illinois Solar for All Program. The evaluation shall  | 
 be based on objective criteria developed through a public  | 
 stakeholder process. The process shall include feedback  | 
 and participation from Illinois Solar for All Program  | 
 stakeholders, including participants and organizations in  | 
 environmental justice and historically underserved  | 
 communities. The report shall include a summary of the  | 
 evaluation of the Illinois Solar for All Program based on  | 
 the stakeholder developed objective criteria. The report  | 
 shall include the number of projects installed; the total  | 
 installed capacity in kilowatts; the average cost per  | 
 kilowatt of installed capacity to the extent reasonably  | 
 | 
 obtainable by the Agency; the number of jobs or job  | 
 opportunities created; economic, social, and environmental  | 
 benefits created; and the total administrative costs  | 
 expended by the Agency and program administrator to  | 
 implement and evaluate the program. The report shall be  | 
 delivered to the Commission and posted on the Agency's  | 
 website, and shall be used, as needed, to revise the  | 
 Illinois Solar for All Program. The Commission shall also  | 
 consider the results of the evaluation as part of its  | 
 review of the long-term renewable resources procurement  | 
 plan under subsection (c) of Section 1-75 of this Act. | 
  (7) If additional funding for the programs described  | 
 in this subsection (b) is available under subsection (k)  | 
 of Section 16-108 of the Public Utilities Act, then the  | 
 Agency shall submit a procurement plan to the Commission  | 
 no later than September 1, 2018, that proposes how the  | 
 Agency will procure programs on behalf of the applicable  | 
 utility. After notice and hearing, the Commission shall  | 
 approve, or approve with modification, the plan no later  | 
 than November 1, 2018. | 
  (8) As part of the development and update of the  | 
 long-term renewable resources procurement plan authorized  | 
 by subsection (c) of Section 1-75 of this Act, the Agency  | 
 shall plan for: (A) actions to refer customers from the  | 
 Illinois Solar for All Program to electric and natural gas  | 
 income-qualified energy efficiency programs, and vice  | 
 | 
 versa, with the goal of increasing participation in both  | 
 of these programs; (B) effective procedures for data  | 
 sharing, as needed, to effectuate referrals between the  | 
 Illinois Solar for All Program and both electric and  | 
 natural gas income-qualified energy efficiency programs,  | 
 including sharing customer information directly with the  | 
 utilities, as needed and appropriate; and (C) efforts to  | 
 identify any existing deferred maintenance programs for  | 
 which prospective Solar for All Program customers may be  | 
 eligible and connect prospective customers for whom  | 
 deferred maintenance is or may be a barrier to solar  | 
 installation to those programs.  | 
 As used in this subsection (b), "low-income households"  | 
means persons and families whose income does not exceed 80% of  | 
area median income, adjusted for family size and revised every  | 
5 years. | 
 For the purposes of this subsection (b), the Agency shall  | 
define "environmental justice community" based on the  | 
methodologies and findings established by the Agency and the  | 
Administrator for the Illinois Solar for All Program in its  | 
initial long-term renewable resources procurement plan and as  | 
updated by the Agency and the Administrator for the Illinois  | 
Solar for All Program as part of the long-term renewable  | 
resources procurement plan update.  | 
 (b-5) After the receipt of all payments required by  | 
Section 16-115D of the Public Utilities Act, no additional  | 
 | 
funds shall be deposited into the Illinois Power Agency  | 
Renewable Energy Resources Fund unless directed by order of  | 
the Commission. | 
 (b-10) After the receipt of all payments required by  | 
Section 16-115D of the Public Utilities Act and payment in  | 
full of all contracts executed by the Agency under subsections  | 
(b) and (i) of this Section, if the balance of the Illinois  | 
Power Agency Renewable Energy Resources Fund is under $5,000,  | 
then the Fund shall be inoperative and any remaining funds and  | 
any funds submitted to the Fund after that date, shall be  | 
transferred to the Supplemental Low-Income Energy Assistance  | 
Fund for use in the Low-Income Home Energy Assistance Program,  | 
as authorized by the Energy Assistance Act. | 
 (b-15) The prevailing wage requirements set forth in the  | 
Prevailing Wage Act apply to each project that is undertaken  | 
pursuant to one or more of the programs of incentives and  | 
initiatives described in subsection (b) of this Section and  | 
for which a project application is submitted to the program  | 
after the effective date of this amendatory Act of the 103rd  | 
General Assembly, except (i) projects that serve single-family  | 
or multi-family residential buildings and (ii) projects with  | 
an aggregate capacity of less than 100 kilowatts that serve  | 
houses of worship. The Agency shall require verification that  | 
all construction performed on a project by the renewable  | 
energy credit delivery contract holder, its contractors, or  | 
its subcontractors relating to the construction of the  | 
 | 
facility is performed by workers receiving an amount for that  | 
work that is greater than or equal to the general prevailing  | 
rate of wages as that term is defined in the Prevailing Wage  | 
Act, and the Agency may adjust renewable energy credit prices  | 
to account for increased labor costs. | 
 In this subsection (b-15), "house of worship" has the  | 
meaning given in subparagraph (Q) of paragraph (1) of  | 
subsection (c) of Section 1-75.  | 
 (c) (Blank). | 
 (d) (Blank). | 
 (e) All renewable energy credits procured using monies  | 
from the Illinois Power Agency Renewable Energy Resources Fund  | 
shall be permanently retired. | 
 (f) The selection of one or more third-party program  | 
managers or administrators, the selection of the independent  | 
evaluator, and the procurement processes described in this  | 
Section are exempt from the requirements of the Illinois  | 
Procurement Code, under Section 20-10 of that Code. | 
 (g) All disbursements from the Illinois Power Agency  | 
Renewable Energy Resources Fund shall be made only upon  | 
warrants of the Comptroller drawn upon the Treasurer as  | 
custodian of the Fund upon vouchers signed by the Director or  | 
by the person or persons designated by the Director for that  | 
purpose. The Comptroller is authorized to draw the warrant  | 
upon vouchers so signed. The Treasurer shall accept all  | 
warrants so signed and shall be released from liability for  | 
 | 
all payments made on those warrants. | 
 (h) The Illinois Power Agency Renewable Energy Resources  | 
Fund shall not be subject to sweeps, administrative charges,  | 
or chargebacks, including, but not limited to, those  | 
authorized under Section 8h of the State Finance Act, that  | 
would in any way result in the transfer of any funds from this  | 
Fund to any other fund of this State or in having any such  | 
funds utilized for any purpose other than the express purposes  | 
set forth in this Section. | 
 (h-5) The Agency may assess fees to each bidder to recover  | 
the costs incurred in connection with a procurement process  | 
held under this Section. Fees collected from bidders shall be  | 
deposited into the Renewable Energy Resources Fund.  | 
 (i) Supplemental procurement process. | 
  (1) Within 90 days after June 30, 2014 (the effective  | 
 date of Public Act 98-672) this amendatory Act of the 98th  | 
 General Assembly, the Agency shall develop a one-time  | 
 supplemental procurement plan limited to the procurement  | 
 of renewable energy credits, if available, from new or  | 
 existing photovoltaics, including, but not limited to,  | 
 distributed photovoltaic generation. Nothing in this  | 
 subsection (i) requires procurement of wind generation  | 
 through the supplemental procurement. | 
  Renewable energy credits procured from new  | 
 photovoltaics, including, but not limited to, distributed  | 
 photovoltaic generation, under this subsection (i) must be  | 
 | 
 procured from devices installed by a qualified person. In  | 
 its supplemental procurement plan, the Agency shall  | 
 establish contractually enforceable mechanisms for  | 
 ensuring that the installation of new photovoltaics is  | 
 performed by a qualified person. | 
  For the purposes of this paragraph (1), "qualified  | 
 person" means a person who performs installations of  | 
 photovoltaics, including, but not limited to, distributed  | 
 photovoltaic generation, and who: (A) has completed an  | 
 apprenticeship as a journeyman electrician from a United  | 
 States Department of Labor registered electrical  | 
 apprenticeship and training program and received a  | 
 certification of satisfactory completion; or (B) does not  | 
 currently meet the criteria under clause (A) of this  | 
 paragraph (1), but is enrolled in a United States  | 
 Department of Labor registered electrical apprenticeship  | 
 program, provided that the person is directly supervised  | 
 by a person who meets the criteria under clause (A) of this  | 
 paragraph (1); or (C) has obtained one of the following  | 
 credentials in addition to attesting to satisfactory  | 
 completion of at least 5 years or 8,000 hours of  | 
 documented hands-on electrical experience: (i) a North  | 
 American Board of Certified Energy Practitioners (NABCEP)  | 
 Installer Certificate for Solar PV; (ii) an Underwriters  | 
 Laboratories (UL) PV Systems Installer Certificate; (iii)  | 
 an Electronics Technicians Association, International  | 
 | 
 (ETAI) Level 3 PV Installer Certificate; or (iv) an  | 
 Associate in Applied Science degree from an Illinois  | 
 Community College Board approved community college program  | 
 in renewable energy or a distributed generation  | 
 technology. | 
  For the purposes of this paragraph (1), "directly  | 
 supervised" means that there is a qualified person who  | 
 meets the qualifications under clause (A) of this  | 
 paragraph (1) and who is available for supervision and  | 
 consultation regarding the work performed by persons under  | 
 clause (B) of this paragraph (1), including a final  | 
 inspection of the installation work that has been directly  | 
 supervised to ensure safety and conformity with applicable  | 
 codes. | 
  For the purposes of this paragraph (1), "install"  | 
 means the major activities and actions required to  | 
 connect, in accordance with applicable building and  | 
 electrical codes, the conductors, connectors, and all  | 
 associated fittings, devices, power outlets, or  | 
 apparatuses mounted at the premises that are directly  | 
 involved in delivering energy to the premises' electrical  | 
 wiring from the photovoltaics, including, but not limited  | 
 to, to distributed photovoltaic generation.  | 
  The renewable energy credits procured pursuant to the  | 
 supplemental procurement plan shall be procured using up  | 
 to $30,000,000 from the Illinois Power Agency Renewable  | 
 | 
 Energy Resources Fund. The Agency shall not plan to use  | 
 funds from the Illinois Power Agency Renewable Energy  | 
 Resources Fund in excess of the monies on deposit in such  | 
 fund or projected to be deposited into such fund. The  | 
 supplemental procurement plan shall ensure adequate,  | 
 reliable, affordable, efficient, and environmentally  | 
 sustainable renewable energy resources (including credits)  | 
 at the lowest total cost over time, taking into account  | 
 any benefits of price stability. | 
  To the extent available, 50% of the renewable energy  | 
 credits procured from distributed renewable energy  | 
 generation shall come from devices of less than 25  | 
 kilowatts in nameplate capacity. Procurement of renewable  | 
 energy credits from distributed renewable energy  | 
 generation devices shall be done through multi-year  | 
 contracts of no less than 5 years. The Agency shall create  | 
 credit requirements for counterparties. In order to  | 
 minimize the administrative burden on contracting  | 
 entities, the Agency shall solicit the use of third  | 
 parties to aggregate distributed renewable energy. These  | 
 third parties shall enter into and administer contracts  | 
 with individual distributed renewable energy generation  | 
 device owners. An individual distributed renewable energy  | 
 generation device owner shall have the ability to measure  | 
 the output of his or her distributed renewable energy  | 
 generation device. | 
 | 
  In developing the supplemental procurement plan, the  | 
 Agency shall hold at least one workshop open to the public  | 
 within 90 days after June 30, 2014 (the effective date of  | 
 Public Act 98-672) this amendatory Act of the 98th General  | 
 Assembly and shall consider any comments made by  | 
 stakeholders or the public. Upon development of the  | 
 supplemental procurement plan within this 90-day period,  | 
 copies of the supplemental procurement plan shall be  | 
 posted and made publicly available on the Agency's and  | 
 Commission's websites. All interested parties shall have  | 
 14 days following the date of posting to provide comment  | 
 to the Agency on the supplemental procurement plan. All  | 
 comments submitted to the Agency shall be specific,  | 
 supported by data or other detailed analyses, and, if  | 
 objecting to all or a portion of the supplemental  | 
 procurement plan, accompanied by specific alternative  | 
 wording or proposals. All comments shall be posted on the  | 
 Agency's and Commission's websites. Within 14 days  | 
 following the end of the 14-day review period, the Agency  | 
 shall revise the supplemental procurement plan as  | 
 necessary based on the comments received and file its  | 
 revised supplemental procurement plan with the Commission  | 
 for approval. | 
  (2) Within 5 days after the filing of the supplemental  | 
 procurement plan at the Commission, any person objecting  | 
 to the supplemental procurement plan shall file an  | 
 | 
 objection with the Commission. Within 10 days after the  | 
 filing, the Commission shall determine whether a hearing  | 
 is necessary. The Commission shall enter its order  | 
 confirming or modifying the supplemental procurement plan  | 
 within 90 days after the filing of the supplemental  | 
 procurement plan by the Agency. | 
  (3) The Commission shall approve the supplemental  | 
 procurement plan of renewable energy credits to be  | 
 procured from new or existing photovoltaics, including,  | 
 but not limited to, distributed photovoltaic generation,  | 
 if the Commission determines that it will ensure adequate,  | 
 reliable, affordable, efficient, and environmentally  | 
 sustainable electric service in the form of renewable  | 
 energy credits at the lowest total cost over time, taking  | 
 into account any benefits of price stability. | 
  (4) The supplemental procurement process under this  | 
 subsection (i) shall include each of the following  | 
 components: | 
   (A) Procurement administrator. The Agency may  | 
 retain a procurement administrator in the manner set  | 
 forth in item (2) of subsection (a) of Section 1-75 of  | 
 this Act to conduct the supplemental procurement or  | 
 may elect to use the same procurement administrator  | 
 administering the Agency's annual procurement under  | 
 Section 1-75. | 
   (B) Procurement monitor. The procurement monitor  | 
 | 
 retained by the Commission pursuant to Section  | 
 16-111.5 of the Public Utilities Act shall: | 
    (i) monitor interactions among the procurement  | 
 administrator and bidders and suppliers; | 
    (ii) monitor and report to the Commission on  | 
 the progress of the supplemental procurement  | 
 process; | 
    (iii) provide an independent confidential  | 
 report to the Commission regarding the results of  | 
 the procurement events; | 
    (iv) assess compliance with the procurement  | 
 plan approved by the Commission for the  | 
 supplemental procurement process; | 
    (v) preserve the confidentiality of supplier  | 
 and bidding information in a manner consistent  | 
 with all applicable laws, rules, regulations, and  | 
 tariffs; | 
    (vi) provide expert advice to the Commission  | 
 and consult with the procurement administrator  | 
 regarding issues related to procurement process  | 
 design, rules, protocols, and policy-related  | 
 matters; | 
    (vii) consult with the procurement  | 
 administrator regarding the development and use of  | 
 benchmark criteria, standard form contracts,  | 
 credit policies, and bid documents; and | 
 | 
    (viii) perform, with respect to the  | 
 supplemental procurement process, any other  | 
 procurement monitor duties specifically delineated  | 
 within subsection (i) of this Section.  | 
   (C) Solicitation, prequalification  | 
 pre-qualification, and registration of bidders. The  | 
 procurement administrator shall disseminate  | 
 information to potential bidders to promote a  | 
 procurement event, notify potential bidders that the  | 
 procurement administrator may enter into a post-bid  | 
 price negotiation with bidders that meet the  | 
 applicable benchmarks, provide supply requirements,  | 
 and otherwise explain the competitive procurement  | 
 process. In addition to such other publication as the  | 
 procurement administrator determines is appropriate,  | 
 this information shall be posted on the Agency's and  | 
 the Commission's websites. The procurement  | 
 administrator shall also administer the  | 
 prequalification process, including evaluation of  | 
 credit worthiness, compliance with procurement rules,  | 
 and agreement to the standard form contract developed  | 
 pursuant to item (D) of this paragraph (4). The  | 
 procurement administrator shall then identify and  | 
 register bidders to participate in the procurement  | 
 event. | 
   (D) Standard contract forms and credit terms and  | 
 | 
 instruments. The procurement administrator, in  | 
 consultation with the Agency, the Commission, and  | 
 other interested parties and subject to Commission  | 
 oversight, shall develop and provide standard contract  | 
 forms for the supplier contracts that meet generally  | 
 accepted industry practices as well as include any  | 
 applicable State of Illinois terms and conditions that  | 
 are required for contracts entered into by an agency  | 
 of the State of Illinois. Standard credit terms and  | 
 instruments that meet generally accepted industry  | 
 practices shall be similarly developed. Contracts for  | 
 new photovoltaics shall include a provision attesting  | 
 that the supplier will use a qualified person for the  | 
 installation of the device pursuant to paragraph (1)  | 
 of subsection (i) of this Section. The procurement  | 
 administrator shall make available to the Commission  | 
 all written comments it receives on the contract  | 
 forms, credit terms, or instruments. If the  | 
 procurement administrator cannot reach agreement with  | 
 the parties as to the contract terms and conditions,  | 
 the procurement administrator must notify the  | 
 Commission of any disputed terms and the Commission  | 
 shall resolve the dispute. The terms of the contracts  | 
 shall not be subject to negotiation by winning  | 
 bidders, and the bidders must agree to the terms of the  | 
 contract in advance so that winning bids are selected  | 
 | 
 solely on the basis of price. | 
   (E) Requests for proposals; competitive  | 
 procurement process. The procurement administrator  | 
 shall design and issue requests for proposals to  | 
 supply renewable energy credits in accordance with the  | 
 supplemental procurement plan, as approved by the  | 
 Commission. The requests for proposals shall set forth  | 
 a procedure for sealed, binding commitment bidding  | 
 with pay-as-bid settlement, and provision for  | 
 selection of bids on the basis of price, provided,  | 
 however, that no bid shall be accepted if it exceeds  | 
 the benchmark developed pursuant to item (F) of this  | 
 paragraph (4). | 
   (F) Benchmarks. Benchmarks for each product to be  | 
 procured shall be developed by the procurement  | 
 administrator in consultation with Commission staff,  | 
 the Agency, and the procurement monitor for use in  | 
 this supplemental procurement. | 
   (G) A plan for implementing contingencies in the  | 
 event of supplier default, Commission rejection of  | 
 results, or any other cause. | 
  (5) Within 2 business days after opening the sealed  | 
 bids, the procurement administrator shall submit a  | 
 confidential report to the Commission. The report shall  | 
 contain the results of the bidding for each of the  | 
 products along with the procurement administrator's  | 
 | 
 recommendation for the acceptance and rejection of bids  | 
 based on the price benchmark criteria and other factors  | 
 observed in the process. The procurement monitor also  | 
 shall submit a confidential report to the Commission  | 
 within 2 business days after opening the sealed bids. The  | 
 report shall contain the procurement monitor's assessment  | 
 of bidder behavior in the process as well as an assessment  | 
 of the procurement administrator's compliance with the  | 
 procurement process and rules. The Commission shall review  | 
 the confidential reports submitted by the procurement  | 
 administrator and procurement monitor and shall accept or  | 
 reject the recommendations of the procurement  | 
 administrator within 2 business days after receipt of the  | 
 reports. | 
  (6) Within 3 business days after the Commission  | 
 decision approving the results of a procurement event, the  | 
 Agency shall enter into binding contractual arrangements  | 
 with the winning suppliers using the standard form  | 
 contracts. | 
  (7) The names of the successful bidders and the  | 
 average of the winning bid prices for each contract type  | 
 and for each contract term shall be made available to the  | 
 public within 2 days after the supplemental procurement  | 
 event. The Commission, the procurement monitor, the  | 
 procurement administrator, the Agency, and all  | 
 participants in the procurement process shall maintain the  | 
 | 
 confidentiality of all other supplier and bidding  | 
 information in a manner consistent with all applicable  | 
 laws, rules, regulations, and tariffs. Confidential  | 
 information, including the confidential reports submitted  | 
 by the procurement administrator and procurement monitor  | 
 pursuant to this Section, shall not be made publicly  | 
 available and shall not be discoverable by any party in  | 
 any proceeding, absent a compelling demonstration of need,  | 
 nor shall those reports be admissible in any proceeding  | 
 other than one for law enforcement purposes. | 
  (8) The supplemental procurement provided in this  | 
 subsection (i) shall not be subject to the requirements  | 
 and limitations of subsections (c) and (d) of this  | 
 Section. | 
  (9) Expenses incurred in connection with the  | 
 procurement process held pursuant to this Section,  | 
 including, but not limited to, the cost of developing the  | 
 supplemental procurement plan, the procurement  | 
 administrator, procurement monitor, and the cost of the  | 
 retirement of renewable energy credits purchased pursuant  | 
 to the supplemental procurement shall be paid for from the  | 
 Illinois Power Agency Renewable Energy Resources Fund. The  | 
 Agency shall enter into an interagency agreement with the  | 
 Commission to reimburse the Commission for its costs  | 
 associated with the procurement monitor for the  | 
 supplemental procurement process.  | 
 | 
(Source: P.A. 102-662, eff. 9-15-21; 103-188, eff. 6-30-23;  | 
revised 9-20-23.)
 | 
 Section 130. The Illinois Criminal Justice Information Act  | 
is amended by changing Section 4 as follows:
 | 
 (20 ILCS 3930/4) (from Ch. 38, par. 210-4) | 
 Sec. 4. Illinois Criminal Justice Information Authority;  | 
creation, membership, and meetings.  There is created an  | 
Illinois Criminal Justice Information Authority consisting of  | 
25 members. The membership of the Authority shall consist of:  | 
  (1) the Illinois Attorney General or the Illinois  | 
 Attorney General's designee;  | 
  (2) the Director of Corrections or the Director's  | 
 designee;  | 
  (3) the Director of the Illinois State Police or the  | 
 Director's designee;  | 
  (4) the Director of Public Health or the Director's  | 
 designee;  | 
  (5) the Director of Children and Family Services or  | 
 the Director's designee;  | 
  (6) the Sheriff of Cook County or the Sheriff's  | 
 designee;  | 
  (7) the State's Attorney of Cook County or the State's  | 
 Attorney's designee;  | 
  (8) the clerk of the circuit court of Cook County or  | 
 | 
 the clerk's designee;  | 
  (9) the President of the Cook County Board of  | 
 Commissioners or the President's designee;  | 
  (10) the Superintendent of the Chicago Police  | 
 Department or the Superintendent's designee;  | 
  (11) the Director of the Office of the State's  | 
 Attorneys Appellate Prosecutor or the Director's designee;  | 
  (12) the Executive Director of the Illinois Law  | 
 Enforcement Training Standards Board or the Executive  | 
 Director's designee;  | 
  (13) the State Appellate Defender or the State  | 
 Appellate Defender's designee;  | 
  (14) the Public Defender of Cook County or the Public  | 
 Defender's designee; and  | 
  (15) the following additional members, each of whom  | 
 shall be appointed by the Governor:  | 
   (A) a circuit court clerk;  | 
   (B) a sheriff;  | 
   (C) a State's Attorney of a county other than  | 
 Cook;  | 
   (D) a Public Defender of a county other than Cook;  | 
   (E) a chief of police; and  | 
   (F) 2 individuals who report having been  | 
 incarcerated; and , | 
   (G) (F) 4 members of the general public. | 
 Members appointed on and after August 15, 2014 (the  | 
 | 
effective date of Public Act 98-955) this amendatory Act of  | 
the 98th General Assembly shall be confirmed by the Senate.  | 
 The Governor from time to time shall designate a Chairman  | 
of the Authority from the membership. All members of the  | 
Authority appointed by the Governor shall serve at the  | 
pleasure of the Governor for a term not to exceed 4 years. The  | 
initial appointed members of the Authority shall serve from  | 
January, 1983 until the third Monday in January, 1987 or until  | 
their successors are appointed. | 
 The Authority shall meet at least quarterly, and all  | 
meetings of the Authority shall be called by the Chairman. | 
(Source: P.A. 102-538, eff. 8-20-21; 102-1129, eff. 2-10-23;  | 
103-276, eff. 7-28-23; revised 9-7-23.)
 | 
 Section 132. The Illinois Workforce Innovation Board Act  | 
is amended by changing the title of the Act as follows:
 | 
 (20 ILCS 3975/Act title) | 
 An Act to create the Illinois Workforce Innovation Board  | 
Human Resource Investment Council.
 | 
 Section 135. The Illinois State Auditing Act is amended by  | 
changing Section 3-2.3 as follows:
 | 
 (30 ILCS 5/3-2.3) | 
 Sec. 3-2.3. Report on Chicago Transit Authority. | 
 | 
 (a) No less than 60 days prior to the issuance of bonds or  | 
notes by the Chicago Transit Authority (referred to as the  | 
"Authority" in this Section) pursuant to Section 12c of the  | 
Metropolitan Transit Authority Act, the following  | 
documentation shall be submitted to the Auditor General and  | 
the Regional Transportation Authority: | 
  (1) Retirement Plan Documentation. The Authority shall  | 
 submit a certification that:  | 
   (A) it is legally authorized to issue the bonds or  | 
 notes;  | 
   (B) scheduled annual payments of principal and  | 
 interest on the bonds and notes to be issued meet the  | 
 requirements of Section 12c(b)(5) of the Metropolitan  | 
 Transit Authority Act;  | 
   (C) no bond or note shall mature later than  | 
 December 31, 2040;  | 
   (D) after payment of costs of issuance and  | 
 necessary deposits to funds and accounts established  | 
 with respect to debt service on the bonds or notes, the  | 
 net bond and note proceeds (exclusive of any proceeds  | 
 to be used to refund outstanding bonds or notes) will  | 
 be deposited in the Retirement Plan for Chicago  | 
 Transit Authority Employees and used only for the  | 
 purposes required by Section 22-101 of the Illinois  | 
 Pension Code; and  | 
   (E) it has entered into an intergovernmental  | 
 | 
 agreement with the City of Chicago under which the  | 
 City of Chicago will provide financial assistance to  | 
 the Authority in an amount equal to the net receipts,  | 
 after fees for costs of collection, from a tax on the  | 
 privilege of transferring title to real estate in the  | 
 City of Chicago in an amount up to $1.50 per $500 of  | 
 value or fraction thereof under the provisions of  | 
 Section 8-3-19 of the Illinois Municipal Code, which  | 
 agreement shall be for a term expiring no earlier than  | 
 the final maturity of bonds or notes that it proposes  | 
 to issue under Section 12c of the Metropolitan Transit  | 
 Authority Act.  | 
  (2) The Board of Trustees of the Retirement Plan for  | 
 Chicago Transit Authority Employees shall submit a  | 
 certification that the Retirement Plan for Chicago Transit  | 
 Authority Employees is operating in accordance with all  | 
 applicable legal and contractual requirements, including  | 
 the following:  | 
   (A) the members of a new Board of Trustees have  | 
 been appointed according to the requirements of  | 
 Section 22-101(b) of the Illinois Pension Code; and  | 
   (B) contribution levels for employees and the  | 
 Authority have been established according to the  | 
 requirements of Section 22-101(d) of the Illinois  | 
 Pension Code.  | 
  (3) Actuarial Report. The Board of Trustees of the  | 
 | 
 Retirement Plan for Chicago Transit Authority Employees  | 
 shall submit an actuarial report prepared by an enrolled  | 
 actuary setting forth:  | 
   (A) the method of valuation and the underlying  | 
 assumptions;  | 
   (B) a comparison of the debt service schedules of  | 
 the bonds or notes proposed to be issued to the  | 
 Retirement Plan's current unfunded actuarial accrued  | 
 liability amortization schedule, as required by  | 
 Section 22-101(e) of the Illinois Pension Code, using  | 
 the projected interest cost of the bond or note issue  | 
 as the discount rate to calculate the estimated net  | 
 present value savings; | 
   (C) the amount of the estimated net present value  | 
 savings comparing the true interest cost of the bonds  | 
 or notes with the actuarial investment return  | 
 assumption of the Retirement Plan; and | 
   (D) a certification that the net proceeds of the  | 
 bonds or notes, together with anticipated earnings on  | 
 contributions and deposits, will be sufficient to  | 
 reasonably conclude on an actuarial basis that the  | 
 total retirement assets of the Retirement Plan will  | 
 not be less than 90% of its liabilities by the end of  | 
 fiscal year 2059. | 
  (4) The Authority shall submit a financial analysis  | 
 prepared by an independent advisor. The financial analysis  | 
 | 
 must include a determination that the issuance of bonds is  | 
 in the best interest of the Retirement Plan for Chicago  | 
 Transit Authority Employees and the Chicago Transit  | 
 Authority. The independent advisor shall not act as  | 
 underwriter or receive a legal, consulting, or other fee  | 
 related to the issuance of any bond or notes issued by the  | 
 Authority pursuant to Section 12c of the Metropolitan  | 
 Transit Authority Act except compensation due for the  | 
 preparation of the financial analysis. | 
  (5) Retiree Health Care Trust Documentation. The  | 
 Authority shall submit a certification that: | 
   (A) it is legally authorized to issue the bonds or  | 
 notes; | 
   (B) scheduled annual payments of principal and  | 
 interest on the bonds and notes to be issued meets the  | 
 requirements of Section 12c(b)(5) of the Metropolitan  | 
 Transit Authority Act; | 
   (C) no bond or note shall mature later than  | 
 December 31, 2040; | 
   (D) after payment of costs of issuance and  | 
 necessary deposits to funds and accounts established  | 
 with respect to debt service on the bonds or notes, the  | 
 net bond and note proceeds (exclusive of any proceeds  | 
 to be used to refund outstanding bonds or notes) will  | 
 be deposited in the Retiree Health Care Trust and used  | 
 only for the purposes required by Section 22-101B of  | 
 | 
 the Illinois Pension Code; and | 
   (E) it has entered into an intergovernmental  | 
 agreement with the City of Chicago under which the  | 
 City of Chicago will provide financial assistance to  | 
 the Authority in an amount equal to the net receipts,  | 
 after fees for costs of collection, from a tax on the  | 
 privilege of transferring title to real estate in the  | 
 City of Chicago in an amount up to $1.50 per $500 of  | 
 value or fraction thereof under the provisions of  | 
 Section 8-3-19 of the Illinois Municipal Code, which  | 
 agreement shall be for a term expiring no earlier than  | 
 the final maturity of bonds or notes that it proposes  | 
 to issue under Section 12c of the Metropolitan Transit  | 
 Authority Act. | 
  (6) The Board of Trustees of the Retiree Health Care  | 
 Trust shall submit a certification that the Retiree Health  | 
 Care Trust has been established in accordance with all  | 
 applicable legal requirements, including the following: | 
   (A) the Retiree Health Care Trust has been  | 
 established and a Trust document is in effect to  | 
 govern the Retiree Health Care Trust; | 
   (B) the members of the Board of Trustees of the  | 
 Retiree Health Care Trust have been appointed  | 
 according to the requirements of Section 22-101B(b)(1)  | 
 of the Illinois Pension Code; | 
   (C) a health care benefit program for eligible  | 
 | 
 retirees and their dependents and survivors has been  | 
 established by the Board of Trustees according to the  | 
 requirements of Section 22-101B(b)(2) of the Illinois  | 
 Pension Code; | 
   (D) contribution levels have been established for  | 
 retirees, dependents and survivors according to the  | 
 requirements of Section 22-101B(b)(5) of the Illinois  | 
 Pension Code; and | 
   (E) contribution levels have been established for  | 
 employees of the Authority according to the  | 
 requirements of Section 22-101B(b)(6) of the Illinois  | 
 Pension Code. | 
  (7) Actuarial Report. The Board of Trustees of the  | 
 Retiree Health Care Trust shall submit an actuarial report  | 
 prepared by an enrolled actuary setting forth: | 
   (A) the method of valuation and the underlying  | 
 assumptions; | 
   (B) a comparison of the projected interest cost of  | 
 the bonds or notes proposed to be issued with the  | 
 actuarial investment return assumption of the Retiree  | 
 Health Care Trust; and | 
   (C) a certification that the net proceeds of the  | 
 bonds or notes, together with anticipated earnings on  | 
 contributions and deposits, will be sufficient to  | 
 adequately fund the actuarial present value of  | 
 projected benefits expected to be paid under the  | 
 | 
 Retiree Health Care Trust, or a certification of the  | 
 increases in contribution levels and decreases in  | 
 benefit levels that would be required in order to cure  | 
 any funding shortfall over a period of not more than 10  | 
 years. | 
  (8) The Authority shall submit a financial analysis  | 
 prepared by an independent advisor. The financial analysis  | 
 must include a determination that the issuance of bonds is  | 
 in the best interest of the Retiree Health Care Trust and  | 
 the Chicago Transit Authority. The independent advisor  | 
 shall not act as underwriter or receive a legal,  | 
 consulting, or other fee related to the issuance of any  | 
 bond or notes issued by the Authority pursuant to Section  | 
 12c of the Metropolitan Transit Authority Act except  | 
 compensation due for the preparation of the financial  | 
 analysis. | 
 (b) The Auditor General shall examine the information  | 
submitted pursuant to Section 3-2.3(a)(1) through (4) and  | 
submit a report to the General Assembly, the Legislative Audit  | 
Commission, the Governor, the Regional Transportation  | 
Authority and the Authority indicating whether (i) the  | 
required certifications by the Authority and the Board of  | 
Trustees of the Retirement Plan have been made, and (ii) the  | 
actuarial reports have been provided, the reports include all  | 
required information, the assumptions underlying those reports  | 
are not unreasonable in the aggregate, and the reports appear  | 
 | 
to comply with all pertinent professional standards, including  | 
those issued by the Actuarial Standards Board. The Auditor  | 
General shall submit such report no later than 60 days after  | 
receiving the information required to be submitted by the  | 
Authority and the Board of Trustees of the Retirement Plan.  | 
Any bonds or notes issued by the Authority under item (1) of  | 
subsection (b) of Section 12c of the Metropolitan Transit  | 
Authority Act shall be issued within 120 days after receiving  | 
such report from the Auditor General. The Authority may not  | 
issue bonds or notes until it receives the report from the  | 
Auditor General indicating the above requirements have been  | 
met. | 
 (c) The Auditor General shall examine the information  | 
submitted pursuant to Section 3-2.3(a)(5) through (8) and  | 
submit a report to the General Assembly, the Legislative Audit  | 
Commission, the Governor, the Regional Transportation  | 
Authority and the Authority indicating whether (i) the  | 
required certifications by the Authority and the Board of  | 
Trustees of the Retiree Health Care Trust have been made, and  | 
(ii) the actuarial reports have been provided, the reports  | 
include all required information, the assumptions underlying  | 
those reports are not unreasonable in the aggregate, and the  | 
reports appear to comply with all pertinent professional  | 
standards, including those issued by the Actuarial Standards  | 
Board. The Auditor General shall submit such report no later  | 
than 60 days after receiving the information required to be  | 
 | 
submitted by the Authority and the Board of Trustees of the  | 
Retiree Health Care Trust. Any bonds or notes issued by the  | 
Authority under item (2) of subsection (b) of Section 12c of  | 
the Metropolitan Transit Authority Act shall be issued within  | 
120 days after receiving such report from the Auditor General.  | 
The Authority may not issue bonds or notes until it receives a  | 
report from the Auditor General indicating the above  | 
requirements have been met. | 
 (d) In fulfilling this duty, after receiving the  | 
information submitted pursuant to Section 3-2.3(a), the  | 
Auditor General may request additional information and support  | 
pertaining to the data and conclusions contained in the  | 
submitted documents and the Authority, the Board of Trustees  | 
of the Retirement Plan and the Board of Trustees of the Retiree  | 
Health Care Trust shall cooperate with the Auditor General and  | 
provide additional information as requested in a timely  | 
manner. The Auditor General may also request from the Regional  | 
Transportation Authority an analysis of the information  | 
submitted by the Authority relating to the sources of funds to  | 
be utilized for payment of the proposed bonds or notes of the  | 
Authority. The Auditor General's report shall not be in the  | 
nature of a post-audit or examination and shall not lead to the  | 
issuance of an opinion as that term is defined in generally  | 
accepted government auditing standards. | 
 (e) Annual Retirement Plan Submission to Auditor General.  | 
The Board of Trustees of the Retirement Plan for Chicago  | 
 | 
Transit Authority Employees established by Section 22-101 of  | 
the Illinois Pension Code shall provide the following  | 
documents to the Auditor General annually no later than  | 
September 30: | 
  (1) the most recent audit or examination of the  | 
 Retirement Plan; | 
  (2) an annual statement containing the information  | 
 specified in Section 1A-109 of the Illinois Pension Code;  | 
 and | 
  (3) a complete actuarial statement applicable to the  | 
 prior plan year, which may be the annual report of an  | 
 enrolled actuary retained by the Retirement Plan specified  | 
 in Section 22-101(e) of the Illinois Pension Code. | 
 The Auditor General shall annually examine the information  | 
provided pursuant to this subsection and shall submit a report  | 
of the analysis thereof to the General Assembly, including the  | 
report specified in Section 22-101(e) of the Illinois Pension  | 
Code. | 
 (f) The Auditor General shall annually examine the  | 
information submitted pursuant to Section 22-101B(b)(3)(iii)  | 
of the Illinois Pension Code and shall prepare the  | 
determination specified in Section 22-101B(b)(3)(iv) of the  | 
Illinois Pension Code.  | 
 (g) In fulfilling the duties under Sections 3-2.3(e) and  | 
(f), the Auditor General may request additional information  | 
and support pertaining to the data and conclusions contained  | 
 | 
in the submitted documents, and the Authority, the Board of  | 
Trustees of the Retirement Plan, and the Board of Trustees of  | 
the Retiree Health Care Trust shall cooperate with the Auditor  | 
General and provide additional information as requested in a  | 
timely manner. The Auditor General's review shall not be in  | 
the nature of a post-audit or examination and shall not lead to  | 
the issuance of an opinion as that term is defined in generally  | 
accepted government auditing standards. Upon request of the  | 
Auditor General, the Commission on Government Forecasting and  | 
Accountability and the Public Pension Division of the  | 
Department of Insurance Illinois Department of Financial and  | 
Professional Regulation shall cooperate with and assist the  | 
Auditor General in the conduct of his review. | 
 (h) The Auditor General shall submit a bill to the  | 
Authority for costs associated with the examinations and  | 
reports specified in subsections (b) and (c) of this Section  | 
3-2.3, which the Authority shall reimburse in a timely manner.  | 
The costs associated with the examinations and reports which  | 
are reimbursed by the Authority shall constitute a cost of  | 
issuance of the bonds or notes under Section 12c(b)(1) and (2)  | 
of the Metropolitan Transit Authority Act. The amount received  | 
shall be deposited into the fund or funds from which such costs  | 
were paid by the Auditor General. The Auditor General shall  | 
submit a bill to the Retirement Plan for Chicago Transit  | 
Authority Employees for costs associated with the examinations  | 
and reports specified in subsection (e) of this Section, which  | 
 | 
the Retirement Plan for Chicago Transit Authority Employees  | 
shall reimburse in a timely manner. The amount received shall  | 
be deposited into the fund or funds from which such costs were  | 
paid by the Auditor General. The Auditor General shall submit  | 
a bill to the Retiree Health Care Trust for costs associated  | 
with the determination specified in subsection (f) of this  | 
Section, which the Retiree Health Care Trust shall reimburse  | 
in a timely manner. The amount received shall be deposited  | 
into the fund or funds from which such costs were paid by the  | 
Auditor General.  | 
(Source: P.A. 95-708, eff. 1-18-08; revised 9-20-23.)
 | 
 Section 140. The State Finance Act is amended by setting  | 
forth and renumbering multiple versions of Sections 5.990 and  | 
5.991 and by changing Sections 6z-32, 6z-82, 8.3, and 12-2 as  | 
follows:
 | 
 (30 ILCS 105/5.990) | 
 Sec. 5.990. The Public Defender Fund. | 
(Source: P.A. 102-1104, eff. 12-6-22.)
 | 
 (30 ILCS 105/5.991) | 
 Sec. 5.991. The Due Process for Youth and Families Fund. | 
(Source: P.A. 102-1115, eff. 1-9-23.)
 | 
 (30 ILCS 105/5.993) | 
 | 
(Source: P.A. 103-103, eff. 6-27-23; revised 9-7-23.)
 | 
 (30 ILCS 105/5.1000) | 
 Sec. 5.1000 5.990. The Tick Research, Education, and  | 
Evaluation Fund. | 
(Source: P.A. 103-163, eff. 1-1-24; revised 9-22-23.)
 | 
 (30 ILCS 105/5.1001) | 
 Sec. 5.1001 5.990. The License to Read Fund. | 
(Source: P.A. 103-267, eff. 6-30-23; revised 9-22-23.)
 | 
 (30 ILCS 105/5.1002) | 
 Sec. 5.1002 5.990. The Outdoor Rx Program Fund. | 
(Source: P.A. 103-284, eff. 1-1-24; revised 9-22-23.)
 | 
 (30 ILCS 105/5.1003) | 
 Sec. 5.1003 5.990. The UNCF Scholarship Fund. | 
(Source: P.A. 103-381, eff. 7-28-23; revised 9-22-23.)
 | 
 (30 ILCS 105/5.1004) | 
 Sec. 5.1004 5.990. The Hunger-Free Campus Grant Fund. | 
(Source: P.A. 103-435, eff. 8-4-23; revised 9-22-23.)
 | 
 (30 ILCS 105/5.1005) | 
 Sec. 5.1005 5.990. The Repatriation and Reinterment Fund. | 
(Source: P.A. 103-446, eff. 8-4-23; revised 9-22-23.)
 | 
 | 
 (30 ILCS 105/5.1006) | 
 Sec. 5.1006 5.990. The Illinois Graduate and Retain Our  | 
Workforce (iGROW) Tech Scholarship Fund. | 
(Source: P.A. 103-519, eff. 1-1-24; revised 9-22-23.)
 | 
 (30 ILCS 105/5.1007) | 
 (Section scheduled to be repealed on January 1, 2027) | 
 Sec. 5.1007 5.990. The Antitrust Enforcement Fund. This  | 
Section is repealed on January 1, 2027. | 
(Source: P.A. 103-526, eff. 1-1-24; revised 9-22-23.)
 | 
 (30 ILCS 105/5.1008) | 
 Sec. 5.1008 5.990. The MAP Refund Fund. | 
(Source: P.A. 103-536, eff. 8-11-23; revised 9-22-23.)
 | 
 (30 ILCS 105/5.1009) | 
 Sec. 5.1009 5.990. The Lyme Disease Awareness Fund. | 
(Source: P.A. 103-557, eff. 8-11-23; revised 9-22-23.)
 | 
 (30 ILCS 105/5.1010) | 
 Sec. 5.1010 5.991. The Industrial Biotechnology Human  | 
Capital Fund. | 
(Source: P.A. 103-363, eff. 7-28-23; revised 9-22-23.)
 | 
 (30 ILCS 105/5.1011) | 
 | 
 Sec. 5.1011 5.991. The Illinois DREAM Fund. | 
(Source: P.A. 103-381, eff. 7-28-23; revised 9-22-23.)
 | 
 (30 ILCS 105/6z-32) | 
 Sec. 6z-32. Partners for Planning and Conservation.  | 
 (a) The Partners for Conservation Fund (formerly known as  | 
the Conservation 2000 Fund) and the Partners for Conservation  | 
Projects Fund (formerly known as the Conservation 2000  | 
Projects Fund) are created as special funds in the State  | 
Treasury. These funds shall be used to establish a  | 
comprehensive program to protect Illinois' natural resources  | 
through cooperative partnerships between State government and  | 
public and private landowners. Moneys in these Funds may be  | 
used, subject to appropriation, by the Department of Natural  | 
Resources, Environmental Protection Agency, and the Department  | 
of Agriculture for purposes relating to natural resource  | 
protection, planning, recreation, tourism, climate resilience,  | 
and compatible agricultural and economic development  | 
activities. Without limiting these general purposes, moneys in  | 
these Funds may be used, subject to appropriation, for the  | 
following specific purposes: | 
  (1) To foster sustainable agriculture practices and  | 
 control soil erosion, sedimentation, and nutrient loss  | 
 from farmland, including grants to Soil and Water  | 
 Conservation Districts for conservation practice  | 
 cost-share grants and for personnel, educational, and  | 
 | 
 administrative expenses. | 
  (2) To establish and protect a system of ecosystems in  | 
 public and private ownership through conservation  | 
 easements, incentives to public and private landowners,  | 
 natural resource restoration and preservation, water  | 
 quality protection and improvement, land use and watershed  | 
 planning, technical assistance and grants, and land  | 
 acquisition provided these mechanisms are all voluntary on  | 
 the part of the landowner and do not involve the use of  | 
 eminent domain. | 
  (3) To develop a systematic and long-term program to  | 
 effectively measure and monitor natural resources and  | 
 ecological conditions through investments in technology  | 
 and involvement of scientific experts. | 
  (4) To initiate strategies to enhance, use, and  | 
 maintain Illinois' inland lakes through education,  | 
 technical assistance, research, and financial incentives. | 
  (5) To partner with private landowners and with units  | 
 of State, federal, and local government and with  | 
 not-for-profit organizations in order to integrate State  | 
 and federal programs with Illinois' natural resource  | 
 protection and restoration efforts and to meet  | 
 requirements to obtain federal and other funds for  | 
 conservation or protection of natural resources. | 
  (6) To support the State's Nutrient Loss Reduction  | 
 Strategy, including, but not limited to, funding the  | 
 | 
 resources needed to support the Strategy's Policy Working  | 
 Group, cover water quality monitoring in support of  | 
 Strategy implementation, prepare a biennial report on the  | 
 progress made on the Strategy every 2 years, and provide  | 
 cost share funding for nutrient capture projects. | 
  (7) To provide capacity grants to support soil and  | 
 water conservation districts, including, but not limited  | 
 to, developing soil health plans, conducting soil health  | 
 assessments, peer-to-peer training, convening  | 
 producer-led dialogues, professional memberships, lab  | 
 analysis, and and travel stipends for meetings and  | 
 educational events.  | 
  (8) To develop guidelines and local soil health  | 
 assessments for advancing soil health. | 
 (b) The State Comptroller and State Treasurer shall  | 
automatically transfer on the last day of each month,  | 
beginning on September 30, 1995 and ending on June 30, 2024,  | 
from the General Revenue Fund to the Partners for Conservation  | 
Fund, an amount equal to 1/10 of the amount set forth below in  | 
fiscal year 1996 and an amount equal to 1/12 of the amount set  | 
forth below in each of the other specified fiscal years: | 
|
 Fiscal Year |  Amount |   |
 1996 | $ 3,500,000 |   |
 1997 | $ 9,000,000 |   |
 1998 | $10,000,000 |   |
 1999 | $11,000,000 |   |
 
  | 
 | 
2000 | $12,500,000 |   |
 2001 through 2004 | $14,000,000 |  |
 2005  | $7,000,000 |  |
 2006  | $11,000,000  |  |
 2007  | $0  |  |
 2008 through 2011  | $14,000,000  |  |
 2012  | $12,200,000  |  |
 2013 through 2017  | $14,000,000 |  |
 2018  | $1,500,000  |  |
 2019  | $14,000,000  |  |
 2020  | $7,500,000  |  |
 2021 through 2023  | $14,000,000  |  |
 2024  | $18,000,000 |  
  | 
 (c) The State Comptroller and State Treasurer shall  | 
automatically transfer on the last day of each month beginning  | 
on July 31, 2021 and ending June 30, 2022, from the  | 
Environmental Protection Permit and Inspection Fund to the  | 
Partners for Conservation Fund, an amount equal to 1/12 of  | 
$4,135,000.  | 
 (c-1) The State Comptroller and State Treasurer shall  | 
automatically transfer on the last day of each month beginning  | 
on July 31, 2022 and ending June 30, 2023, from the  | 
Environmental Protection Permit and Inspection Fund to the  | 
Partners for Conservation Fund, an amount equal to 1/12 of  | 
$5,900,000.  | 
 (d) There shall be deposited into the Partners for  | 
 | 
Conservation Projects Fund such bond proceeds and other moneys  | 
as may, from time to time, be provided by law. | 
(Source: P.A. 102-16, eff. 6-17-21; 102-699, eff. 4-19-22;  | 
103-8, eff. 6-7-23; 103-494, eff. 8-4-23; revised 9-7-23.)
 | 
 (30 ILCS 105/6z-82) | 
 Sec. 6z-82. State Police Operations Assistance Fund. | 
 (a) There is created in the State treasury a special fund  | 
known as the State Police Operations Assistance Fund. The Fund  | 
shall receive revenue under the Criminal and Traffic  | 
Assessment Act. The Fund may also receive revenue from grants,  | 
donations, appropriations, and any other legal source. | 
 (a-5) (Blank). This Fund may charge, collect, and receive  | 
fees or moneys as described in Section 15-312 of the Illinois  | 
Vehicle Code, and receive all fees received by the Illinois  | 
State Police under that Section. The moneys shall be used by  | 
the Illinois State Police for its expenses in providing police  | 
escorts and commercial vehicle enforcement activities.  | 
 (b) The Illinois State Police may use moneys in the Fund to  | 
finance any of its lawful purposes or functions. | 
 (c) Expenditures may be made from the Fund only as  | 
appropriated by the General Assembly by law. | 
 (d) Investment income that is attributable to the  | 
investment of moneys in the Fund shall be retained in the Fund  | 
for the uses specified in this Section.  | 
 (e) The State Police Operations Assistance Fund shall not  | 
 | 
be subject to administrative chargebacks.  | 
 (f) (Blank). | 
 (g) (Blank).  | 
 (h) Notwithstanding any other provision of law, in  | 
addition to any other transfers that may be provided by law, on  | 
June 9, 2023 (the effective date of Public Act 103-34) this  | 
amendatory Act of the 103rd General Assembly, or as soon  | 
thereafter as practical, the State Comptroller shall direct  | 
and the State Treasurer shall transfer the remaining balance  | 
from the State Police Streetgang-Related Crime Fund to the  | 
State Police Operations Assistance Fund. Upon completion of  | 
the transfers, the State Police Streetgang-Related Crime Fund  | 
is dissolved, and any future deposits into the State Police  | 
Streetgang-Related Crime Fund and any outstanding obligations  | 
or liabilities of the State Police Streetgang-Related Crime  | 
Fund pass to the State Police Operations Assistance Fund. | 
(Source: P.A. 102-16, eff. 6-17-21; 102-505, eff. 8-20-21;  | 
102-538, eff. 8-20-21; 102-813, eff. 5-13-22; 103-34, eff.  | 
6-9-23; 103-363, eff. 7-28-23; revised 9-7-23.)
 | 
 (30 ILCS 105/8.3) | 
 Sec. 8.3. Money in the Road Fund shall, if and when the  | 
State of Illinois incurs any bonded indebtedness for the  | 
construction of permanent highways, be set aside and used for  | 
the purpose of paying and discharging annually the principal  | 
and interest on that bonded indebtedness then due and payable,  | 
 | 
and for no other purpose. The surplus, if any, in the Road Fund  | 
after the payment of principal and interest on that bonded  | 
indebtedness then annually due shall be used as follows: | 
  first -- to pay the cost of administration of Chapters  | 
 2 through 10 of the Illinois Vehicle Code, except the cost  | 
 of administration of Articles I and II of Chapter 3 of that  | 
 Code, and to pay the costs of the Executive Ethics  | 
 Commission for oversight and administration of the Chief  | 
 Procurement Officer appointed under paragraph (2) of  | 
 subsection (a) of Section 10-20 of the Illinois  | 
 Procurement Code for transportation; and | 
  secondly -- for expenses of the Department of  | 
 Transportation for construction, reconstruction,  | 
 improvement, repair, maintenance, operation, and  | 
 administration of highways in accordance with the  | 
 provisions of laws relating thereto, or for any purpose  | 
 related or incident to and connected therewith, including  | 
 the separation of grades of those highways with railroads  | 
 and with highways and including the payment of awards made  | 
 by the Illinois Workers' Compensation Commission under the  | 
 terms of the Workers' Compensation Act or Workers'  | 
 Occupational Diseases Act for injury or death of an  | 
 employee of the Division of Highways in the Department of  | 
 Transportation; or for the acquisition of land and the  | 
 erection of buildings for highway purposes, including the  | 
 acquisition of highway right-of-way or for investigations  | 
 | 
 to determine the reasonably anticipated future highway  | 
 needs; or for making of surveys, plans, specifications and  | 
 estimates for and in the construction and maintenance of  | 
 flight strips and of highways necessary to provide access  | 
 to military and naval reservations, to defense industries  | 
 and defense-industry sites, and to the sources of raw  | 
 materials and for replacing existing highways and highway  | 
 connections shut off from general public use at military  | 
 and naval reservations and defense-industry sites, or for  | 
 the purchase of right-of-way, except that the State shall  | 
 be reimbursed in full for any expense incurred in building  | 
 the flight strips; or for the operating and maintaining of  | 
 highway garages; or for patrolling and policing the public  | 
 highways and conserving the peace; or for the operating  | 
 expenses of the Department relating to the administration  | 
 of public transportation programs; or, during fiscal year  | 
 2023, for the purposes of a grant not to exceed $8,394,800  | 
 to the Regional Transportation Authority on behalf of PACE  | 
 for the purpose of ADA/Para-transit expenses; or, during  | 
 fiscal year 2024, for the purposes of a grant not to exceed  | 
 $9,108,400 to the Regional Transportation Authority on  | 
 behalf of PACE for the purpose of ADA/Para-transit  | 
 expenses; or for any of those purposes or any other  | 
 purpose that may be provided by law. | 
 Appropriations for any of those purposes are payable from  | 
the Road Fund. Appropriations may also be made from the Road  | 
 | 
Fund for the administrative expenses of any State agency that  | 
are related to motor vehicles or arise from the use of motor  | 
vehicles. | 
 Beginning with fiscal year 1980 and thereafter, no Road  | 
Fund monies shall be appropriated to the following Departments  | 
or agencies of State government for administration, grants, or  | 
operations; but this limitation is not a restriction upon  | 
appropriating for those purposes any Road Fund monies that are  | 
eligible for federal reimbursement: | 
  1. Department of Public Health; | 
  2. Department of Transportation, only with respect to  | 
 subsidies for one-half fare Student Transportation and  | 
 Reduced Fare for Elderly, except fiscal year 2023 when no  | 
 more than $17,570,000 may be expended and except fiscal  | 
 year 2024 when no more than $19,063,500 may be expended; | 
  3. Department of Central Management Services, except  | 
 for expenditures incurred for group insurance premiums of  | 
 appropriate personnel; | 
  4. Judicial Systems and Agencies. | 
 Beginning with fiscal year 1981 and thereafter, no Road  | 
Fund monies shall be appropriated to the following Departments  | 
or agencies of State government for administration, grants, or  | 
operations; but this limitation is not a restriction upon  | 
appropriating for those purposes any Road Fund monies that are  | 
eligible for federal reimbursement: | 
  1. Illinois State Police, except for expenditures with  | 
 | 
 respect to the Division of Patrol and Division of Criminal  | 
 Investigation; | 
  2. Department of Transportation, only with respect to  | 
 Intercity Rail Subsidies, except fiscal year 2023 when no  | 
 more than $55,000,000 may be expended and except fiscal  | 
 year 2024 when no more than $60,000,000 may be expended,  | 
 and Rail Freight Services. | 
 Beginning with fiscal year 1982 and thereafter, no Road  | 
Fund monies shall be appropriated to the following Departments  | 
or agencies of State government for administration, grants, or  | 
operations; but this limitation is not a restriction upon  | 
appropriating for those purposes any Road Fund monies that are  | 
eligible for federal reimbursement: Department of Central  | 
Management Services, except for awards made by the Illinois  | 
Workers' Compensation Commission under the terms of the  | 
Workers' Compensation Act or Workers' Occupational Diseases  | 
Act for injury or death of an employee of the Division of  | 
Highways in the Department of Transportation. | 
 Beginning with fiscal year 1984 and thereafter, no Road  | 
Fund monies shall be appropriated to the following Departments  | 
or agencies of State government for administration, grants, or  | 
operations; but this limitation is not a restriction upon  | 
appropriating for those purposes any Road Fund monies that are  | 
eligible for federal reimbursement: | 
  1. Illinois State Police, except not more than 40% of  | 
 the funds appropriated for the Division of Patrol and  | 
 | 
 Division of Criminal Investigation; | 
  2. State Officers. | 
 Beginning with fiscal year 1984 and thereafter, no Road  | 
Fund monies shall be appropriated to any Department or agency  | 
of State government for administration, grants, or operations  | 
except as provided hereafter; but this limitation is not a  | 
restriction upon appropriating for those purposes any Road  | 
Fund monies that are eligible for federal reimbursement. It  | 
shall not be lawful to circumvent the above appropriation  | 
limitations by governmental reorganization or other methods.  | 
Appropriations shall be made from the Road Fund only in  | 
accordance with the provisions of this Section. | 
 Money in the Road Fund shall, if and when the State of  | 
Illinois incurs any bonded indebtedness for the construction  | 
of permanent highways, be set aside and used for the purpose of  | 
paying and discharging during each fiscal year the principal  | 
and interest on that bonded indebtedness as it becomes due and  | 
payable as provided in the Transportation Bond Act, and for no  | 
other purpose. The surplus, if any, in the Road Fund after the  | 
payment of principal and interest on that bonded indebtedness  | 
then annually due shall be used as follows: | 
  first -- to pay the cost of administration of Chapters  | 
 2 through 10 of the Illinois Vehicle Code; and | 
  secondly -- no Road Fund monies derived from fees,  | 
 excises, or license taxes relating to registration,  | 
 operation and use of vehicles on public highways or to  | 
 | 
 fuels used for the propulsion of those vehicles, shall be  | 
 appropriated or expended other than for costs of  | 
 administering the laws imposing those fees, excises, and  | 
 license taxes, statutory refunds and adjustments allowed  | 
 thereunder, administrative costs of the Department of  | 
 Transportation, including, but not limited to, the  | 
 operating expenses of the Department relating to the  | 
 administration of public transportation programs, payment  | 
 of debts and liabilities incurred in construction and  | 
 reconstruction of public highways and bridges, acquisition  | 
 of rights-of-way for and the cost of construction,  | 
 reconstruction, maintenance, repair, and operation of  | 
 public highways and bridges under the direction and  | 
 supervision of the State, political subdivision, or  | 
 municipality collecting those monies, or during fiscal  | 
 year 2023 for the purposes of a grant not to exceed  | 
 $8,394,800 to the Regional Transportation Authority on  | 
 behalf of PACE for the purpose of ADA/Para-transit  | 
 expenses, or during fiscal year 2024 for the purposes of a  | 
 grant not to exceed $9,108,400 to the Regional  | 
 Transportation Authority on behalf of PACE for the purpose  | 
 of ADA/Para-transit expenses, and the costs for patrolling  | 
 and policing the public highways (by the State, political  | 
 subdivision, or municipality collecting that money) for  | 
 enforcement of traffic laws. The separation of grades of  | 
 such highways with railroads and costs associated with  | 
 | 
 protection of at-grade highway and railroad crossing shall  | 
 also be permissible. | 
 Appropriations for any of such purposes are payable from  | 
the Road Fund or the Grade Crossing Protection Fund as  | 
provided in Section 8 of the Motor Fuel Tax Law. | 
 Except as provided in this paragraph, beginning with  | 
fiscal year 1991 and thereafter, no Road Fund monies shall be  | 
appropriated to the Illinois State Police for the purposes of  | 
this Section in excess of its total fiscal year 1990 Road Fund  | 
appropriations for those purposes unless otherwise provided in  | 
Section 5g of this Act. For fiscal years 2003, 2004, 2005,  | 
2006, and 2007 only, no Road Fund monies shall be appropriated  | 
to the Department of State Police for the purposes of this  | 
Section in excess of $97,310,000. For fiscal year 2008 only,  | 
no Road Fund monies shall be appropriated to the Department of  | 
State Police for the purposes of this Section in excess of  | 
$106,100,000. For fiscal year 2009 only, no Road Fund monies  | 
shall be appropriated to the Department of State Police for  | 
the purposes of this Section in excess of $114,700,000.  | 
Beginning in fiscal year 2010, no Road Fund road fund moneys  | 
shall be appropriated to the Illinois State Police. It shall  | 
not be lawful to circumvent this limitation on appropriations  | 
by governmental reorganization or other methods unless  | 
otherwise provided in Section 5g of this Act. | 
 In fiscal year 1994, no Road Fund monies shall be  | 
appropriated to the Secretary of State for the purposes of  | 
 | 
this Section in excess of the total fiscal year 1991 Road Fund  | 
appropriations to the Secretary of State for those purposes,  | 
plus $9,800,000. It shall not be lawful to circumvent this  | 
limitation on appropriations by governmental reorganization or  | 
other method. | 
 Beginning with fiscal year 1995 and thereafter, no Road  | 
Fund monies shall be appropriated to the Secretary of State  | 
for the purposes of this Section in excess of the total fiscal  | 
year 1994 Road Fund appropriations to the Secretary of State  | 
for those purposes. It shall not be lawful to circumvent this  | 
limitation on appropriations by governmental reorganization or  | 
other methods. | 
 Beginning with fiscal year 2000, total Road Fund  | 
appropriations to the Secretary of State for the purposes of  | 
this Section shall not exceed the amounts specified for the  | 
following fiscal years: | 
|
  Fiscal Year 2000 | $80,500,000; |  |
  Fiscal Year 2001 | $80,500,000; |  |
  Fiscal Year 2002 | $80,500,000; |  |
  Fiscal Year 2003 | $130,500,000; |  |
  Fiscal Year 2004 | $130,500,000; |  |
  Fiscal Year 2005 | $130,500,000;  |  |
  Fiscal Year 2006  | $130,500,000;  |  |
  Fiscal Year 2007  | $130,500,000;  |  |
  Fiscal Year 2008 | $130,500,000;  |  |
  Fiscal Year 2009  | $130,500,000.  |  
  | 
 | 
 For fiscal year 2010, no road fund moneys shall be  | 
appropriated to the Secretary of State.  | 
 Beginning in fiscal year 2011, moneys in the Road Fund  | 
shall be appropriated to the Secretary of State for the  | 
exclusive purpose of paying refunds due to overpayment of fees  | 
related to Chapter 3 of the Illinois Vehicle Code unless  | 
otherwise provided for by law.  | 
 It shall not be lawful to circumvent this limitation on  | 
appropriations by governmental reorganization or other  | 
methods. | 
 No new program may be initiated in fiscal year 1991 and  | 
thereafter that is not consistent with the limitations imposed  | 
by this Section for fiscal year 1984 and thereafter, insofar  | 
as appropriation of Road Fund monies is concerned. | 
 Nothing in this Section prohibits transfers from the Road  | 
Fund to the State Construction Account Fund under Section 5e  | 
of this Act; nor to the General Revenue Fund, as authorized by  | 
Public Act 93-25. | 
 The additional amounts authorized for expenditure in this  | 
Section by Public Acts 92-0600, 93-0025, 93-0839, and 94-91  | 
shall be repaid to the Road Fund from the General Revenue Fund  | 
in the next succeeding fiscal year that the General Revenue  | 
Fund has a positive budgetary balance, as determined by  | 
generally accepted accounting principles applicable to  | 
government. | 
 The additional amounts authorized for expenditure by the  | 
 | 
Secretary of State and the Department of State Police in this  | 
Section by Public Act 94-91 shall be repaid to the Road Fund  | 
from the General Revenue Fund in the next succeeding fiscal  | 
year that the General Revenue Fund has a positive budgetary  | 
balance, as determined by generally accepted accounting  | 
principles applicable to government. | 
(Source: P.A. 102-16, eff. 6-17-21; 102-538, eff. 8-20-21;  | 
102-699, eff. 4-19-22; 102-813, eff. 5-13-22; 103-8, eff.  | 
6-7-23; 103-34, eff. 1-1-24; revised 12-12-23.)
 | 
 (30 ILCS 105/12-2) (from Ch. 127, par. 148-2) | 
 Sec. 12-2. Travel Regulation Council; State travel  | 
reimbursement.  | 
 (a) The chairmen of the travel control boards established  | 
by Section 12-1, or their designees, shall together comprise  | 
the Travel Regulation Council. The Travel Regulation Council  | 
shall be chaired by the Director of Central Management  | 
Services, who shall be a nonvoting member of the Council,  | 
unless he is otherwise qualified to vote by virtue of being the  | 
designee of a voting member. No later than March 1, 1986, and  | 
at least biennially thereafter, the Council shall adopt State  | 
Travel Regulations and Reimbursement Rates which shall be  | 
applicable to all personnel subject to the jurisdiction of the  | 
travel control boards established by Section 12-1. An  | 
affirmative vote of a majority of the members of the Council  | 
shall be required to adopt regulations and reimbursement  | 
 | 
rates. If the Council fails to adopt regulations by March 1 of  | 
any odd-numbered year, the Director of Central Management  | 
Services shall adopt emergency regulations and reimbursement  | 
rates pursuant to the Illinois Administrative Procedure Act.  | 
As soon as practicable after January 23, 2023 (the effective  | 
date of Public Act 102-1119) this amendatory Act of the 102nd  | 
General Assembly, the Travel Regulation Council and the Higher  | 
Education Travel Control Board shall adopt amendments to their  | 
existing rules to ensure that reimbursement rates for public  | 
institutions of higher education, as defined in Section 1-13  | 
of the Illinois Procurement Code, are set in accordance with  | 
the requirements of subsection (f) of this Section.  | 
 (b) (Blank). | 
 (c) (Blank). | 
 (d) Reimbursements to travelers shall be made pursuant to  | 
the rates and regulations applicable to the respective State  | 
agency as of January 1, 1986 (the effective date of Public Act  | 
84-345) this amendatory Act, until the State Travel  | 
Regulations and Reimbursement Rates established by this  | 
Section are adopted and effective. | 
 (e) (Blank). | 
 (f) (f) Notwithstanding any rule or law to the contrary,  | 
State travel reimbursement rates for lodging and mileage for  | 
automobile travel, as well as allowances for meals, shall be  | 
set at the maximum rates established by the federal government  | 
for travel expenses, subsistence expenses, and mileage  | 
 | 
allowances under 5 U.S.C. 5701 through 5711 and any  | 
regulations promulgated thereunder. If the rates set under  | 
federal regulations increase or decrease during the course of  | 
the State's fiscal year, the effective date of the new rate  | 
shall be the effective date of the change in the federal rate.  | 
(Source: P.A. 102-1119, eff. 1-23-23; 103-8, eff. 1-1-24;  | 
revised 1-2-24.)
 | 
 Section 145. The General Obligation Bond Act is amended by  | 
changing Section 11 as follows:
 | 
 (30 ILCS 330/11) (from Ch. 127, par. 661) | 
 Sec. 11. Sale of Bonds. Except as otherwise provided in  | 
this Section, Bonds shall be sold from time to time pursuant to  | 
notice of sale and public bid or by negotiated sale in such  | 
amounts and at such times as is directed by the Governor, upon  | 
recommendation by the Director of the Governor's Office of  | 
Management and Budget. At least 25%, based on total principal  | 
amount, of all Bonds issued each fiscal year shall be sold  | 
pursuant to notice of sale and public bid. At all times during  | 
each fiscal year, no more than 75%, based on total principal  | 
amount, of the Bonds issued each fiscal year, shall have been  | 
sold by negotiated sale. Failure to satisfy the requirements  | 
in the preceding 2 sentences shall not affect the validity of  | 
any previously issued Bonds; provided that all Bonds  | 
authorized by Public Act 96-43 and Public Act 96-1497 shall  | 
 | 
not be included in determining compliance for any fiscal year  | 
with the requirements of the preceding 2 sentences; and  | 
further provided that refunding Bonds satisfying the  | 
requirements of Section 16 of this Act shall not be subject to  | 
the requirements in the preceding 2 sentences.  | 
 The Director of the Governor's Office of Management and  | 
Budget shall comply in the selection of any bond counsel with  | 
the competitive request for proposal process set forth in the  | 
Illinois Procurement Code and all other applicable  | 
requirements of that Code. The Director of the Governor's  | 
Office of Management and Budget may select any financial  | 
advisor from a pool of qualified advisors established pursuant  | 
to a request for qualifications. If any Bonds, including  | 
refunding Bonds, are to be sold by negotiated sale, the  | 
Director of the Governor's Office of Management and Budget  | 
shall select any underwriter from a pool of qualified  | 
underwriters established pursuant to a request for  | 
qualifications. | 
 If Bonds are to be sold pursuant to notice of sale and  | 
public bid, the Director of the Governor's Office of  | 
Management and Budget may, from time to time, as Bonds are to  | 
be sold, advertise the sale of the Bonds in at least 2 daily  | 
newspapers, one of which is published in the City of  | 
Springfield and one in the City of Chicago. The sale of the  | 
Bonds shall be advertised in the BidBuy eProcurement System or  | 
any successor procurement platform maintained by the Chief  | 
 | 
Procurement Officer for General Services, and shall be  | 
published once at least 10 days prior to the date fixed for the  | 
opening of the bids. The Director of the Governor's Office of  | 
Management and Budget may reschedule the date of sale upon the  | 
giving of such additional notice as the Director deems  | 
adequate to inform prospective bidders of such change;  | 
provided, however, that all other conditions of the sale shall  | 
continue as originally advertised. | 
 Executed Bonds shall, upon payment therefor, be delivered  | 
to the purchaser, and the proceeds of Bonds shall be paid into  | 
the State Treasury as directed by Section 12 of this Act. | 
 All Income Tax Proceed Bonds shall comply with this  | 
Section. Notwithstanding anything to the contrary, however,  | 
for purposes of complying with this Section, Income Tax  | 
Proceed Bonds, regardless of the number of series or issuances  | 
sold thereunder, shall be considered a single issue or series.  | 
Furthermore, for purposes of complying with the competitive  | 
bidding requirements of this Section, the words "at all times"  | 
shall not apply to any such sale of the Income Tax Proceed  | 
Bonds. The Director of the Governor's Office of Management and  | 
Budget shall determine the time and manner of any competitive  | 
sale of the Income Tax Proceed Bonds; however, that sale shall  | 
under no circumstances take place later than 60 days after the  | 
State closes the sale of 75% of the Income Tax Proceed Bonds by  | 
negotiated sale. | 
 All State Pension Obligation Acceleration Bonds shall  | 
 | 
comply with this Section. Notwithstanding anything to the  | 
contrary, however, for purposes of complying with this  | 
Section, State Pension Obligation Acceleration Bonds,  | 
regardless of the number of series or issuances sold  | 
thereunder, shall be considered a single issue or series.  | 
Furthermore, for purposes of complying with the competitive  | 
bidding requirements of this Section, the words "at all times"  | 
shall not apply to any such sale of the State Pension  | 
Obligation Acceleration Bonds. The Director of the Governor's  | 
Office of Management and Budget shall determine the time and  | 
manner of any competitive sale of the State Pension Obligation  | 
Acceleration Bonds; however, that sale shall under no  | 
circumstances take place later than 60 days after the State  | 
closes the sale of 75% of the State Pension Obligation  | 
Acceleration Bonds by negotiated sale. | 
(Source: P.A. 103-7, eff. 7-1-23; revised 9-20-23.)
 | 
 Section 150. The Capital Development Bond Act of 1972 is  | 
amended by changing Section 3 as follows:
 | 
 (30 ILCS 420/3) (from Ch. 127, par. 753) | 
 Sec. 3. The State of Illinois is authorized to issue, sell  | 
and provide for the retirement of general obligation bonds of  | 
the State of Illinois in the amount of $1,737,000,000  | 
hereinafter called the "Bonds", for the specific purpose of  | 
providing funds for the acquisition, development,  | 
 | 
construction, reconstruction, improvement, financing,  | 
architectural planning and installation of capital facilities  | 
consisting of buildings, structures, and durable equipment and  | 
for the acquisition and improvement of real property and  | 
interests in real property required, or expected to be  | 
required, in connection therewith and for the acquisition,  | 
protection and development of natural resources, including  | 
water related resources, within the State of Illinois for open  | 
spaces, water resource management, recreational and  | 
conservation purposes, all within the State of Illinois. | 
 The Bonds shall be used in the following specific manner: | 
 (a) $636,697,287 for the acquisition, development,  | 
construction, reconstruction, improvement, financing,  | 
architectural planning and installation of capital facilities  | 
consisting of buildings, structures, durable equipment and  | 
land for educational purposes by State universities and  | 
colleges, the Illinois Community College Board created by the  | 
Public Community College Act "An Act in relation to the  | 
establishment, operation and maintenance of public community  | 
colleges", approved July 15, 1965, as amended and by the  | 
School Building Commission created by "An Act to provide for  | 
the acquisition, construction, rental, and disposition of  | 
buildings used for school purposes", approved June 21, 1957,  | 
as amended, or its successor, all within the State of  | 
Illinois, and for grants to public community colleges as  | 
authorized by Section 5-11 of the Public Community College  | 
 | 
Act; and for the acquisition, development, construction,  | 
reconstruction rehabilitation, improvement, architectural  | 
planning and installation of capital facilities consisting of  | 
durable movable equipment, including antennas and structures  | 
necessarily relating thereto, for the Board of Governors of  | 
State Colleges and Universities to construct educational  | 
television facilities, which educational television facilities  | 
may be located upon land or structures not owned by the State  | 
providing that the Board of Governors has at least a 25-year  | 
lease for the use of such non-state owned land or structures,  | 
which lease may contain a provision making it subject to  | 
annual appropriations by the General Assembly; | 
 (b) $323,000,000 for the acquisition, development,  | 
construction, reconstruction, improvement, financing,  | 
architectural planning and installation of capital facilities  | 
consisting of buildings, structures, durable equipment and  | 
land for correctional purposes at State prisons and  | 
correctional centers, all within the State of Illinois; | 
 (c) $157,020,000 for the acquisition, development,  | 
construction, reconstruction, improvement, financing,  | 
architectural planning and installation of capital facilities  | 
consisting of buildings, structures, durable equipment, and  | 
land for open spaces, recreational and conservation purposes  | 
and the protection of land, all within the State of Illinois; | 
 (d) $146,580,000 for the acquisition, development,  | 
construction, reconstruction, improvement, financing,  | 
 | 
architectural planning and installation of capital facilities  | 
consisting of buildings, structures, durable equipment and  | 
land for child care facilities, mental and public health  | 
facilities, and facilities for the care of veterans with  | 
disabilities and their spouses, all within the State of  | 
Illinois; | 
 (e) $348,846,200 for the acquisition, development,  | 
construction, reconstruction, improvement, financing,  | 
architectural planning and installation of capital facilities  | 
consisting of buildings, structures, durable equipment and  | 
land for use by the State, its departments, authorities,  | 
public corporations, commissions and agencies; | 
 (f) To reimburse the Illinois Building Authority created  | 
by the Building Authority Act "An Act to create the Illinois  | 
Building Authority and to define its powers and duties", as  | 
approved August 15, 1961, as amended, for any and all costs and  | 
expenses incurred, and to be incurred, by the Illinois  | 
Building Authority in connection with the acquisition,  | 
construction, development, reconstruction, improvement,  | 
planning, installation and financing of capital facilities  | 
consisting of buildings, structures, equipment and land as  | 
enumerated in subsections (a) through (e) hereof, and in  | 
connection therewith to acquire from the Illinois Building  | 
Authority any such capital facilities; provided, however, that  | 
nothing in this subparagraph shall be construed to require or  | 
permit the acquisition of facilities financed by the Illinois  | 
 | 
Building authority through the issuance of bonds; | 
 (g) $24,853,800 for the acquisition, development,  | 
construction, reconstruction, improvement, financing,  | 
architectural planning and installation of buildings,  | 
structures, durable equipment, and land for: | 
 (1) Cargo handling facilities for use by port districts,  | 
and | 
 (2) Breakwaters, including harbor entrances incident  | 
thereto, for use by port districts in conjunction with  | 
facilities for small boats and pleasure craft; | 
 (h) $39,900,000 for the acquisition, development,  | 
construction, reconstruction, modification, financing,  | 
architectural planning and installation of capital facilities  | 
consisting of buildings, structures, durable equipment and  | 
land for water resource management projects, all within the  | 
State of Illinois; | 
 (i) $9,852,713 for the acquisition, development,  | 
construction, reconstruction, improvement, financing,  | 
architectural planning and installation of capital facilities  | 
consisting of buildings, structures, durable equipment and  | 
land for educational purposes by nonprofit, nonpublic health  | 
service educational institutions; | 
 (j) $48,000,000 for the acquisition, development,  | 
construction, reconstruction, improvement, financing,  | 
architectural planning and installation of capital facilities  | 
consisting of buildings, structures, durable equipment and  | 
 | 
land for the provision of facilities for food production  | 
research and related instructional and public service  | 
activities at the State universities and public community  | 
colleges, all within the State of Illinois; | 
 (k) $2,250,000 for grants by the Secretary of State, as  | 
State Librarian, for the construction, acquisition,  | 
development, reconstruction and improvement of central library  | 
facilities authorized under Section 8 of the "The Illinois  | 
Library System Act", as amended. | 
(Source: P.A. 99-143, eff. 7-27-15; revised 9-20-23.)
 | 
 Section 155. The Build Illinois Bond Act is amended by  | 
changing Section 5 as follows:
 | 
 (30 ILCS 425/5) (from Ch. 127, par. 2805) | 
 Sec. 5. Bond sale expenses.  | 
 (a) Costs for advertising, printing, bond rating, travel  | 
of outside vendors, security, delivery, and legal and  | 
financial advisory services, initial fees of trustees,  | 
registrars, paying agents, and other fiduciaries, initial  | 
costs of credit or liquidity enhancement arrangements, initial  | 
fees of indexing and remarketing agents, and initial costs of  | 
interest rate swaps, guarantees, or arrangements to limit  | 
interest rate risk, as determined in the related Bond Sale  | 
Order, may be paid as reasonable costs of issuance and sale  | 
from the proceeds of each Bond sale. An amount not to exceed 1%  | 
 | 
of the principal amount of the proceeds of the sale of each  | 
bond sale is authorized to be used to pay additional  | 
reasonable costs of each issuance and sale of Bonds authorized  | 
and sold pursuant to this Act, including, without limitation,  | 
underwriter's discounts and fees, but excluding bond  | 
insurance; provided that no salaries of State employees or  | 
other State office operating expenses shall be paid out of  | 
non-appropriated proceeds. The Governor's Office of Management  | 
and Budget shall compile a summary of all costs of issuance on  | 
each sale (including both costs paid out of proceeds and those  | 
paid out of appropriated funds) and post that summary on its  | 
web site within 20 business days after the issuance of the  | 
bonds. The summary shall include, as applicable, the  | 
respective percentage of participation and compensation of  | 
each underwriter that is a member of the underwriting  | 
syndicate, legal counsel, financial advisors, and other  | 
professionals for the Bond issue, and an identification of all  | 
costs of issuance paid to minority-owned businesses,  | 
women-owned businesses, and businesses owned by persons with  | 
disabilities. The terms "minority-owned businesses",  | 
"women-owned businesses", and "business owned by a person with  | 
a disability" have the meanings given to those terms in the  | 
Business Enterprise for Minorities, Women, and Persons with  | 
Disabilities Act. The summary shall be posted on the website  | 
for a period of at least 30 days. In addition, the Governor's  | 
Office of Management and Budget shall provide a written copy  | 
 | 
of each summary of costs to the Speaker and Minority Leader of  | 
the House of Representatives, the President and Minority  | 
Leader of the Senate, and the Commission on Government  | 
Forecasting and Accountability within 20 business days after  | 
each issuance of the bonds. In addition, the Governor's Office  | 
of Management and Budget shall provide copies of all contracts  | 
under which any costs of issuance are paid or to be paid to the  | 
Commission on Government Forecasting and Accountability within  | 
20 business days after the issuance of Bonds for which those  | 
costs are paid or to be paid. Instead of filing a second or  | 
subsequent copy of the same contract, the Governor's Office of  | 
Management and Budget may file a statement that specified  | 
costs are paid under specified contracts filed earlier with  | 
the Commission. | 
 (b) The Director of the Governor's Office of Management  | 
and Budget shall not, in connection with the issuance of  | 
Bonds, contract with any underwriter, financial advisor, or  | 
attorney unless that underwriter, financial advisor, or  | 
attorney certifies that the underwriter, financial advisor, or  | 
attorney has not and will not pay a contingent fee, whether  | 
directly or indirectly, to any third party for having promoted  | 
the selection of the underwriter, financial advisor, or  | 
attorney for that contract. In the event that the Governor's  | 
Office of Management and Budget determines that an  | 
underwriter, financial advisor, or attorney has filed a false  | 
certification with respect to the payment of contingent fees,  | 
 | 
the Governor's Office of Management and Budget shall not  | 
contract with that underwriter, financial advisor, or  | 
attorney, or with any firm employing any person who signed  | 
false certifications, for a period of 2 calendar years,  | 
beginning with the date the determination is made. The  | 
validity of Bonds issued under such circumstances of violation  | 
pursuant to this Section shall not be affected. | 
(Source: P.A. 103-7, eff. 7-1-23; revised 9-21-23.)
 | 
 Section 160. The Illinois Procurement Code is amended by  | 
changing Sections 1-10 and 10-20 as follows:
 | 
 (30 ILCS 500/1-10) | 
 Sec. 1-10. Application.  | 
 (a) This Code applies only to procurements for which  | 
bidders, offerors, potential contractors, or contractors were  | 
first solicited on or after July 1, 1998. This Code shall not  | 
be construed to affect or impair any contract, or any  | 
provision of a contract, entered into based on a solicitation  | 
prior to the implementation date of this Code as described in  | 
Article 99, including, but not limited to, any covenant  | 
entered into with respect to any revenue bonds or similar  | 
instruments. All procurements for which contracts are  | 
solicited between the effective date of Articles 50 and 99 and  | 
July 1, 1998 shall be substantially in accordance with this  | 
Code and its intent. | 
 | 
 (b) This Code shall apply regardless of the source of the  | 
funds with which the contracts are paid, including federal  | 
assistance moneys. This Code shall not apply to: | 
  (1) Contracts between the State and its political  | 
 subdivisions or other governments, or between State  | 
 governmental bodies, except as specifically provided in  | 
 this Code. | 
  (2) Grants, except for the filing requirements of  | 
 Section 20-80. | 
  (3) Purchase of care, except as provided in Section  | 
 5-30.6 of the Illinois Public Aid Code and this Section. | 
  (4) Hiring of an individual as an employee and not as  | 
 an independent contractor, whether pursuant to an  | 
 employment code or policy or by contract directly with  | 
 that individual. | 
  (5) Collective bargaining contracts. | 
  (6) Purchase of real estate, except that notice of  | 
 this type of contract with a value of more than $25,000  | 
 must be published in the Procurement Bulletin within 10  | 
 calendar days after the deed is recorded in the county of  | 
 jurisdiction. The notice shall identify the real estate  | 
 purchased, the names of all parties to the contract, the  | 
 value of the contract, and the effective date of the  | 
 contract. | 
  (7) Contracts necessary to prepare for anticipated  | 
 litigation, enforcement actions, or investigations,  | 
 | 
 provided that the chief legal counsel to the Governor  | 
 shall give his or her prior approval when the procuring  | 
 agency is one subject to the jurisdiction of the Governor,  | 
 and provided that the chief legal counsel of any other  | 
 procuring entity subject to this Code shall give his or  | 
 her prior approval when the procuring entity is not one  | 
 subject to the jurisdiction of the Governor. | 
  (8) (Blank). | 
  (9) Procurement expenditures by the Illinois  | 
 Conservation Foundation when only private funds are used. | 
  (10) (Blank).  | 
  (11) Public-private agreements entered into according  | 
 to the procurement requirements of Section 20 of the  | 
 Public-Private Partnerships for Transportation Act and  | 
 design-build agreements entered into according to the  | 
 procurement requirements of Section 25 of the  | 
 Public-Private Partnerships for Transportation Act. | 
  (12) (A) Contracts for legal, financial, and other  | 
 professional and artistic services entered into by the  | 
 Illinois Finance Authority in which the State of Illinois  | 
 is not obligated. Such contracts shall be awarded through  | 
 a competitive process authorized by the members of the  | 
 Illinois Finance Authority and are subject to Sections  | 
 5-30, 20-160, 50-13, 50-20, 50-35, and 50-37 of this Code,  | 
 as well as the final approval by the members of the  | 
 Illinois Finance Authority of the terms of the contract. | 
 | 
  (B) Contracts for legal and financial services entered  | 
 into by the Illinois Housing Development Authority in  | 
 connection with the issuance of bonds in which the State  | 
 of Illinois is not obligated. Such contracts shall be  | 
 awarded through a competitive process authorized by the  | 
 members of the Illinois Housing Development Authority and  | 
 are subject to Sections 5-30, 20-160, 50-13, 50-20, 50-35,  | 
 and 50-37 of this Code, as well as the final approval by  | 
 the members of the Illinois Housing Development Authority  | 
 of the terms of the contract.  | 
  (13) Contracts for services, commodities, and  | 
 equipment to support the delivery of timely forensic  | 
 science services in consultation with and subject to the  | 
 approval of the Chief Procurement Officer as provided in  | 
 subsection (d) of Section 5-4-3a of the Unified Code of  | 
 Corrections, except for the requirements of Sections  | 
 20-60, 20-65, 20-70, and 20-160 and Article 50 of this  | 
 Code; however, the Chief Procurement Officer may, in  | 
 writing with justification, waive any certification  | 
 required under Article 50 of this Code. For any contracts  | 
 for services which are currently provided by members of a  | 
 collective bargaining agreement, the applicable terms of  | 
 the collective bargaining agreement concerning  | 
 subcontracting shall be followed. | 
  On and after January 1, 2019, this paragraph (13),  | 
 except for this sentence, is inoperative.  | 
 | 
  (14) Contracts for participation expenditures required  | 
 by a domestic or international trade show or exhibition of  | 
 an exhibitor, member, or sponsor. | 
  (15) Contracts with a railroad or utility that  | 
 requires the State to reimburse the railroad or utilities  | 
 for the relocation of utilities for construction or other  | 
 public purpose. Contracts included within this paragraph  | 
 (15) shall include, but not be limited to, those  | 
 associated with: relocations, crossings, installations,  | 
 and maintenance. For the purposes of this paragraph (15),  | 
 "railroad" means any form of non-highway ground  | 
 transportation that runs on rails or electromagnetic  | 
 guideways and "utility" means: (1) public utilities as  | 
 defined in Section 3-105 of the Public Utilities Act, (2)  | 
 telecommunications carriers as defined in Section 13-202  | 
 of the Public Utilities Act, (3) electric cooperatives as  | 
 defined in Section 3.4 of the Electric Supplier Act, (4)  | 
 telephone or telecommunications cooperatives as defined in  | 
 Section 13-212 of the Public Utilities Act, (5) rural  | 
 water or waste water systems with 10,000 connections or  | 
 less, (6) a holder as defined in Section 21-201 of the  | 
 Public Utilities Act, and (7) municipalities owning or  | 
 operating utility systems consisting of public utilities  | 
 as that term is defined in Section 11-117-2 of the  | 
 Illinois Municipal Code.  | 
  (16) Procurement expenditures necessary for the  | 
 | 
 Department of Public Health to provide the delivery of  | 
 timely newborn screening services in accordance with the  | 
 Newborn Metabolic Screening Act.  | 
  (17) Procurement expenditures necessary for the  | 
 Department of Agriculture, the Department of Financial and  | 
 Professional Regulation, the Department of Human Services,  | 
 and the Department of Public Health to implement the  | 
 Compassionate Use of Medical Cannabis Program and Opioid  | 
 Alternative Pilot Program requirements and ensure access  | 
 to medical cannabis for patients with debilitating medical  | 
 conditions in accordance with the Compassionate Use of  | 
 Medical Cannabis Program Act. | 
  (18) This Code does not apply to any procurements  | 
 necessary for the Department of Agriculture, the  | 
 Department of Financial and Professional Regulation, the  | 
 Department of Human Services, the Department of Commerce  | 
 and Economic Opportunity, and the Department of Public  | 
 Health to implement the Cannabis Regulation and Tax Act if  | 
 the applicable agency has made a good faith determination  | 
 that it is necessary and appropriate for the expenditure  | 
 to fall within this exemption and if the process is  | 
 conducted in a manner substantially in accordance with the  | 
 requirements of Sections 20-160, 25-60, 30-22, 50-5,  | 
 50-10, 50-10.5, 50-12, 50-13, 50-15, 50-20, 50-21, 50-35,  | 
 50-36, 50-37, 50-38, and 50-50 of this Code; however, for  | 
 Section 50-35, compliance applies only to contracts or  | 
 | 
 subcontracts over $100,000. Notice of each contract  | 
 entered into under this paragraph (18) that is related to  | 
 the procurement of goods and services identified in  | 
 paragraph (1) through (9) of this subsection shall be  | 
 published in the Procurement Bulletin within 14 calendar  | 
 days after contract execution. The Chief Procurement  | 
 Officer shall prescribe the form and content of the  | 
 notice. Each agency shall provide the Chief Procurement  | 
 Officer, on a monthly basis, in the form and content  | 
 prescribed by the Chief Procurement Officer, a report of  | 
 contracts that are related to the procurement of goods and  | 
 services identified in this subsection. At a minimum, this  | 
 report shall include the name of the contractor, a  | 
 description of the supply or service provided, the total  | 
 amount of the contract, the term of the contract, and the  | 
 exception to this Code utilized. A copy of any or all of  | 
 these contracts shall be made available to the Chief  | 
 Procurement Officer immediately upon request. The Chief  | 
 Procurement Officer shall submit a report to the Governor  | 
 and General Assembly no later than November 1 of each year  | 
 that includes, at a minimum, an annual summary of the  | 
 monthly information reported to the Chief Procurement  | 
 Officer. This exemption becomes inoperative 5 years after  | 
 June 25, 2019 (the effective date of Public Act 101-27). | 
  (19) Acquisition of modifications or adjustments,  | 
 limited to assistive technology devices and assistive  | 
 | 
 technology services, adaptive equipment, repairs, and  | 
 replacement parts to provide reasonable accommodations (i)  | 
 that enable a qualified applicant with a disability to  | 
 complete the job application process and be considered for  | 
 the position such qualified applicant desires, (ii) that  | 
 modify or adjust the work environment to enable a  | 
 qualified current employee with a disability to perform  | 
 the essential functions of the position held by that  | 
 employee, (iii) to enable a qualified current employee  | 
 with a disability to enjoy equal benefits and privileges  | 
 of employment as are enjoyed by other similarly situated  | 
 employees without disabilities, and (iv) that allow a  | 
 customer, client, claimant, or member of the public  | 
 seeking State services full use and enjoyment of and  | 
 access to its programs, services, or benefits.  | 
  For purposes of this paragraph (19): | 
  "Assistive technology devices" means any item, piece  | 
 of equipment, or product system, whether acquired  | 
 commercially off the shelf, modified, or customized, that  | 
 is used to increase, maintain, or improve functional  | 
 capabilities of individuals with disabilities. | 
  "Assistive technology services" means any service that  | 
 directly assists an individual with a disability in  | 
 selection, acquisition, or use of an assistive technology  | 
 device. | 
  "Qualified" has the same meaning and use as provided  | 
 | 
 under the federal Americans with Disabilities Act when  | 
 describing an individual with a disability.  | 
  (20) Procurement expenditures necessary for the  | 
 Illinois Commerce Commission to hire third-party  | 
 facilitators pursuant to Sections 16-105.17 and 16-108.18  | 
 of the Public Utilities Act or an ombudsman pursuant to  | 
 Section 16-107.5 of the Public Utilities Act, a  | 
 facilitator pursuant to Section 16-105.17 of the Public  | 
 Utilities Act, or a grid auditor pursuant to Section  | 
 16-105.10 of the Public Utilities Act.  | 
  (21) Procurement expenditures for the purchase,  | 
 renewal, and expansion of software, software licenses, or  | 
 software maintenance agreements that support the efforts  | 
 of the Illinois State Police to enforce, regulate, and  | 
 administer the Firearm Owners Identification Card Act, the  | 
 Firearm Concealed Carry Act, the Firearms Restraining  | 
 Order Act, the Firearm Dealer License Certification Act,  | 
 the Law Enforcement Agencies Data System (LEADS), the  | 
 Uniform Crime Reporting Act, the Criminal Identification  | 
 Act, the Illinois Uniform Conviction Information Act, and  | 
 the Gun Trafficking Information Act, or establish or  | 
 maintain record management systems necessary to conduct  | 
 human trafficking investigations or gun trafficking or  | 
 other stolen firearm investigations. This paragraph (21)  | 
 applies to contracts entered into on or after January 10,  | 
 2023 (the effective date of Public Act 102-1116) and the  | 
 | 
 renewal of contracts that are in effect on January 10,  | 
 2023 (the effective date of Public Act 102-1116).  | 
  (22) Contracts for project management services and  | 
 system integration services required for the completion of  | 
 the State's enterprise resource planning project. This  | 
 exemption becomes inoperative 5 years after June 7, 2023  | 
 (the effective date of the changes made to this Section by  | 
 Public Act 103-8). This paragraph (22) applies to  | 
 contracts entered into on or after June 7, 2023 (the  | 
 effective date of the changes made to this Section by  | 
 Public Act 103-8) and the renewal of contracts that are in  | 
 effect on June 7, 2023 (the effective date of the changes  | 
 made to this Section by Public Act 103-8).  | 
  (23) Procurements necessary for the Department of  | 
 Insurance to implement the Illinois Health Benefits  | 
 Exchange Law if the Department of Insurance has made a  | 
 good faith determination that it is necessary and  | 
 appropriate for the expenditure to fall within this  | 
 exemption. The procurement process shall be conducted in a  | 
 manner substantially in accordance with the requirements  | 
 of Sections 20-160 and 25-60 and Article 50 of this Code. A  | 
 copy of these contracts shall be made available to the  | 
 Chief Procurement Officer immediately upon request. This  | 
 paragraph is inoperative 5 years after June 27, 2023 (the  | 
 effective date of Public Act 103-103).  | 
  (24) (22) Contracts for public education programming,  | 
 | 
 noncommercial sustaining announcements, public service  | 
 announcements, and public awareness and education  | 
 messaging with the nonprofit trade associations of the  | 
 providers of those services that inform the public on  | 
 immediate and ongoing health and safety risks and hazards.  | 
 Notwithstanding any other provision of law, for contracts  | 
with an annual value of more than $100,000 entered into on or  | 
after October 1, 2017 under an exemption provided in any  | 
paragraph of this subsection (b), except paragraph (1), (2),  | 
or (5), each State agency shall post to the appropriate  | 
procurement bulletin the name of the contractor, a description  | 
of the supply or service provided, the total amount of the  | 
contract, the term of the contract, and the exception to the  | 
Code utilized. The chief procurement officer shall submit a  | 
report to the Governor and General Assembly no later than  | 
November 1 of each year that shall include, at a minimum, an  | 
annual summary of the monthly information reported to the  | 
chief procurement officer.  | 
 (c) This Code does not apply to the electric power  | 
procurement process provided for under Section 1-75 of the  | 
Illinois Power Agency Act and Section 16-111.5 of the Public  | 
Utilities Act. This Code does not apply to the procurement of  | 
technical and policy experts pursuant to Section 1-129 of the  | 
Illinois Power Agency Act.  | 
 (d) Except for Section 20-160 and Article 50 of this Code,  | 
and as expressly required by Section 9.1 of the Illinois  | 
 | 
Lottery Law, the provisions of this Code do not apply to the  | 
procurement process provided for under Section 9.1 of the  | 
Illinois Lottery Law.  | 
 (e) This Code does not apply to the process used by the  | 
Capital Development Board to retain a person or entity to  | 
assist the Capital Development Board with its duties related  | 
to the determination of costs of a clean coal SNG brownfield  | 
facility, as defined by Section 1-10 of the Illinois Power  | 
Agency Act, as required in subsection (h-3) of Section 9-220  | 
of the Public Utilities Act, including calculating the range  | 
of capital costs, the range of operating and maintenance  | 
costs, or the sequestration costs or monitoring the  | 
construction of clean coal SNG brownfield facility for the  | 
full duration of construction. | 
 (f) (Blank).  | 
 (g) (Blank). | 
 (h) This Code does not apply to the process to procure or  | 
contracts entered into in accordance with Sections 11-5.2 and  | 
11-5.3 of the Illinois Public Aid Code.  | 
 (i) Each chief procurement officer may access records  | 
necessary to review whether a contract, purchase, or other  | 
expenditure is or is not subject to the provisions of this  | 
Code, unless such records would be subject to attorney-client  | 
privilege.  | 
 (j) This Code does not apply to the process used by the  | 
Capital Development Board to retain an artist or work or works  | 
 | 
of art as required in Section 14 of the Capital Development  | 
Board Act.  | 
 (k) This Code does not apply to the process to procure  | 
contracts, or contracts entered into, by the State Board of  | 
Elections or the State Electoral Board for hearing officers  | 
appointed pursuant to the Election Code.  | 
 (l) This Code does not apply to the processes used by the  | 
Illinois Student Assistance Commission to procure supplies and  | 
services paid for from the private funds of the Illinois  | 
Prepaid Tuition Fund. As used in this subsection (l), "private  | 
funds" means funds derived from deposits paid into the  | 
Illinois Prepaid Tuition Trust Fund and the earnings thereon.  | 
 (m) This Code shall apply regardless of the source of  | 
funds with which contracts are paid, including federal  | 
assistance moneys. Except as specifically provided in this  | 
Code, this Code shall not apply to procurement expenditures  | 
necessary for the Department of Public Health to conduct the  | 
Healthy Illinois Survey in accordance with Section 2310-431 of  | 
the Department of Public Health Powers and Duties Law of the  | 
Civil Administrative Code of Illinois.  | 
(Source: P.A. 102-175, eff. 7-29-21; 102-483, eff 1-1-22;  | 
102-558, eff. 8-20-21; 102-600, eff. 8-27-21; 102-662, eff.  | 
9-15-21; 102-721, eff. 1-1-23; 102-813, eff. 5-13-22;  | 
102-1116, eff. 1-10-23; 103-8, eff. 6-7-23; 103-103, eff.  | 
6-27-23; 103-570, eff. 1-1-24; 103-580, eff. 12-8-23; revised  | 
1-2-24.)
 | 
 | 
 (30 ILCS 500/10-20) | 
 Sec. 10-20. Independent chief procurement officers. | 
 (a) Appointment. Within 60 calendar days after July 1,  | 
2010 (the effective date of Public Act 96-795) this amendatory  | 
Act of the 96th General Assembly, the Executive Ethics  | 
Commission, with the advice and consent of the Senate shall  | 
appoint or approve 4 chief procurement officers, one for each  | 
of the following categories: | 
  (1) for procurements for construction and  | 
 construction-related services committed by law to the  | 
 jurisdiction or responsibility of the Capital Development  | 
 Board; | 
  (2) for procurements for all construction,  | 
 construction-related services, operation of any facility,  | 
 and the provision of any service or activity committed by  | 
 law to the jurisdiction or responsibility of the Illinois  | 
 Department of Transportation, including the direct or  | 
 reimbursable expenditure of all federal funds for which  | 
 the Department of Transportation is responsible or  | 
 accountable for the use thereof in accordance with federal  | 
 law, regulation, or procedure, the chief procurement  | 
 officer recommended for approval under this item appointed  | 
 by the Secretary of Transportation after consent by the  | 
 Executive Ethics Commission; | 
  (3) for all procurements made by a public institution  | 
 | 
 of higher education; and | 
  (4) for all other procurement needs of State agencies.  | 
 For fiscal year 2024, the Executive Ethics Commission  | 
shall set aside from its appropriation those amounts necessary  | 
for the use of the 4 chief procurement officers for the  | 
ordinary and contingent expenses of their respective  | 
procurement offices. From the amounts set aside by the  | 
Commission, each chief procurement officer shall control the  | 
internal operations of his or her procurement office and shall  | 
procure the necessary equipment, materials, and services to  | 
perform the duties of that office, including hiring necessary  | 
procurement personnel, legal advisors, and other employees,  | 
and may establish, in the exercise of the chief procurement  | 
officer's discretion, the compensation of the office's  | 
employees, which includes the State purchasing officers and  | 
any legal advisors. The Executive Ethics Commission shall have  | 
no control over the employees of the chief procurement  | 
officers. The Executive Ethics Commission shall provide  | 
administrative support services, including payroll, for each  | 
procurement office.  | 
 (b) Terms and independence. Each chief procurement officer  | 
appointed under this Section shall serve for a term of 5 years  | 
beginning on the date of the officer's appointment. The chief  | 
procurement officer may be removed for cause after a hearing  | 
by the Executive Ethics Commission. The Governor or the  | 
director of a State agency directly responsible to the  | 
 | 
Governor may institute a complaint against the officer by  | 
filing such complaint with the Commission. The Commission  | 
shall have a hearing based on the complaint. The officer and  | 
the complainant shall receive reasonable notice of the hearing  | 
and shall be permitted to present their respective arguments  | 
on the complaint. After the hearing, the Commission shall make  | 
a finding on the complaint and may take disciplinary action,  | 
including but not limited to removal of the officer. | 
 The salary of a chief procurement officer shall be  | 
established by the Executive Ethics Commission and may not be  | 
diminished during the officer's term. The salary may not  | 
exceed the salary of the director of a State agency for which  | 
the officer serves as chief procurement officer. | 
 (c) Qualifications. In addition to any other requirement  | 
or qualification required by State law, each chief procurement  | 
officer must within 12 months of employment be a Certified  | 
Professional Public Buyer or a Certified Public Purchasing  | 
Officer, pursuant to certification by the Universal Public  | 
Purchasing Certification Council, and must reside in Illinois. | 
 (d) Fiduciary duty. Each chief procurement officer owes a  | 
fiduciary duty to the State. | 
 (e) Vacancy. In case of a vacancy in one or more of the  | 
offices of a chief procurement officer under this Section  | 
during the recess of the Senate, the Executive Ethics  | 
Commission shall make a temporary appointment until the next  | 
meeting of the Senate, when the Executive Ethics Commission  | 
 | 
shall nominate some person to fill the office, and any person  | 
so nominated who is confirmed by the Senate shall hold office  | 
during the remainder of the term and until his or her successor  | 
is appointed and qualified. If the Senate is not in session at  | 
the time Public Act 96-920 this amendatory Act of the 96th  | 
General Assembly takes effect, the Executive Ethics Commission  | 
shall make a temporary appointment as in the case of a vacancy. | 
 (f) (Blank). | 
 (g) (Blank).  | 
(Source: P.A. 103-8, eff. 6-7-23; revised 9-26-23.)
 | 
 Section 165. The Illinois Works Jobs Program Act is  | 
amended by changing Section 20-15 as follows:
 | 
 (30 ILCS 559/20-15) | 
 Sec. 20-15. Illinois Works Preapprenticeship Program;  | 
Illinois Works Bid Credit Program.  | 
 (a) The Illinois Works Preapprenticeship Program is  | 
established and shall be administered by the Department. The  | 
goal of the Illinois Works Preapprenticeship Program is to  | 
create a network of community-based organizations throughout  | 
the State that will recruit, prescreen, and provide  | 
preapprenticeship skills training, for which participants may  | 
attend free of charge and receive a stipend, to create a  | 
qualified, diverse pipeline of workers who are prepared for  | 
careers in the construction and building trades. Upon  | 
 | 
completion of the Illinois Works Preapprenticeship Program,  | 
the candidates will be skilled and work-ready.  | 
 (b) There is created the Illinois Works Fund, a special  | 
fund in the State treasury. The Illinois Works Fund shall be  | 
administered by the Department. The Illinois Works Fund shall  | 
be used to provide funding for community-based organizations  | 
throughout the State. In addition to any other transfers that  | 
may be provided for by law, on and after July 1, 2019 at the  | 
direction of the Director of the Governor's Office of  | 
Management and Budget, the State Comptroller shall direct and  | 
the State Treasurer shall transfer amounts not exceeding a  | 
total of $50,000,000 from the Rebuild Illinois Projects Fund  | 
to the Illinois Works Fund. | 
 (c) Each community-based organization that receives  | 
funding from the Illinois Works Fund shall provide an annual  | 
report to the Illinois Works Review Panel by April 1 of each  | 
calendar year. The annual report shall include the following  | 
information:  | 
  (1) a description of the community-based  | 
 organization's recruitment, screening, and training  | 
 efforts;  | 
  (2) the number of individuals who apply to,  | 
 participate in, and complete the community-based  | 
 organization's program, broken down by race, gender, age,  | 
 and veteran status; and | 
 (3) the number of the individuals referenced in item (2)  | 
 | 
 of this subsection who are initially accepted and placed  | 
 into apprenticeship programs in the construction and  | 
 building trades.  | 
 (d) The Department shall create and administer the  | 
Illinois Works Bid Credit Program that shall provide economic  | 
incentives, through bid credits, to encourage contractors and  | 
subcontractors to provide contracting and employment  | 
opportunities to historically underrepresented populations in  | 
the construction industry.  | 
 The Illinois Works Bid Credit Program shall allow  | 
contractors and subcontractors to earn bid credits for use  | 
toward future bids for public works projects contracted by the  | 
State or an agency of the State in order to increase the  | 
chances that the contractor and the subcontractors will be  | 
selected. | 
 Contractors or subcontractors may be eligible to earn bid  | 
credits for employing apprentices who have completed the  | 
Illinois Works Preapprenticeship Program. Contractors or  | 
subcontractors shall earn bid credits at a rate established by  | 
the Department and based on labor hours worked by apprentices  | 
who have completed the Illinois Works Preapprenticeship  | 
Program. In order to earn bid credits, contractors and  | 
subcontractors shall provide the Department with certified  | 
payroll documenting the hours performed by apprentices who  | 
have completed the Illinois Works Preapprenticeship Program.  | 
Contractors and subcontractors can use bid credits toward  | 
 | 
future bids for public works projects contracted or funded by  | 
the State or an agency of the State in order to increase the  | 
likelihood of being selected as the contractor for the public  | 
works project toward which they have applied the bid credit.  | 
The Department shall establish the rate by rule and shall  | 
publish it on the Department's website. The rule may include  | 
maximum bid credits allowed per contractor, per subcontractor,  | 
per apprentice, per bid, or per year.  | 
 The Illinois Works Credit Bank is hereby created and shall  | 
be administered by the Department. The Illinois Works Credit  | 
Bank shall track the bid credits.  | 
 A contractor or subcontractor who has been awarded bid  | 
credits under any other State program for employing  | 
apprentices who have completed the Illinois Works  | 
Preapprenticeship Program is not eligible to receive bid  | 
credits under the Illinois Works Bid Credit Program relating  | 
to the same contract. | 
 The Department shall report to the Illinois Works Review  | 
Panel the following: (i) the number of bid credits awarded by  | 
the Department; (ii) the number of bid credits submitted by  | 
the contractor or subcontractor to the agency administering  | 
the public works contract; and (iii) the number of bid credits  | 
accepted by the agency for such contract. Any agency that  | 
awards bid credits pursuant to the Illinois Works Credit Bank  | 
Program shall report to the Department the number of bid  | 
credits it accepted for the public works contract. | 
 | 
 Upon a finding that a contractor or subcontractor has  | 
reported falsified records to the Department in order to  | 
fraudulently obtain bid credits, the Department may bar the  | 
contractor or subcontractor from participating in the Illinois  | 
Works Bid Credit Program and may suspend the contractor or  | 
subcontractor from bidding on or participating in any public  | 
works project. False or fraudulent claims for payment relating  | 
to false bid credits may be subject to damages and penalties  | 
under applicable law.  | 
 (e) The Department shall adopt any rules deemed necessary  | 
to implement this Section. In order to provide for the  | 
expeditious and timely implementation of this Act, the  | 
Department may adopt emergency rules. The adoption of  | 
emergency rules authorized by this subsection is deemed to be  | 
necessary for the public interest, safety, and welfare. | 
(Source: P.A. 103-8, eff. 6-7-23; 103-305, eff. 7-28-23;  | 
revised 9-6-23.)
 | 
 Section 170. The Build Illinois Act is amended by changing  | 
Section 10-6 as follows:
 | 
 (30 ILCS 750/10-6) (from Ch. 127, par. 2710-6) | 
 Sec. 10-6. Large Business Attraction Fund.  | 
 (a) There is created the Large Business Attraction Fund to  | 
be held as part of the State Treasury. The Department is  | 
authorized to make loans from the Fund for the purposes  | 
 | 
established under this Article. The State Treasurer shall have  | 
custody of the Fund and may invest in securities constituting  | 
direct obligations of the United States Government, in  | 
obligations the principal of and interest on which are  | 
guaranteed by the United States Government, or in certificates  | 
of deposit of any State or national bank that are fully secured  | 
by obligations guaranteed as to principal and interest by the  | 
United States Government. The purpose of the Fund is to offer  | 
loans to finance large firms considering the location of a  | 
proposed plant in the State and to provide financing to carry  | 
out the purposes and provisions of paragraph (h) of Section  | 
10-3. Financing shall be in the form of a loan, mortgage, or  | 
other debt instrument. All loans shall be conditioned on the  | 
project receiving financing from participating lenders or  | 
other sources. Loan proceeds shall be available for project  | 
costs associated with an expansion of business capacity and  | 
employment, except for debt refinancing. Targeted companies  | 
for the program shall primarily consist of established  | 
industrial and service companies with proven records of  | 
earnings that will sell their product to markets beyond  | 
Illinois and have proven multistate location options. New  | 
ventures shall be considered only if the entity is protected  | 
with adequate security with regard to its financing and  | 
operation. The limitations and conditions with respect to the  | 
use of this Fund shall not apply in carrying out the purposes  | 
and provisions of paragraph (h) of Section 10-3. | 
 | 
 (b) Deposits into the Fund shall include, but are not  | 
limited to: | 
  (1) Any appropriations, grants, or gifts made to the  | 
 Fund. | 
  (2) Any income received from interest on investments  | 
 of amounts from the Fund not currently needed to meet the  | 
 obligations of the Fund. | 
 (c) The State Comptroller and the State Treasurer shall  | 
from time to time, upon the written direction of the Governor,  | 
transfer from the Fund to the General Revenue Fund or the  | 
Budget Stabilization Fund, those amounts that the Governor  | 
determines are in excess of the amounts required to meet the  | 
obligations of the Fund. Any amounts transferred to the Budget  | 
Stabilization Fund may be transferred back to the Large  | 
Business Attraction Fund by the State Comptroller and the  | 
State Treasurer, upon the written direction of the Governor.  | 
 (d) Notwithstanding subsection (a) of this Section, the  | 
Large Business Attraction Fund may be used for the purposes  | 
established under the Invest in Illinois Act, including for  | 
awards, grants, loans, contracts, and administrative expenses.  | 
(Source: P.A. 102-1115, eff. 1-9-23; 102-1125, eff. 2-3-23;  | 
revised 2-23-23.)
 | 
 Section 175. The State Mandates Act is amended by changing  | 
Sections 8.46 and 8.47 as follows:
 | 
 | 
 (30 ILCS 805/8.46) | 
 Sec. 8.46. Exempt mandate.  | 
 (a) Notwithstanding Sections 6 and 8 of this Act, no  | 
reimbursement by the State is required for the implementation  | 
of any mandate created by 102-707, 102-764, 102-806, 102-811,  | 
102-836, 102-856, 102-857, 102-884, 102-943, 102-1061,  | 
102-1064, 102-1088, or 102-1131 this amendatory Act of the  | 
102nd General Assembly. | 
 (b) Notwithstanding Sections 6 and 8 of this Act, no  | 
reimbursement by the State is required for the implementation  | 
of any mandate created by the Decennial Committees on Local  | 
Government Efficiency Act. | 
(Source: P.A. 102-707, eff. 4-22-22; 102-764, eff. 5-13-22;  | 
102-806, eff. 5-13-22; 102-811, eff. 1-1-23; 102-836, eff.  | 
5-13-22; 102-856, eff. 1-1-23; 102-857, eff. 5-13-22; 102-884,  | 
eff. 5-13-22; 102-943, eff. 1-1-23; 102-1061, eff. 6-10-22;  | 
102-1064, eff. 6-10-22; 102-1088, eff. 6-10-22; 102-1131, eff.  | 
6-1-23; revised 9-19-23.)
 | 
 (30 ILCS 805/8.47) | 
 Sec. 8.47. Exempt mandate.  | 
 (a) Notwithstanding Sections 6 and 8 of this Act, no  | 
reimbursement by the State is required for the implementation  | 
of any mandate created by Public Act 103-2, 103-110, 103-409,  | 
103-455, 103-529, 103-552, 103-553, 103-579, or 103-582 this  | 
amendatory Act of the 103rd General Assembly.  | 
 | 
 (b) Notwithstanding Sections 6 and 8 of this Act, no  | 
reimbursement by the State is required for the implementation  | 
of any mandate created by the Decennial Committees on Local  | 
Government Efficiency Act. | 
 (c) Notwithstanding Sections 6 and 8 of this Act, no  | 
reimbursement by the State is required for the implementation  | 
of the mandate created by Section 2.10a of the Regional  | 
Transportation Authority Act in Public Act 103-281 this  | 
amendatory Act of the 103rd General Assembly. | 
(Source: P.A. 102-1136, eff. 2-10-23; 103-2, eff. 5-10-23;  | 
103-110, eff. 6-29-23; 103-281, eff. 1-1-24; 103-409, eff.  | 
1-1-24; 103-455, eff. 1-1-24; 103-529, eff. 8-11-23; 103-552,  | 
eff. 8-11-23; 103-553, eff. 8-11-23; 103-579, eff. 12-8-23;  | 
103-582, eff. 12-8-23; revised 1-2-24.)
 | 
 Section 180. The Illinois Income Tax Act is amended by  | 
changing Sections 201, 203, 228, and 237 as follows:
 | 
 (35 ILCS 5/201) | 
 Sec. 201. Tax imposed.  | 
 (a) In general. A tax measured by net income is hereby  | 
imposed on every individual, corporation, trust and estate for  | 
each taxable year ending after July 31, 1969 on the privilege  | 
of earning or receiving income in or as a resident of this  | 
State. Such tax shall be in addition to all other occupation or  | 
privilege taxes imposed by this State or by any municipal  | 
 | 
corporation or political subdivision thereof. | 
 (b) Rates. The tax imposed by subsection (a) of this  | 
Section shall be determined as follows, except as adjusted by  | 
subsection (d-1): | 
  (1) In the case of an individual, trust or estate, for  | 
 taxable years ending prior to July 1, 1989, an amount  | 
 equal to 2 1/2% of the taxpayer's net income for the  | 
 taxable year. | 
  (2) In the case of an individual, trust or estate, for  | 
 taxable years beginning prior to July 1, 1989 and ending  | 
 after June 30, 1989, an amount equal to the sum of (i) 2  | 
 1/2% of the taxpayer's net income for the period prior to  | 
 July 1, 1989, as calculated under Section 202.3, and (ii)  | 
 3% of the taxpayer's net income for the period after June  | 
 30, 1989, as calculated under Section 202.3. | 
  (3) In the case of an individual, trust or estate, for  | 
 taxable years beginning after June 30, 1989, and ending  | 
 prior to January 1, 2011, an amount equal to 3% of the  | 
 taxpayer's net income for the taxable year. | 
  (4) In the case of an individual, trust, or estate,  | 
 for taxable years beginning prior to January 1, 2011, and  | 
 ending after December 31, 2010, an amount equal to the sum  | 
 of (i) 3% of the taxpayer's net income for the period prior  | 
 to January 1, 2011, as calculated under Section 202.5, and  | 
 (ii) 5% of the taxpayer's net income for the period after  | 
 December 31, 2010, as calculated under Section 202.5. | 
 | 
  (5) In the case of an individual, trust, or estate,  | 
 for taxable years beginning on or after January 1, 2011,  | 
 and ending prior to January 1, 2015, an amount equal to 5%  | 
 of the taxpayer's net income for the taxable year. | 
  (5.1) In the case of an individual, trust, or estate,  | 
 for taxable years beginning prior to January 1, 2015, and  | 
 ending after December 31, 2014, an amount equal to the sum  | 
 of (i) 5% of the taxpayer's net income for the period prior  | 
 to January 1, 2015, as calculated under Section 202.5, and  | 
 (ii) 3.75% of the taxpayer's net income for the period  | 
 after December 31, 2014, as calculated under Section  | 
 202.5.  | 
  (5.2) In the case of an individual, trust, or estate,  | 
 for taxable years beginning on or after January 1, 2015,  | 
 and ending prior to July 1, 2017, an amount equal to 3.75%  | 
 of the taxpayer's net income for the taxable year.  | 
  (5.3) In the case of an individual, trust, or estate,  | 
 for taxable years beginning prior to July 1, 2017, and  | 
 ending after June 30, 2017, an amount equal to the sum of  | 
 (i) 3.75% of the taxpayer's net income for the period  | 
 prior to July 1, 2017, as calculated under Section 202.5,  | 
 and (ii) 4.95% of the taxpayer's net income for the period  | 
 after June 30, 2017, as calculated under Section 202.5.  | 
  (5.4) In the case of an individual, trust, or estate,  | 
 for taxable years beginning on or after July 1, 2017, an  | 
 amount equal to 4.95% of the taxpayer's net income for the  | 
 | 
 taxable year.  | 
  (6) In the case of a corporation, for taxable years  | 
 ending prior to July 1, 1989, an amount equal to 4% of the  | 
 taxpayer's net income for the taxable year. | 
  (7) In the case of a corporation, for taxable years  | 
 beginning prior to July 1, 1989 and ending after June 30,  | 
 1989, an amount equal to the sum of (i) 4% of the  | 
 taxpayer's net income for the period prior to July 1,  | 
 1989, as calculated under Section 202.3, and (ii) 4.8% of  | 
 the taxpayer's net income for the period after June 30,  | 
 1989, as calculated under Section 202.3. | 
  (8) In the case of a corporation, for taxable years  | 
 beginning after June 30, 1989, and ending prior to January  | 
 1, 2011, an amount equal to 4.8% of the taxpayer's net  | 
 income for the taxable year. | 
  (9) In the case of a corporation, for taxable years  | 
 beginning prior to January 1, 2011, and ending after  | 
 December 31, 2010, an amount equal to the sum of (i) 4.8%  | 
 of the taxpayer's net income for the period prior to  | 
 January 1, 2011, as calculated under Section 202.5, and  | 
 (ii) 7% of the taxpayer's net income for the period after  | 
 December 31, 2010, as calculated under Section 202.5.  | 
  (10) In the case of a corporation, for taxable years  | 
 beginning on or after January 1, 2011, and ending prior to  | 
 January 1, 2015, an amount equal to 7% of the taxpayer's  | 
 net income for the taxable year.  | 
 | 
  (11) In the case of a corporation, for taxable years  | 
 beginning prior to January 1, 2015, and ending after  | 
 December 31, 2014, an amount equal to the sum of (i) 7% of  | 
 the taxpayer's net income for the period prior to January  | 
 1, 2015, as calculated under Section 202.5, and (ii) 5.25%  | 
 of the taxpayer's net income for the period after December  | 
 31, 2014, as calculated under Section 202.5.  | 
  (12) In the case of a corporation, for taxable years  | 
 beginning on or after January 1, 2015, and ending prior to  | 
 July 1, 2017, an amount equal to 5.25% of the taxpayer's  | 
 net income for the taxable year.  | 
  (13) In the case of a corporation, for taxable years  | 
 beginning prior to July 1, 2017, and ending after June 30,  | 
 2017, an amount equal to the sum of (i) 5.25% of the  | 
 taxpayer's net income for the period prior to July 1,  | 
 2017, as calculated under Section 202.5, and (ii) 7% of  | 
 the taxpayer's net income for the period after June 30,  | 
 2017, as calculated under Section 202.5.  | 
  (14) In the case of a corporation, for taxable years  | 
 beginning on or after July 1, 2017, an amount equal to 7%  | 
 of the taxpayer's net income for the taxable year.  | 
 The rates under this subsection (b) are subject to the  | 
provisions of Section 201.5.  | 
 (b-5) Surcharge; sale or exchange of assets, properties,  | 
and intangibles of organization gaming licensees. For each of  | 
taxable years 2019 through 2027, a surcharge is imposed on all  | 
 | 
taxpayers on income arising from the sale or exchange of  | 
capital assets, depreciable business property, real property  | 
used in the trade or business, and Section 197 intangibles (i)  | 
of an organization licensee under the Illinois Horse Racing  | 
Act of 1975 and (ii) of an organization gaming licensee under  | 
the Illinois Gambling Act. The amount of the surcharge is  | 
equal to the amount of federal income tax liability for the  | 
taxable year attributable to those sales and exchanges. The  | 
surcharge imposed shall not apply if:  | 
  (1) the organization gaming license, organization  | 
 license, or racetrack property is transferred as a result  | 
 of any of the following: | 
   (A) bankruptcy, a receivership, or a debt  | 
 adjustment initiated by or against the initial  | 
 licensee or the substantial owners of the initial  | 
 licensee; | 
   (B) cancellation, revocation, or termination of  | 
 any such license by the Illinois Gaming Board or the  | 
 Illinois Racing Board; | 
   (C) a determination by the Illinois Gaming Board  | 
 that transfer of the license is in the best interests  | 
 of Illinois gaming; | 
   (D) the death of an owner of the equity interest in  | 
 a licensee; | 
   (E) the acquisition of a controlling interest in  | 
 the stock or substantially all of the assets of a  | 
 | 
 publicly traded company; | 
   (F) a transfer by a parent company to a wholly  | 
 owned subsidiary; or | 
   (G) the transfer or sale to or by one person to  | 
 another person where both persons were initial owners  | 
 of the license when the license was issued; or  | 
  (2) the controlling interest in the organization  | 
 gaming license, organization license, or racetrack  | 
 property is transferred in a transaction to lineal  | 
 descendants in which no gain or loss is recognized or as a  | 
 result of a transaction in accordance with Section 351 of  | 
 the Internal Revenue Code in which no gain or loss is  | 
 recognized; or | 
  (3) live horse racing was not conducted in 2010 at a  | 
 racetrack located within 3 miles of the Mississippi River  | 
 under a license issued pursuant to the Illinois Horse  | 
 Racing Act of 1975.  | 
 The transfer of an organization gaming license,  | 
organization license, or racetrack property by a person other  | 
than the initial licensee to receive the organization gaming  | 
license is not subject to a surcharge. The Department shall  | 
adopt rules necessary to implement and administer this  | 
subsection.  | 
 (c) Personal Property Tax Replacement Income Tax.  | 
Beginning on July 1, 1979 and thereafter, in addition to such  | 
income tax, there is also hereby imposed the Personal Property  | 
 | 
Tax Replacement Income Tax measured by net income on every  | 
corporation (including Subchapter S corporations), partnership  | 
and trust, for each taxable year ending after June 30, 1979.  | 
Such taxes are imposed on the privilege of earning or  | 
receiving income in or as a resident of this State. The  | 
Personal Property Tax Replacement Income Tax shall be in  | 
addition to the income tax imposed by subsections (a) and (b)  | 
of this Section and in addition to all other occupation or  | 
privilege taxes imposed by this State or by any municipal  | 
corporation or political subdivision thereof. | 
 (d) Additional Personal Property Tax Replacement Income  | 
Tax Rates. The personal property tax replacement income tax  | 
imposed by this subsection and subsection (c) of this Section  | 
in the case of a corporation, other than a Subchapter S  | 
corporation and except as adjusted by subsection (d-1), shall  | 
be an additional amount equal to 2.85% of such taxpayer's net  | 
income for the taxable year, except that beginning on January  | 
1, 1981, and thereafter, the rate of 2.85% specified in this  | 
subsection shall be reduced to 2.5%, and in the case of a  | 
partnership, trust or a Subchapter S corporation shall be an  | 
additional amount equal to 1.5% of such taxpayer's net income  | 
for the taxable year. | 
 (d-1) Rate reduction for certain foreign insurers. In the  | 
case of a foreign insurer, as defined by Section 35A-5 of the  | 
Illinois Insurance Code, whose state or country of domicile  | 
imposes on insurers domiciled in Illinois a retaliatory tax  | 
 | 
(excluding any insurer whose premiums from reinsurance assumed  | 
are 50% or more of its total insurance premiums as determined  | 
under paragraph (2) of subsection (b) of Section 304, except  | 
that for purposes of this determination premiums from  | 
reinsurance do not include premiums from inter-affiliate  | 
reinsurance arrangements), beginning with taxable years ending  | 
on or after December 31, 1999, the sum of the rates of tax  | 
imposed by subsections (b) and (d) shall be reduced (but not  | 
increased) to the rate at which the total amount of tax imposed  | 
under this Act, net of all credits allowed under this Act,  | 
shall equal (i) the total amount of tax that would be imposed  | 
on the foreign insurer's net income allocable to Illinois for  | 
the taxable year by such foreign insurer's state or country of  | 
domicile if that net income were subject to all income taxes  | 
and taxes measured by net income imposed by such foreign  | 
insurer's state or country of domicile, net of all credits  | 
allowed or (ii) a rate of zero if no such tax is imposed on  | 
such income by the foreign insurer's state of domicile. For  | 
the purposes of this subsection (d-1), an inter-affiliate  | 
includes a mutual insurer under common management. | 
  (1) For the purposes of subsection (d-1), in no event  | 
 shall the sum of the rates of tax imposed by subsections  | 
 (b) and (d) be reduced below the rate at which the sum of: | 
   (A) the total amount of tax imposed on such  | 
 foreign insurer under this Act for a taxable year, net  | 
 of all credits allowed under this Act, plus | 
 | 
   (B) the privilege tax imposed by Section 409 of  | 
 the Illinois Insurance Code, the fire insurance  | 
 company tax imposed by Section 12 of the Fire  | 
 Investigation Act, and the fire department taxes  | 
 imposed under Section 11-10-1 of the Illinois  | 
 Municipal Code, | 
 equals 1.25% for taxable years ending prior to December  | 
 31, 2003, or 1.75% for taxable years ending on or after  | 
 December 31, 2003, of the net taxable premiums written for  | 
 the taxable year, as described by subsection (1) of  | 
 Section 409 of the Illinois Insurance Code. This paragraph  | 
 will in no event increase the rates imposed under  | 
 subsections (b) and (d). | 
  (2) Any reduction in the rates of tax imposed by this  | 
 subsection shall be applied first against the rates  | 
 imposed by subsection (b) and only after the tax imposed  | 
 by subsection (a) net of all credits allowed under this  | 
 Section other than the credit allowed under subsection (i)  | 
 has been reduced to zero, against the rates imposed by  | 
 subsection (d). | 
 This subsection (d-1) is exempt from the provisions of  | 
Section 250. | 
 (e) Investment credit. A taxpayer shall be allowed a  | 
credit against the Personal Property Tax Replacement Income  | 
Tax for investment in qualified property. | 
  (1) A taxpayer shall be allowed a credit equal to .5%  | 
 | 
 of the basis of qualified property placed in service  | 
 during the taxable year, provided such property is placed  | 
 in service on or after July 1, 1984. There shall be allowed  | 
 an additional credit equal to .5% of the basis of  | 
 qualified property placed in service during the taxable  | 
 year, provided such property is placed in service on or  | 
 after July 1, 1986, and the taxpayer's base employment  | 
 within Illinois has increased by 1% or more over the  | 
 preceding year as determined by the taxpayer's employment  | 
 records filed with the Illinois Department of Employment  | 
 Security. Taxpayers who are new to Illinois shall be  | 
 deemed to have met the 1% growth in base employment for the  | 
 first year in which they file employment records with the  | 
 Illinois Department of Employment Security. The provisions  | 
 added to this Section by Public Act 85-1200 (and restored  | 
 by Public Act 87-895) shall be construed as declaratory of  | 
 existing law and not as a new enactment. If, in any year,  | 
 the increase in base employment within Illinois over the  | 
 preceding year is less than 1%, the additional credit  | 
 shall be limited to that percentage times a fraction, the  | 
 numerator of which is .5% and the denominator of which is  | 
 1%, but shall not exceed .5%. The investment credit shall  | 
 not be allowed to the extent that it would reduce a  | 
 taxpayer's liability in any tax year below zero, nor may  | 
 any credit for qualified property be allowed for any year  | 
 other than the year in which the property was placed in  | 
 | 
 service in Illinois. For tax years ending on or after  | 
 December 31, 1987, and on or before December 31, 1988, the  | 
 credit shall be allowed for the tax year in which the  | 
 property is placed in service, or, if the amount of the  | 
 credit exceeds the tax liability for that year, whether it  | 
 exceeds the original liability or the liability as later  | 
 amended, such excess may be carried forward and applied to  | 
 the tax liability of the 5 taxable years following the  | 
 excess credit years if the taxpayer (i) makes investments  | 
 which cause the creation of a minimum of 2,000 full-time  | 
 equivalent jobs in Illinois, (ii) is located in an  | 
 enterprise zone established pursuant to the Illinois  | 
 Enterprise Zone Act and (iii) is certified by the  | 
 Department of Commerce and Community Affairs (now  | 
 Department of Commerce and Economic Opportunity) as  | 
 complying with the requirements specified in clause (i)  | 
 and (ii) by July 1, 1986. The Department of Commerce and  | 
 Community Affairs (now Department of Commerce and Economic  | 
 Opportunity) shall notify the Department of Revenue of all  | 
 such certifications immediately. For tax years ending  | 
 after December 31, 1988, the credit shall be allowed for  | 
 the tax year in which the property is placed in service,  | 
 or, if the amount of the credit exceeds the tax liability  | 
 for that year, whether it exceeds the original liability  | 
 or the liability as later amended, such excess may be  | 
 carried forward and applied to the tax liability of the 5  | 
 | 
 taxable years following the excess credit years. The  | 
 credit shall be applied to the earliest year for which  | 
 there is a liability. If there is credit from more than one  | 
 tax year that is available to offset a liability, earlier  | 
 credit shall be applied first. | 
  (2) The term "qualified property" means property  | 
 which: | 
   (A) is tangible, whether new or used, including  | 
 buildings and structural components of buildings and  | 
 signs that are real property, but not including land  | 
 or improvements to real property that are not a  | 
 structural component of a building such as  | 
 landscaping, sewer lines, local access roads, fencing,  | 
 parking lots, and other appurtenances; | 
   (B) is depreciable pursuant to Section 167 of the  | 
 Internal Revenue Code, except that "3-year property"  | 
 as defined in Section 168(c)(2)(A) of that Code is not  | 
 eligible for the credit provided by this subsection  | 
 (e); | 
   (C) is acquired by purchase as defined in Section  | 
 179(d) of the Internal Revenue Code; | 
   (D) is used in Illinois by a taxpayer who is  | 
 primarily engaged in manufacturing, or in mining coal  | 
 or fluorite, or in retailing, or was placed in service  | 
 on or after July 1, 2006 in a River Edge Redevelopment  | 
 Zone established pursuant to the River Edge  | 
 | 
 Redevelopment Zone Act; and | 
   (E) has not previously been used in Illinois in  | 
 such a manner and by such a person as would qualify for  | 
 the credit provided by this subsection (e) or  | 
 subsection (f). | 
  (3) For purposes of this subsection (e),  | 
 "manufacturing" means the material staging and production  | 
 of tangible personal property by procedures commonly  | 
 regarded as manufacturing, processing, fabrication, or  | 
 assembling which changes some existing material into new  | 
 shapes, new qualities, or new combinations. For purposes  | 
 of this subsection (e) the term "mining" shall have the  | 
 same meaning as the term "mining" in Section 613(c) of the  | 
 Internal Revenue Code. For purposes of this subsection  | 
 (e), the term "retailing" means the sale of tangible  | 
 personal property for use or consumption and not for  | 
 resale, or services rendered in conjunction with the sale  | 
 of tangible personal property for use or consumption and  | 
 not for resale. For purposes of this subsection (e),  | 
 "tangible personal property" has the same meaning as when  | 
 that term is used in the Retailers' Occupation Tax Act,  | 
 and, for taxable years ending after December 31, 2008,  | 
 does not include the generation, transmission, or  | 
 distribution of electricity. | 
  (4) The basis of qualified property shall be the basis  | 
 used to compute the depreciation deduction for federal  | 
 | 
 income tax purposes. | 
  (5) If the basis of the property for federal income  | 
 tax depreciation purposes is increased after it has been  | 
 placed in service in Illinois by the taxpayer, the amount  | 
 of such increase shall be deemed property placed in  | 
 service on the date of such increase in basis. | 
  (6) The term "placed in service" shall have the same  | 
 meaning as under Section 46 of the Internal Revenue Code. | 
  (7) If during any taxable year, any property ceases to  | 
 be qualified property in the hands of the taxpayer within  | 
 48 months after being placed in service, or the situs of  | 
 any qualified property is moved outside Illinois within 48  | 
 months after being placed in service, the Personal  | 
 Property Tax Replacement Income Tax for such taxable year  | 
 shall be increased. Such increase shall be determined by  | 
 (i) recomputing the investment credit which would have  | 
 been allowed for the year in which credit for such  | 
 property was originally allowed by eliminating such  | 
 property from such computation and, (ii) subtracting such  | 
 recomputed credit from the amount of credit previously  | 
 allowed. For the purposes of this paragraph (7), a  | 
 reduction of the basis of qualified property resulting  | 
 from a redetermination of the purchase price shall be  | 
 deemed a disposition of qualified property to the extent  | 
 of such reduction. | 
  (8) Unless the investment credit is extended by law,  | 
 | 
 the basis of qualified property shall not include costs  | 
 incurred after December 31, 2018, except for costs  | 
 incurred pursuant to a binding contract entered into on or  | 
 before December 31, 2018. | 
  (9) Each taxable year ending before December 31, 2000,  | 
 a partnership may elect to pass through to its partners  | 
 the credits to which the partnership is entitled under  | 
 this subsection (e) for the taxable year. A partner may  | 
 use the credit allocated to him or her under this  | 
 paragraph only against the tax imposed in subsections (c)  | 
 and (d) of this Section. If the partnership makes that  | 
 election, those credits shall be allocated among the  | 
 partners in the partnership in accordance with the rules  | 
 set forth in Section 704(b) of the Internal Revenue Code,  | 
 and the rules promulgated under that Section, and the  | 
 allocated amount of the credits shall be allowed to the  | 
 partners for that taxable year. The partnership shall make  | 
 this election on its Personal Property Tax Replacement  | 
 Income Tax return for that taxable year. The election to  | 
 pass through the credits shall be irrevocable. | 
  For taxable years ending on or after December 31,  | 
 2000, a partner that qualifies its partnership for a  | 
 subtraction under subparagraph (I) of paragraph (2) of  | 
 subsection (d) of Section 203 or a shareholder that  | 
 qualifies a Subchapter S corporation for a subtraction  | 
 under subparagraph (S) of paragraph (2) of subsection (b)  | 
 | 
 of Section 203 shall be allowed a credit under this  | 
 subsection (e) equal to its share of the credit earned  | 
 under this subsection (e) during the taxable year by the  | 
 partnership or Subchapter S corporation, determined in  | 
 accordance with the determination of income and  | 
 distributive share of income under Sections 702 and 704  | 
 and Subchapter S of the Internal Revenue Code. This  | 
 paragraph is exempt from the provisions of Section 250. | 
 (f) Investment credit; Enterprise Zone; River Edge  | 
Redevelopment Zone. | 
  (1) A taxpayer shall be allowed a credit against the  | 
 tax imposed by subsections (a) and (b) of this Section for  | 
 investment in qualified property which is placed in  | 
 service in an Enterprise Zone created pursuant to the  | 
 Illinois Enterprise Zone Act or, for property placed in  | 
 service on or after July 1, 2006, a River Edge  | 
 Redevelopment Zone established pursuant to the River Edge  | 
 Redevelopment Zone Act. For partners, shareholders of  | 
 Subchapter S corporations, and owners of limited liability  | 
 companies, if the liability company is treated as a  | 
 partnership for purposes of federal and State income  | 
 taxation, for taxable years ending before December 31,  | 
 2023, there shall be allowed a credit under this  | 
 subsection (f) to be determined in accordance with the  | 
 determination of income and distributive share of income  | 
 under Sections 702 and 704 and Subchapter S of the  | 
 | 
 Internal Revenue Code. For taxable years ending on or  | 
 after December 31, 2023, for partners and shareholders of  | 
 Subchapter S corporations, the provisions of Section 251  | 
 shall apply with respect to the credit under this  | 
 subsection. The credit shall be .5% of the basis for such  | 
 property. The credit shall be available only in the  | 
 taxable year in which the property is placed in service in  | 
 the Enterprise Zone or River Edge Redevelopment Zone and  | 
 shall not be allowed to the extent that it would reduce a  | 
 taxpayer's liability for the tax imposed by subsections  | 
 (a) and (b) of this Section to below zero. For tax years  | 
 ending on or after December 31, 1985, the credit shall be  | 
 allowed for the tax year in which the property is placed in  | 
 service, or, if the amount of the credit exceeds the tax  | 
 liability for that year, whether it exceeds the original  | 
 liability or the liability as later amended, such excess  | 
 may be carried forward and applied to the tax liability of  | 
 the 5 taxable years following the excess credit year. The  | 
 credit shall be applied to the earliest year for which  | 
 there is a liability. If there is credit from more than one  | 
 tax year that is available to offset a liability, the  | 
 credit accruing first in time shall be applied first. | 
  (2) The term qualified property means property which: | 
   (A) is tangible, whether new or used, including  | 
 buildings and structural components of buildings; | 
   (B) is depreciable pursuant to Section 167 of the  | 
 | 
 Internal Revenue Code, except that "3-year property"  | 
 as defined in Section 168(c)(2)(A) of that Code is not  | 
 eligible for the credit provided by this subsection  | 
 (f); | 
   (C) is acquired by purchase as defined in Section  | 
 179(d) of the Internal Revenue Code; | 
   (D) is used in the Enterprise Zone or River Edge  | 
 Redevelopment Zone by the taxpayer; and | 
   (E) has not been previously used in Illinois in  | 
 such a manner and by such a person as would qualify for  | 
 the credit provided by this subsection (f) or  | 
 subsection (e). | 
  (3) The basis of qualified property shall be the basis  | 
 used to compute the depreciation deduction for federal  | 
 income tax purposes. | 
  (4) If the basis of the property for federal income  | 
 tax depreciation purposes is increased after it has been  | 
 placed in service in the Enterprise Zone or River Edge  | 
 Redevelopment Zone by the taxpayer, the amount of such  | 
 increase shall be deemed property placed in service on the  | 
 date of such increase in basis. | 
  (5) The term "placed in service" shall have the same  | 
 meaning as under Section 46 of the Internal Revenue Code. | 
  (6) If during any taxable year, any property ceases to  | 
 be qualified property in the hands of the taxpayer within  | 
 48 months after being placed in service, or the situs of  | 
 | 
 any qualified property is moved outside the Enterprise  | 
 Zone or River Edge Redevelopment Zone within 48 months  | 
 after being placed in service, the tax imposed under  | 
 subsections (a) and (b) of this Section for such taxable  | 
 year shall be increased. Such increase shall be determined  | 
 by (i) recomputing the investment credit which would have  | 
 been allowed for the year in which credit for such  | 
 property was originally allowed by eliminating such  | 
 property from such computation, and (ii) subtracting such  | 
 recomputed credit from the amount of credit previously  | 
 allowed. For the purposes of this paragraph (6), a  | 
 reduction of the basis of qualified property resulting  | 
 from a redetermination of the purchase price shall be  | 
 deemed a disposition of qualified property to the extent  | 
 of such reduction. | 
  (7) There shall be allowed an additional credit equal  | 
 to 0.5% of the basis of qualified property placed in  | 
 service during the taxable year in a River Edge  | 
 Redevelopment Zone, provided such property is placed in  | 
 service on or after July 1, 2006, and the taxpayer's base  | 
 employment within Illinois has increased by 1% or more  | 
 over the preceding year as determined by the taxpayer's  | 
 employment records filed with the Illinois Department of  | 
 Employment Security. Taxpayers who are new to Illinois  | 
 shall be deemed to have met the 1% growth in base  | 
 employment for the first year in which they file  | 
 | 
 employment records with the Illinois Department of  | 
 Employment Security. If, in any year, the increase in base  | 
 employment within Illinois over the preceding year is less  | 
 than 1%, the additional credit shall be limited to that  | 
 percentage times a fraction, the numerator of which is  | 
 0.5% and the denominator of which is 1%, but shall not  | 
 exceed 0.5%.  | 
  (8) For taxable years beginning on or after January 1,  | 
 2021, there shall be allowed an Enterprise Zone  | 
 construction jobs credit against the taxes imposed under  | 
 subsections (a) and (b) of this Section as provided in  | 
 Section 13 of the Illinois Enterprise Zone Act.  | 
  The credit or credits may not reduce the taxpayer's  | 
 liability to less than zero. If the amount of the credit or  | 
 credits exceeds the taxpayer's liability, the excess may  | 
 be carried forward and applied against the taxpayer's  | 
 liability in succeeding calendar years in the same manner  | 
 provided under paragraph (4) of Section 211 of this Act.  | 
 The credit or credits shall be applied to the earliest  | 
 year for which there is a tax liability. If there are  | 
 credits from more than one taxable year that are available  | 
 to offset a liability, the earlier credit shall be applied  | 
 first.  | 
  For partners, shareholders of Subchapter S  | 
 corporations, and owners of limited liability companies,  | 
 if the liability company is treated as a partnership for  | 
 | 
 the purposes of federal and State income taxation, for  | 
 taxable years ending before December 31, 2023, there shall  | 
 be allowed a credit under this Section to be determined in  | 
 accordance with the determination of income and  | 
 distributive share of income under Sections 702 and 704  | 
 and Subchapter S of the Internal Revenue Code. For taxable  | 
 years ending on or after December 31, 2023, for partners  | 
 and shareholders of Subchapter S corporations, the  | 
 provisions of Section 251 shall apply with respect to the  | 
 credit under this subsection. | 
  The total aggregate amount of credits awarded under  | 
 the Blue Collar Jobs Act (Article 20 of Public Act 101-9)  | 
 shall not exceed $20,000,000 in any State fiscal year.  | 
  This paragraph (8) is exempt from the provisions of  | 
 Section 250.  | 
 (g) (Blank). | 
 (h) Investment credit; High Impact Business. | 
  (1) Subject to subsections (b) and (b-5) of Section  | 
 5.5 of the Illinois Enterprise Zone Act, a taxpayer shall  | 
 be allowed a credit against the tax imposed by subsections  | 
 (a) and (b) of this Section for investment in qualified  | 
 property which is placed in service by a Department of  | 
 Commerce and Economic Opportunity designated High Impact  | 
 Business. The credit shall be .5% of the basis for such  | 
 property. The credit shall not be available (i) until the  | 
 minimum investments in qualified property set forth in  | 
 | 
 subdivision (a)(3)(A) of Section 5.5 of the Illinois  | 
 Enterprise Zone Act have been satisfied or (ii) until the  | 
 time authorized in subsection (b-5) of the Illinois  | 
 Enterprise Zone Act for entities designated as High Impact  | 
 Businesses under subdivisions (a)(3)(B), (a)(3)(C), and  | 
 (a)(3)(D) of Section 5.5 of the Illinois Enterprise Zone  | 
 Act, and shall not be allowed to the extent that it would  | 
 reduce a taxpayer's liability for the tax imposed by  | 
 subsections (a) and (b) of this Section to below zero. The  | 
 credit applicable to such investments shall be taken in  | 
 the taxable year in which such investments have been  | 
 completed. The credit for additional investments beyond  | 
 the minimum investment by a designated high impact  | 
 business authorized under subdivision (a)(3)(A) of Section  | 
 5.5 of the Illinois Enterprise Zone Act shall be available  | 
 only in the taxable year in which the property is placed in  | 
 service and shall not be allowed to the extent that it  | 
 would reduce a taxpayer's liability for the tax imposed by  | 
 subsections (a) and (b) of this Section to below zero. For  | 
 tax years ending on or after December 31, 1987, the credit  | 
 shall be allowed for the tax year in which the property is  | 
 placed in service, or, if the amount of the credit exceeds  | 
 the tax liability for that year, whether it exceeds the  | 
 original liability or the liability as later amended, such  | 
 excess may be carried forward and applied to the tax  | 
 liability of the 5 taxable years following the excess  | 
 | 
 credit year. The credit shall be applied to the earliest  | 
 year for which there is a liability. If there is credit  | 
 from more than one tax year that is available to offset a  | 
 liability, the credit accruing first in time shall be  | 
 applied first. | 
  Changes made in this subdivision (h)(1) by Public Act  | 
 88-670 restore changes made by Public Act 85-1182 and  | 
 reflect existing law. | 
  (2) The term qualified property means property which: | 
   (A) is tangible, whether new or used, including  | 
 buildings and structural components of buildings; | 
   (B) is depreciable pursuant to Section 167 of the  | 
 Internal Revenue Code, except that "3-year property"  | 
 as defined in Section 168(c)(2)(A) of that Code is not  | 
 eligible for the credit provided by this subsection  | 
 (h); | 
   (C) is acquired by purchase as defined in Section  | 
 179(d) of the Internal Revenue Code; and | 
   (D) is not eligible for the Enterprise Zone  | 
 Investment Credit provided by subsection (f) of this  | 
 Section. | 
  (3) The basis of qualified property shall be the basis  | 
 used to compute the depreciation deduction for federal  | 
 income tax purposes. | 
  (4) If the basis of the property for federal income  | 
 tax depreciation purposes is increased after it has been  | 
 | 
 placed in service in a federally designated Foreign Trade  | 
 Zone or Sub-Zone located in Illinois by the taxpayer, the  | 
 amount of such increase shall be deemed property placed in  | 
 service on the date of such increase in basis. | 
  (5) The term "placed in service" shall have the same  | 
 meaning as under Section 46 of the Internal Revenue Code. | 
  (6) If during any taxable year ending on or before  | 
 December 31, 1996, any property ceases to be qualified  | 
 property in the hands of the taxpayer within 48 months  | 
 after being placed in service, or the situs of any  | 
 qualified property is moved outside Illinois within 48  | 
 months after being placed in service, the tax imposed  | 
 under subsections (a) and (b) of this Section for such  | 
 taxable year shall be increased. Such increase shall be  | 
 determined by (i) recomputing the investment credit which  | 
 would have been allowed for the year in which credit for  | 
 such property was originally allowed by eliminating such  | 
 property from such computation, and (ii) subtracting such  | 
 recomputed credit from the amount of credit previously  | 
 allowed. For the purposes of this paragraph (6), a  | 
 reduction of the basis of qualified property resulting  | 
 from a redetermination of the purchase price shall be  | 
 deemed a disposition of qualified property to the extent  | 
 of such reduction. | 
  (7) Beginning with tax years ending after December 31,  | 
 1996, if a taxpayer qualifies for the credit under this  | 
 | 
 subsection (h) and thereby is granted a tax abatement and  | 
 the taxpayer relocates its entire facility in violation of  | 
 the explicit terms and length of the contract under  | 
 Section 18-183 of the Property Tax Code, the tax imposed  | 
 under subsections (a) and (b) of this Section shall be  | 
 increased for the taxable year in which the taxpayer  | 
 relocated its facility by an amount equal to the amount of  | 
 credit received by the taxpayer under this subsection (h). | 
 (h-5) High Impact Business construction jobs credit. For  | 
taxable years beginning on or after January 1, 2021, there  | 
shall also be allowed a High Impact Business construction jobs  | 
credit against the tax imposed under subsections (a) and (b)  | 
of this Section as provided in subsections (i) and (j) of  | 
Section 5.5 of the Illinois Enterprise Zone Act.  | 
 The credit or credits may not reduce the taxpayer's  | 
liability to less than zero. If the amount of the credit or  | 
credits exceeds the taxpayer's liability, the excess may be  | 
carried forward and applied against the taxpayer's liability  | 
in succeeding calendar years in the manner provided under  | 
paragraph (4) of Section 211 of this Act. The credit or credits  | 
shall be applied to the earliest year for which there is a tax  | 
liability. If there are credits from more than one taxable  | 
year that are available to offset a liability, the earlier  | 
credit shall be applied first.  | 
 For partners, shareholders of Subchapter S corporations,  | 
and owners of limited liability companies, for taxable years  | 
 | 
ending before December 31, 2023, if the liability company is  | 
treated as a partnership for the purposes of federal and State  | 
income taxation, there shall be allowed a credit under this  | 
Section to be determined in accordance with the determination  | 
of income and distributive share of income under Sections 702  | 
and 704 and Subchapter S of the Internal Revenue Code. For  | 
taxable years ending on or after December 31, 2023, for  | 
partners and shareholders of Subchapter S corporations, the  | 
provisions of Section 251 shall apply with respect to the  | 
credit under this subsection. | 
 The total aggregate amount of credits awarded under the  | 
Blue Collar Jobs Act (Article 20 of Public Act 101-9) shall not  | 
exceed $20,000,000 in any State fiscal year.  | 
 This subsection (h-5) is exempt from the provisions of  | 
Section 250.  | 
 (i) Credit for Personal Property Tax Replacement Income  | 
Tax. For tax years ending prior to December 31, 2003, a credit  | 
shall be allowed against the tax imposed by subsections (a)  | 
and (b) of this Section for the tax imposed by subsections (c)  | 
and (d) of this Section. This credit shall be computed by  | 
multiplying the tax imposed by subsections (c) and (d) of this  | 
Section by a fraction, the numerator of which is base income  | 
allocable to Illinois and the denominator of which is Illinois  | 
base income, and further multiplying the product by the tax  | 
rate imposed by subsections (a) and (b) of this Section. | 
 Any credit earned on or after December 31, 1986 under this  | 
 | 
subsection which is unused in the year the credit is computed  | 
because it exceeds the tax liability imposed by subsections  | 
(a) and (b) for that year (whether it exceeds the original  | 
liability or the liability as later amended) may be carried  | 
forward and applied to the tax liability imposed by  | 
subsections (a) and (b) of the 5 taxable years following the  | 
excess credit year, provided that no credit may be carried  | 
forward to any year ending on or after December 31, 2003. This  | 
credit shall be applied first to the earliest year for which  | 
there is a liability. If there is a credit under this  | 
subsection from more than one tax year that is available to  | 
offset a liability the earliest credit arising under this  | 
subsection shall be applied first. | 
 If, during any taxable year ending on or after December  | 
31, 1986, the tax imposed by subsections (c) and (d) of this  | 
Section for which a taxpayer has claimed a credit under this  | 
subsection (i) is reduced, the amount of credit for such tax  | 
shall also be reduced. Such reduction shall be determined by  | 
recomputing the credit to take into account the reduced tax  | 
imposed by subsections (c) and (d). If any portion of the  | 
reduced amount of credit has been carried to a different  | 
taxable year, an amended return shall be filed for such  | 
taxable year to reduce the amount of credit claimed. | 
 (j) Training expense credit. Beginning with tax years  | 
ending on or after December 31, 1986 and prior to December 31,  | 
2003, a taxpayer shall be allowed a credit against the tax  | 
 | 
imposed by subsections (a) and (b) under this Section for all  | 
amounts paid or accrued, on behalf of all persons employed by  | 
the taxpayer in Illinois or Illinois residents employed  | 
outside of Illinois by a taxpayer, for educational or  | 
vocational training in semi-technical or technical fields or  | 
semi-skilled or skilled fields, which were deducted from gross  | 
income in the computation of taxable income. The credit  | 
against the tax imposed by subsections (a) and (b) shall be  | 
1.6% of such training expenses. For partners, shareholders of  | 
subchapter S corporations, and owners of limited liability  | 
companies, if the liability company is treated as a  | 
partnership for purposes of federal and State income taxation,  | 
for taxable years ending before December 31, 2023, there shall  | 
be allowed a credit under this subsection (j) to be determined  | 
in accordance with the determination of income and  | 
distributive share of income under Sections 702 and 704 and  | 
subchapter S of the Internal Revenue Code. For taxable years  | 
ending on or after December 31, 2023, for partners and  | 
shareholders of Subchapter S corporations, the provisions of  | 
Section 251 shall apply with respect to the credit under this  | 
subsection. | 
 Any credit allowed under this subsection which is unused  | 
in the year the credit is earned may be carried forward to each  | 
of the 5 taxable years following the year for which the credit  | 
is first computed until it is used. This credit shall be  | 
applied first to the earliest year for which there is a  | 
 | 
liability. If there is a credit under this subsection from  | 
more than one tax year that is available to offset a liability,  | 
the earliest credit arising under this subsection shall be  | 
applied first. No carryforward credit may be claimed in any  | 
tax year ending on or after December 31, 2003. | 
 (k) Research and development credit. For tax years ending  | 
after July 1, 1990 and prior to December 31, 2003, and  | 
beginning again for tax years ending on or after December 31,  | 
2004, and ending prior to January 1, 2027, a taxpayer shall be  | 
allowed a credit against the tax imposed by subsections (a)  | 
and (b) of this Section for increasing research activities in  | 
this State. The credit allowed against the tax imposed by  | 
subsections (a) and (b) shall be equal to 6 1/2% of the  | 
qualifying expenditures for increasing research activities in  | 
this State. For partners, shareholders of subchapter S  | 
corporations, and owners of limited liability companies, if  | 
the liability company is treated as a partnership for purposes  | 
of federal and State income taxation, for taxable years ending  | 
before December 31, 2023, there shall be allowed a credit  | 
under this subsection to be determined in accordance with the  | 
determination of income and distributive share of income under  | 
Sections 702 and 704 and subchapter S of the Internal Revenue  | 
Code. For taxable years ending on or after December 31, 2023,  | 
for partners and shareholders of Subchapter S corporations,  | 
the provisions of Section 251 shall apply with respect to the  | 
credit under this subsection. | 
 | 
 For purposes of this subsection, "qualifying expenditures"  | 
means the qualifying expenditures as defined for the federal  | 
credit for increasing research activities which would be  | 
allowable under Section 41 of the Internal Revenue Code and  | 
which are conducted in this State, "qualifying expenditures  | 
for increasing research activities in this State" means the  | 
excess of qualifying expenditures for the taxable year in  | 
which incurred over qualifying expenditures for the base  | 
period, "qualifying expenditures for the base period" means  | 
the average of the qualifying expenditures for each year in  | 
the base period, and "base period" means the 3 taxable years  | 
immediately preceding the taxable year for which the  | 
determination is being made. | 
 Any credit in excess of the tax liability for the taxable  | 
year may be carried forward. A taxpayer may elect to have the  | 
unused credit shown on its final completed return carried over  | 
as a credit against the tax liability for the following 5  | 
taxable years or until it has been fully used, whichever  | 
occurs first; provided that no credit earned in a tax year  | 
ending prior to December 31, 2003 may be carried forward to any  | 
year ending on or after December 31, 2003. | 
 If an unused credit is carried forward to a given year from  | 
2 or more earlier years, that credit arising in the earliest  | 
year will be applied first against the tax liability for the  | 
given year. If a tax liability for the given year still  | 
remains, the credit from the next earliest year will then be  | 
 | 
applied, and so on, until all credits have been used or no tax  | 
liability for the given year remains. Any remaining unused  | 
credit or credits then will be carried forward to the next  | 
following year in which a tax liability is incurred, except  | 
that no credit can be carried forward to a year which is more  | 
than 5 years after the year in which the expense for which the  | 
credit is given was incurred. | 
 No inference shall be drawn from Public Act 91-644 in  | 
construing this Section for taxable years beginning before  | 
January 1, 1999. | 
 It is the intent of the General Assembly that the research  | 
and development credit under this subsection (k) shall apply  | 
continuously for all tax years ending on or after December 31,  | 
2004 and ending prior to January 1, 2027, including, but not  | 
limited to, the period beginning on January 1, 2016 and ending  | 
on July 6, 2017 (the effective date of Public Act 100-22). All  | 
actions taken in reliance on the continuation of the credit  | 
under this subsection (k) by any taxpayer are hereby  | 
validated.  | 
 (l) Environmental Remediation Tax Credit. | 
  (i) For tax years ending after December 31, 1997 and  | 
 on or before December 31, 2001, a taxpayer shall be  | 
 allowed a credit against the tax imposed by subsections  | 
 (a) and (b) of this Section for certain amounts paid for  | 
 unreimbursed eligible remediation costs, as specified in  | 
 this subsection. For purposes of this Section,  | 
 | 
 "unreimbursed eligible remediation costs" means costs  | 
 approved by the Illinois Environmental Protection Agency  | 
 ("Agency") under Section 58.14 of the Environmental  | 
 Protection Act that were paid in performing environmental  | 
 remediation at a site for which a No Further Remediation  | 
 Letter was issued by the Agency and recorded under Section  | 
 58.10 of the Environmental Protection Act. The credit must  | 
 be claimed for the taxable year in which Agency approval  | 
 of the eligible remediation costs is granted. The credit  | 
 is not available to any taxpayer if the taxpayer or any  | 
 related party caused or contributed to, in any material  | 
 respect, a release of regulated substances on, in, or  | 
 under the site that was identified and addressed by the  | 
 remedial action pursuant to the Site Remediation Program  | 
 of the Environmental Protection Act. After the Pollution  | 
 Control Board rules are adopted pursuant to the Illinois  | 
 Administrative Procedure Act for the administration and  | 
 enforcement of Section 58.9 of the Environmental  | 
 Protection Act, determinations as to credit availability  | 
 for purposes of this Section shall be made consistent with  | 
 those rules. For purposes of this Section, "taxpayer"  | 
 includes a person whose tax attributes the taxpayer has  | 
 succeeded to under Section 381 of the Internal Revenue  | 
 Code and "related party" includes the persons disallowed a  | 
 deduction for losses by paragraphs (b), (c), and (f)(1) of  | 
 Section 267 of the Internal Revenue Code by virtue of  | 
 | 
 being a related taxpayer, as well as any of its partners.  | 
 The credit allowed against the tax imposed by subsections  | 
 (a) and (b) shall be equal to 25% of the unreimbursed  | 
 eligible remediation costs in excess of $100,000 per site,  | 
 except that the $100,000 threshold shall not apply to any  | 
 site contained in an enterprise zone as determined by the  | 
 Department of Commerce and Community Affairs (now  | 
 Department of Commerce and Economic Opportunity). The  | 
 total credit allowed shall not exceed $40,000 per year  | 
 with a maximum total of $150,000 per site. For partners  | 
 and shareholders of subchapter S corporations, there shall  | 
 be allowed a credit under this subsection to be determined  | 
 in accordance with the determination of income and  | 
 distributive share of income under Sections 702 and 704  | 
 and subchapter S of the Internal Revenue Code. | 
  (ii) A credit allowed under this subsection that is  | 
 unused in the year the credit is earned may be carried  | 
 forward to each of the 5 taxable years following the year  | 
 for which the credit is first earned until it is used. The  | 
 term "unused credit" does not include any amounts of  | 
 unreimbursed eligible remediation costs in excess of the  | 
 maximum credit per site authorized under paragraph (i).  | 
 This credit shall be applied first to the earliest year  | 
 for which there is a liability. If there is a credit under  | 
 this subsection from more than one tax year that is  | 
 available to offset a liability, the earliest credit  | 
 | 
 arising under this subsection shall be applied first. A  | 
 credit allowed under this subsection may be sold to a  | 
 buyer as part of a sale of all or part of the remediation  | 
 site for which the credit was granted. The purchaser of a  | 
 remediation site and the tax credit shall succeed to the  | 
 unused credit and remaining carry-forward period of the  | 
 seller. To perfect the transfer, the assignor shall record  | 
 the transfer in the chain of title for the site and provide  | 
 written notice to the Director of the Illinois Department  | 
 of Revenue of the assignor's intent to sell the  | 
 remediation site and the amount of the tax credit to be  | 
 transferred as a portion of the sale. In no event may a  | 
 credit be transferred to any taxpayer if the taxpayer or a  | 
 related party would not be eligible under the provisions  | 
 of subsection (i). | 
  (iii) For purposes of this Section, the term "site"  | 
 shall have the same meaning as under Section 58.2 of the  | 
 Environmental Protection Act. | 
 (m) Education expense credit. Beginning with tax years  | 
ending after December 31, 1999, a taxpayer who is the  | 
custodian of one or more qualifying pupils shall be allowed a  | 
credit against the tax imposed by subsections (a) and (b) of  | 
this Section for qualified education expenses incurred on  | 
behalf of the qualifying pupils. The credit shall be equal to  | 
25% of qualified education expenses, but in no event may the  | 
total credit under this subsection claimed by a family that is  | 
 | 
the custodian of qualifying pupils exceed (i) $500 for tax  | 
years ending prior to December 31, 2017, and (ii) $750 for tax  | 
years ending on or after December 31, 2017. In no event shall a  | 
credit under this subsection reduce the taxpayer's liability  | 
under this Act to less than zero. Notwithstanding any other  | 
provision of law, for taxable years beginning on or after  | 
January 1, 2017, no taxpayer may claim a credit under this  | 
subsection (m) if the taxpayer's adjusted gross income for the  | 
taxable year exceeds (i) $500,000, in the case of spouses  | 
filing a joint federal tax return or (ii) $250,000, in the case  | 
of all other taxpayers. This subsection is exempt from the  | 
provisions of Section 250 of this Act. | 
 For purposes of this subsection: | 
 "Qualifying pupils" means individuals who (i) are  | 
residents of the State of Illinois, (ii) are under the age of  | 
21 at the close of the school year for which a credit is  | 
sought, and (iii) during the school year for which a credit is  | 
sought were full-time pupils enrolled in a kindergarten  | 
through twelfth grade education program at any school, as  | 
defined in this subsection. | 
 "Qualified education expense" means the amount incurred on  | 
behalf of a qualifying pupil in excess of $250 for tuition,  | 
book fees, and lab fees at the school in which the pupil is  | 
enrolled during the regular school year. | 
 "School" means any public or nonpublic elementary or  | 
secondary school in Illinois that is in compliance with Title  | 
 | 
VI of the Civil Rights Act of 1964 and attendance at which  | 
satisfies the requirements of Section 26-1 of the School Code,  | 
except that nothing shall be construed to require a child to  | 
attend any particular public or nonpublic school to qualify  | 
for the credit under this Section. | 
 "Custodian" means, with respect to qualifying pupils, an  | 
Illinois resident who is a parent, the parents, a legal  | 
guardian, or the legal guardians of the qualifying pupils. | 
 (n) River Edge Redevelopment Zone site remediation tax  | 
credit.  | 
  (i) For tax years ending on or after December 31,  | 
 2006, a taxpayer shall be allowed a credit against the tax  | 
 imposed by subsections (a) and (b) of this Section for  | 
 certain amounts paid for unreimbursed eligible remediation  | 
 costs, as specified in this subsection. For purposes of  | 
 this Section, "unreimbursed eligible remediation costs"  | 
 means costs approved by the Illinois Environmental  | 
 Protection Agency ("Agency") under Section 58.14a of the  | 
 Environmental Protection Act that were paid in performing  | 
 environmental remediation at a site within a River Edge  | 
 Redevelopment Zone for which a No Further Remediation  | 
 Letter was issued by the Agency and recorded under Section  | 
 58.10 of the Environmental Protection Act. The credit must  | 
 be claimed for the taxable year in which Agency approval  | 
 of the eligible remediation costs is granted. The credit  | 
 is not available to any taxpayer if the taxpayer or any  | 
 | 
 related party caused or contributed to, in any material  | 
 respect, a release of regulated substances on, in, or  | 
 under the site that was identified and addressed by the  | 
 remedial action pursuant to the Site Remediation Program  | 
 of the Environmental Protection Act. Determinations as to  | 
 credit availability for purposes of this Section shall be  | 
 made consistent with rules adopted by the Pollution  | 
 Control Board pursuant to the Illinois Administrative  | 
 Procedure Act for the administration and enforcement of  | 
 Section 58.9 of the Environmental Protection Act. For  | 
 purposes of this Section, "taxpayer" includes a person  | 
 whose tax attributes the taxpayer has succeeded to under  | 
 Section 381 of the Internal Revenue Code and "related  | 
 party" includes the persons disallowed a deduction for  | 
 losses by paragraphs (b), (c), and (f)(1) of Section 267  | 
 of the Internal Revenue Code by virtue of being a related  | 
 taxpayer, as well as any of its partners. The credit  | 
 allowed against the tax imposed by subsections (a) and (b)  | 
 shall be equal to 25% of the unreimbursed eligible  | 
 remediation costs in excess of $100,000 per site. | 
  (ii) A credit allowed under this subsection that is  | 
 unused in the year the credit is earned may be carried  | 
 forward to each of the 5 taxable years following the year  | 
 for which the credit is first earned until it is used. This  | 
 credit shall be applied first to the earliest year for  | 
 which there is a liability. If there is a credit under this  | 
 | 
 subsection from more than one tax year that is available  | 
 to offset a liability, the earliest credit arising under  | 
 this subsection shall be applied first. A credit allowed  | 
 under this subsection may be sold to a buyer as part of a  | 
 sale of all or part of the remediation site for which the  | 
 credit was granted. The purchaser of a remediation site  | 
 and the tax credit shall succeed to the unused credit and  | 
 remaining carry-forward period of the seller. To perfect  | 
 the transfer, the assignor shall record the transfer in  | 
 the chain of title for the site and provide written notice  | 
 to the Director of the Illinois Department of Revenue of  | 
 the assignor's intent to sell the remediation site and the  | 
 amount of the tax credit to be transferred as a portion of  | 
 the sale. In no event may a credit be transferred to any  | 
 taxpayer if the taxpayer or a related party would not be  | 
 eligible under the provisions of subsection (i). | 
  (iii) For purposes of this Section, the term "site"  | 
 shall have the same meaning as under Section 58.2 of the  | 
 Environmental Protection Act. | 
 (o) For each of taxable years during the Compassionate Use  | 
of Medical Cannabis Program, a surcharge is imposed on all  | 
taxpayers on income arising from the sale or exchange of  | 
capital assets, depreciable business property, real property  | 
used in the trade or business, and Section 197 intangibles of  | 
an organization registrant under the Compassionate Use of  | 
Medical Cannabis Program Act. The amount of the surcharge is  | 
 | 
equal to the amount of federal income tax liability for the  | 
taxable year attributable to those sales and exchanges. The  | 
surcharge imposed does not apply if: | 
  (1) the medical cannabis cultivation center  | 
 registration, medical cannabis dispensary registration, or  | 
 the property of a registration is transferred as a result  | 
 of any of the following: | 
   (A) bankruptcy, a receivership, or a debt  | 
 adjustment initiated by or against the initial  | 
 registration or the substantial owners of the initial  | 
 registration; | 
   (B) cancellation, revocation, or termination of  | 
 any registration by the Illinois Department of Public  | 
 Health; | 
   (C) a determination by the Illinois Department of  | 
 Public Health that transfer of the registration is in  | 
 the best interests of Illinois qualifying patients as  | 
 defined by the Compassionate Use of Medical Cannabis  | 
 Program Act; | 
   (D) the death of an owner of the equity interest in  | 
 a registrant; | 
   (E) the acquisition of a controlling interest in  | 
 the stock or substantially all of the assets of a  | 
 publicly traded company; | 
   (F) a transfer by a parent company to a wholly  | 
 owned subsidiary; or | 
 | 
   (G) the transfer or sale to or by one person to  | 
 another person where both persons were initial owners  | 
 of the registration when the registration was issued;  | 
 or | 
  (2) the cannabis cultivation center registration,  | 
 medical cannabis dispensary registration, or the  | 
 controlling interest in a registrant's property is  | 
 transferred in a transaction to lineal descendants in  | 
 which no gain or loss is recognized or as a result of a  | 
 transaction in accordance with Section 351 of the Internal  | 
 Revenue Code in which no gain or loss is recognized. | 
 (p) Pass-through entity tax.  | 
  (1) For taxable years ending on or after December 31,  | 
 2021 and beginning prior to January 1, 2026, a partnership  | 
 (other than a publicly traded partnership under Section  | 
 7704 of the Internal Revenue Code) or Subchapter S  | 
 corporation may elect to apply the provisions of this  | 
 subsection. A separate election shall be made for each  | 
 taxable year. Such election shall be made at such time,  | 
 and in such form and manner as prescribed by the  | 
 Department, and, once made, is irrevocable.  | 
  (2) Entity-level tax. A partnership or Subchapter S  | 
 corporation electing to apply the provisions of this  | 
 subsection shall be subject to a tax for the privilege of  | 
 earning or receiving income in this State in an amount  | 
 equal to 4.95% of the taxpayer's net income for the  | 
 | 
 taxable year.  | 
  (3) Net income defined.  | 
   (A) In general. For purposes of paragraph (2), the  | 
 term net income has the same meaning as defined in  | 
 Section 202 of this Act, except that, for tax years  | 
 ending on or after December 31, 2023, a deduction  | 
 shall be allowed in computing base income for  | 
 distributions to a retired partner to the extent that  | 
 the partner's distributions are exempt from tax under  | 
 Section 203(a)(2)(F) of this Act. In addition, the  | 
 following modifications shall not apply:  | 
    (i) the standard exemption allowed under  | 
 Section 204;  | 
    (ii) the deduction for net losses allowed  | 
 under Section 207;  | 
    (iii) in the case of an S corporation, the  | 
 modification under Section 203(b)(2)(S); and  | 
    (iv) in the case of a partnership, the  | 
 modifications under Section 203(d)(2)(H) and  | 
 Section 203(d)(2)(I).  | 
   (B) Special rule for tiered partnerships. If a  | 
 taxpayer making the election under paragraph (1) is a  | 
 partner of another taxpayer making the election under  | 
 paragraph (1), net income shall be computed as  | 
 provided in subparagraph (A), except that the taxpayer  | 
 shall subtract its distributive share of the net  | 
 | 
 income of the electing partnership (including its  | 
 distributive share of the net income of the electing  | 
 partnership derived as a distributive share from  | 
 electing partnerships in which it is a partner).  | 
  (4) Credit for entity level tax. Each partner or  | 
 shareholder of a taxpayer making the election under this  | 
 Section shall be allowed a credit against the tax imposed  | 
 under subsections (a) and (b) of Section 201 of this Act  | 
 for the taxable year of the partnership or Subchapter S  | 
 corporation for which an election is in effect ending  | 
 within or with the taxable year of the partner or  | 
 shareholder in an amount equal to 4.95% times the partner  | 
 or shareholder's distributive share of the net income of  | 
 the electing partnership or Subchapter S corporation, but  | 
 not to exceed the partner's or shareholder's share of the  | 
 tax imposed under paragraph (1) which is actually paid by  | 
 the partnership or Subchapter S corporation. If the  | 
 taxpayer is a partnership or Subchapter S corporation that  | 
 is itself a partner of a partnership making the election  | 
 under paragraph (1), the credit under this paragraph shall  | 
 be allowed to the taxpayer's partners or shareholders (or  | 
 if the partner is a partnership or Subchapter S  | 
 corporation then its partners or shareholders) in  | 
 accordance with the determination of income and  | 
 distributive share of income under Sections 702 and 704  | 
 and Subchapter S of the Internal Revenue Code. If the  | 
 | 
 amount of the credit allowed under this paragraph exceeds  | 
 the partner's or shareholder's liability for tax imposed  | 
 under subsections (a) and (b) of Section 201 of this Act  | 
 for the taxable year, such excess shall be treated as an  | 
 overpayment for purposes of Section 909 of this Act.  | 
  (5) Nonresidents. A nonresident individual who is a  | 
 partner or shareholder of a partnership or Subchapter S  | 
 corporation for a taxable year for which an election is in  | 
 effect under paragraph (1) shall not be required to file  | 
 an income tax return under this Act for such taxable year  | 
 if the only source of net income of the individual (or the  | 
 individual and the individual's spouse in the case of a  | 
 joint return) is from an entity making the election under  | 
 paragraph (1) and the credit allowed to the partner or  | 
 shareholder under paragraph (4) equals or exceeds the  | 
 individual's liability for the tax imposed under  | 
 subsections (a) and (b) of Section 201 of this Act for the  | 
 taxable year. | 
  (6) Liability for tax. Except as provided in this  | 
 paragraph, a partnership or Subchapter S making the  | 
 election under paragraph (1) is liable for the  | 
 entity-level tax imposed under paragraph (2). If the  | 
 electing partnership or corporation fails to pay the full  | 
 amount of tax deemed assessed under paragraph (2), the  | 
 partners or shareholders shall be liable to pay the tax  | 
 assessed (including penalties and interest). Each partner  | 
 | 
 or shareholder shall be liable for the unpaid assessment  | 
 based on the ratio of the partner's or shareholder's share  | 
 of the net income of the partnership over the total net  | 
 income of the partnership. If the partnership or  | 
 Subchapter S corporation fails to pay the tax assessed  | 
 (including penalties and interest) and thereafter an  | 
 amount of such tax is paid by the partners or  | 
 shareholders, such amount shall not be collected from the  | 
 partnership or corporation.  | 
  (7) Foreign tax. For purposes of the credit allowed  | 
 under Section 601(b)(3) of this Act, tax paid by a  | 
 partnership or Subchapter S corporation to another state  | 
 which, as determined by the Department, is substantially  | 
 similar to the tax imposed under this subsection, shall be  | 
 considered tax paid by the partner or shareholder to the  | 
 extent that the partner's or shareholder's share of the  | 
 income of the partnership or Subchapter S corporation  | 
 allocated and apportioned to such other state bears to the  | 
 total income of the partnership or Subchapter S  | 
 corporation allocated or apportioned to such other state.  | 
  (8) Suspension of withholding. The provisions of  | 
 Section 709.5 of this Act shall not apply to a partnership  | 
 or Subchapter S corporation for the taxable year for which  | 
 an election under paragraph (1) is in effect.  | 
  (9) Requirement to pay estimated tax. For each taxable  | 
 year for which an election under paragraph (1) is in  | 
 | 
 effect, a partnership or Subchapter S corporation is  | 
 required to pay estimated tax for such taxable year under  | 
 Sections 803 and 804 of this Act if the amount payable as  | 
 estimated tax can reasonably be expected to exceed $500.  | 
  (10) The provisions of this subsection shall apply  | 
 only with respect to taxable years for which the  | 
 limitation on individual deductions applies under Section  | 
 164(b)(6) of the Internal Revenue Code.  | 
(Source: P.A. 102-558, eff. 8-20-21; 102-658, eff. 8-27-21;  | 
103-9, eff. 6-7-23; 103-396, eff. 1-1-24; revised 12-12-23.)
 | 
 (35 ILCS 5/203) | 
 Sec. 203. Base income defined.  | 
 (a) Individuals. | 
  (1) In general. In the case of an individual, base  | 
 income means an amount equal to the taxpayer's adjusted  | 
 gross income for the taxable year as modified by paragraph  | 
 (2). | 
  (2) Modifications. The adjusted gross income referred  | 
 to in paragraph (1) shall be modified by adding thereto  | 
 the sum of the following amounts: | 
   (A) An amount equal to all amounts paid or accrued  | 
 to the taxpayer as interest or dividends during the  | 
 taxable year to the extent excluded from gross income  | 
 in the computation of adjusted gross income, except  | 
 stock dividends of qualified public utilities  | 
 | 
 described in Section 305(e) of the Internal Revenue  | 
 Code; | 
   (B) An amount equal to the amount of tax imposed by  | 
 this Act to the extent deducted from gross income in  | 
 the computation of adjusted gross income for the  | 
 taxable year; | 
   (C) An amount equal to the amount received during  | 
 the taxable year as a recovery or refund of real  | 
 property taxes paid with respect to the taxpayer's  | 
 principal residence under the Revenue Act of 1939 and  | 
 for which a deduction was previously taken under  | 
 subparagraph (L) of this paragraph (2) prior to July  | 
 1, 1991, the retrospective application date of Article  | 
 4 of Public Act 87-17. In the case of multi-unit or  | 
 multi-use structures and farm dwellings, the taxes on  | 
 the taxpayer's principal residence shall be that  | 
 portion of the total taxes for the entire property  | 
 which is attributable to such principal residence; | 
   (D) An amount equal to the amount of the capital  | 
 gain deduction allowable under the Internal Revenue  | 
 Code, to the extent deducted from gross income in the  | 
 computation of adjusted gross income; | 
   (D-5) An amount, to the extent not included in  | 
 adjusted gross income, equal to the amount of money  | 
 withdrawn by the taxpayer in the taxable year from a  | 
 medical care savings account and the interest earned  | 
 | 
 on the account in the taxable year of a withdrawal  | 
 pursuant to subsection (b) of Section 20 of the  | 
 Medical Care Savings Account Act or subsection (b) of  | 
 Section 20 of the Medical Care Savings Account Act of  | 
 2000; | 
   (D-10) For taxable years ending after December 31,  | 
 1997, an amount equal to any eligible remediation  | 
 costs that the individual deducted in computing  | 
 adjusted gross income and for which the individual  | 
 claims a credit under subsection (l) of Section 201; | 
   (D-15) For taxable years 2001 and thereafter, an  | 
 amount equal to the bonus depreciation deduction taken  | 
 on the taxpayer's federal income tax return for the  | 
 taxable year under subsection (k) of Section 168 of  | 
 the Internal Revenue Code; | 
   (D-16) If the taxpayer sells, transfers, abandons,  | 
 or otherwise disposes of property for which the  | 
 taxpayer was required in any taxable year to make an  | 
 addition modification under subparagraph (D-15), then  | 
 an amount equal to the aggregate amount of the  | 
 deductions taken in all taxable years under  | 
 subparagraph (Z) with respect to that property. | 
   If the taxpayer continues to own property through  | 
 the last day of the last tax year for which a  | 
 subtraction is allowed with respect to that property  | 
 under subparagraph (Z) and for which the taxpayer was  | 
 | 
 allowed in any taxable year to make a subtraction  | 
 modification under subparagraph (Z), then an amount  | 
 equal to that subtraction modification.  | 
   The taxpayer is required to make the addition  | 
 modification under this subparagraph only once with  | 
 respect to any one piece of property; | 
   (D-17) An amount equal to the amount otherwise  | 
 allowed as a deduction in computing base income for  | 
 interest paid, accrued, or incurred, directly or  | 
 indirectly, (i) for taxable years ending on or after  | 
 December 31, 2004, to a foreign person who would be a  | 
 member of the same unitary business group but for the  | 
 fact that foreign person's business activity outside  | 
 the United States is 80% or more of the foreign  | 
 person's total business activity and (ii) for taxable  | 
 years ending on or after December 31, 2008, to a person  | 
 who would be a member of the same unitary business  | 
 group but for the fact that the person is prohibited  | 
 under Section 1501(a)(27) from being included in the  | 
 unitary business group because he or she is ordinarily  | 
 required to apportion business income under different  | 
 subsections of Section 304. The addition modification  | 
 required by this subparagraph shall be reduced to the  | 
 extent that dividends were included in base income of  | 
 the unitary group for the same taxable year and  | 
 received by the taxpayer or by a member of the  | 
 | 
 taxpayer's unitary business group (including amounts  | 
 included in gross income under Sections 951 through  | 
 964 of the Internal Revenue Code and amounts included  | 
 in gross income under Section 78 of the Internal  | 
 Revenue Code) with respect to the stock of the same  | 
 person to whom the interest was paid, accrued, or  | 
 incurred. | 
   This paragraph shall not apply to the following:  | 
    (i) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person who  | 
 is subject in a foreign country or state, other  | 
 than a state which requires mandatory unitary  | 
 reporting, to a tax on or measured by net income  | 
 with respect to such interest; or | 
    (ii) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person if  | 
 the taxpayer can establish, based on a  | 
 preponderance of the evidence, both of the  | 
 following: | 
     (a) the person, during the same taxable  | 
 year, paid, accrued, or incurred, the interest  | 
 to a person that is not a related member, and | 
     (b) the transaction giving rise to the  | 
 interest expense between the taxpayer and the  | 
 person did not have as a principal purpose the  | 
 avoidance of Illinois income tax, and is paid  | 
 | 
 pursuant to a contract or agreement that  | 
 reflects an arm's-length interest rate and  | 
 terms; or  | 
    (iii) the taxpayer can establish, based on  | 
 clear and convincing evidence, that the interest  | 
 paid, accrued, or incurred relates to a contract  | 
 or agreement entered into at arm's-length rates  | 
 and terms and the principal purpose for the  | 
 payment is not federal or Illinois tax avoidance;  | 
 or  | 
    (iv) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person if  | 
 the taxpayer establishes by clear and convincing  | 
 evidence that the adjustments are unreasonable; or  | 
 if the taxpayer and the Director agree in writing  | 
 to the application or use of an alternative method  | 
 of apportionment under Section 304(f).  | 
    Nothing in this subsection shall preclude the  | 
 Director from making any other adjustment  | 
 otherwise allowed under Section 404 of this Act  | 
 for any tax year beginning after the effective  | 
 date of this amendment provided such adjustment is  | 
 made pursuant to regulation adopted by the  | 
 Department and such regulations provide methods  | 
 and standards by which the Department will utilize  | 
 its authority under Section 404 of this Act;  | 
 | 
   (D-18) An amount equal to the amount of intangible  | 
 expenses and costs otherwise allowed as a deduction in  | 
 computing base income, and that were paid, accrued, or  | 
 incurred, directly or indirectly, (i) for taxable  | 
 years ending on or after December 31, 2004, to a  | 
 foreign person who would be a member of the same  | 
 unitary business group but for the fact that the  | 
 foreign person's business activity outside the United  | 
 States is 80% or more of that person's total business  | 
 activity and (ii) for taxable years ending on or after  | 
 December 31, 2008, to a person who would be a member of  | 
 the same unitary business group but for the fact that  | 
 the person is prohibited under Section 1501(a)(27)  | 
 from being included in the unitary business group  | 
 because he or she is ordinarily required to apportion  | 
 business income under different subsections of Section  | 
 304. The addition modification required by this  | 
 subparagraph shall be reduced to the extent that  | 
 dividends were included in base income of the unitary  | 
 group for the same taxable year and received by the  | 
 taxpayer or by a member of the taxpayer's unitary  | 
 business group (including amounts included in gross  | 
 income under Sections 951 through 964 of the Internal  | 
 Revenue Code and amounts included in gross income  | 
 under Section 78 of the Internal Revenue Code) with  | 
 respect to the stock of the same person to whom the  | 
 | 
 intangible expenses and costs were directly or  | 
 indirectly paid, incurred, or accrued. The preceding  | 
 sentence does not apply to the extent that the same  | 
 dividends caused a reduction to the addition  | 
 modification required under Section 203(a)(2)(D-17) of  | 
 this Act. As used in this subparagraph, the term  | 
 "intangible expenses and costs" includes (1) expenses,  | 
 losses, and costs for, or related to, the direct or  | 
 indirect acquisition, use, maintenance or management,  | 
 ownership, sale, exchange, or any other disposition of  | 
 intangible property; (2) losses incurred, directly or  | 
 indirectly, from factoring transactions or discounting  | 
 transactions; (3) royalty, patent, technical, and  | 
 copyright fees; (4) licensing fees; and (5) other  | 
 similar expenses and costs. For purposes of this  | 
 subparagraph, "intangible property" includes patents,  | 
 patent applications, trade names, trademarks, service  | 
 marks, copyrights, mask works, trade secrets, and  | 
 similar types of intangible assets. | 
   This paragraph shall not apply to the following: | 
    (i) any item of intangible expenses or costs  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, from a transaction with a person who  | 
 is subject in a foreign country or state, other  | 
 than a state which requires mandatory unitary  | 
 reporting, to a tax on or measured by net income  | 
 | 
 with respect to such item; or | 
    (ii) any item of intangible expense or cost  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, if the taxpayer can establish, based  | 
 on a preponderance of the evidence, both of the  | 
 following: | 
     (a) the person during the same taxable  | 
 year paid, accrued, or incurred, the  | 
 intangible expense or cost to a person that is  | 
 not a related member, and | 
     (b) the transaction giving rise to the  | 
 intangible expense or cost between the  | 
 taxpayer and the person did not have as a  | 
 principal purpose the avoidance of Illinois  | 
 income tax, and is paid pursuant to a contract  | 
 or agreement that reflects arm's-length terms;  | 
 or | 
    (iii) any item of intangible expense or cost  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, from a transaction with a person if  | 
 the taxpayer establishes by clear and convincing  | 
 evidence, that the adjustments are unreasonable;  | 
 or if the taxpayer and the Director agree in  | 
 writing to the application or use of an  | 
 alternative method of apportionment under Section  | 
 304(f);  | 
 | 
    Nothing in this subsection shall preclude the  | 
 Director from making any other adjustment  | 
 otherwise allowed under Section 404 of this Act  | 
 for any tax year beginning after the effective  | 
 date of this amendment provided such adjustment is  | 
 made pursuant to regulation adopted by the  | 
 Department and such regulations provide methods  | 
 and standards by which the Department will utilize  | 
 its authority under Section 404 of this Act;  | 
   (D-19) For taxable years ending on or after  | 
 December 31, 2008, an amount equal to the amount of  | 
 insurance premium expenses and costs otherwise allowed  | 
 as a deduction in computing base income, and that were  | 
 paid, accrued, or incurred, directly or indirectly, to  | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304. The  | 
 addition modification required by this subparagraph  | 
 shall be reduced to the extent that dividends were  | 
 included in base income of the unitary group for the  | 
 same taxable year and received by the taxpayer or by a  | 
 member of the taxpayer's unitary business group  | 
 (including amounts included in gross income under  | 
 | 
 Sections 951 through 964 of the Internal Revenue Code  | 
 and amounts included in gross income under Section 78  | 
 of the Internal Revenue Code) with respect to the  | 
 stock of the same person to whom the premiums and costs  | 
 were directly or indirectly paid, incurred, or  | 
 accrued. The preceding sentence does not apply to the  | 
 extent that the same dividends caused a reduction to  | 
 the addition modification required under Section  | 
 203(a)(2)(D-17) or Section 203(a)(2)(D-18) of this  | 
 Act;  | 
   (D-20) For taxable years beginning on or after  | 
 January 1, 2002 and ending on or before December 31,  | 
 2006, in the case of a distribution from a qualified  | 
 tuition program under Section 529 of the Internal  | 
 Revenue Code, other than (i) a distribution from a  | 
 College Savings Pool created under Section 16.5 of the  | 
 State Treasurer Act or (ii) a distribution from the  | 
 Illinois Prepaid Tuition Trust Fund, an amount equal  | 
 to the amount excluded from gross income under Section  | 
 529(c)(3)(B). For taxable years beginning on or after  | 
 January 1, 2007, in the case of a distribution from a  | 
 qualified tuition program under Section 529 of the  | 
 Internal Revenue Code, other than (i) a distribution  | 
 from a College Savings Pool created under Section 16.5  | 
 of the State Treasurer Act, (ii) a distribution from  | 
 the Illinois Prepaid Tuition Trust Fund, or (iii) a  | 
 | 
 distribution from a qualified tuition program under  | 
 Section 529 of the Internal Revenue Code that (I)  | 
 adopts and determines that its offering materials  | 
 comply with the College Savings Plans Network's  | 
 disclosure principles and (II) has made reasonable  | 
 efforts to inform in-state residents of the existence  | 
 of in-state qualified tuition programs by informing  | 
 Illinois residents directly and, where applicable, to  | 
 inform financial intermediaries distributing the  | 
 program to inform in-state residents of the existence  | 
 of in-state qualified tuition programs at least  | 
 annually, an amount equal to the amount excluded from  | 
 gross income under Section 529(c)(3)(B). | 
   For the purposes of this subparagraph (D-20), a  | 
 qualified tuition program has made reasonable efforts  | 
 if it makes disclosures (which may use the term  | 
 "in-state program" or "in-state plan" and need not  | 
 specifically refer to Illinois or its qualified  | 
 programs by name) (i) directly to prospective  | 
 participants in its offering materials or makes a  | 
 public disclosure, such as a website posting; and (ii)  | 
 where applicable, to intermediaries selling the  | 
 out-of-state program in the same manner that the  | 
 out-of-state program distributes its offering  | 
 materials; | 
   (D-20.5) For taxable years beginning on or after  | 
 | 
 January 1, 2018, in the case of a distribution from a  | 
 qualified ABLE program under Section 529A of the  | 
 Internal Revenue Code, other than a distribution from  | 
 a qualified ABLE program created under Section 16.6 of  | 
 the State Treasurer Act, an amount equal to the amount  | 
 excluded from gross income under Section 529A(c)(1)(B)  | 
 of the Internal Revenue Code;  | 
   (D-21) For taxable years beginning on or after  | 
 January 1, 2007, in the case of transfer of moneys from  | 
 a qualified tuition program under Section 529 of the  | 
 Internal Revenue Code that is administered by the  | 
 State to an out-of-state program, an amount equal to  | 
 the amount of moneys previously deducted from base  | 
 income under subsection (a)(2)(Y) of this Section; | 
   (D-21.5) For taxable years beginning on or after  | 
 January 1, 2018, in the case of the transfer of moneys  | 
 from a qualified tuition program under Section 529 or  | 
 a qualified ABLE program under Section 529A of the  | 
 Internal Revenue Code that is administered by this  | 
 State to an ABLE account established under an  | 
 out-of-state ABLE account program, an amount equal to  | 
 the contribution component of the transferred amount  | 
 that was previously deducted from base income under  | 
 subsection (a)(2)(Y) or subsection (a)(2)(HH) of this  | 
 Section;  | 
   (D-22) For taxable years beginning on or after  | 
 | 
 January 1, 2009, and prior to January 1, 2018, in the  | 
 case of a nonqualified withdrawal or refund of moneys  | 
 from a qualified tuition program under Section 529 of  | 
 the Internal Revenue Code administered by the State  | 
 that is not used for qualified expenses at an eligible  | 
 education institution, an amount equal to the  | 
 contribution component of the nonqualified withdrawal  | 
 or refund that was previously deducted from base  | 
 income under subsection (a)(2)(y) of this Section,  | 
 provided that the withdrawal or refund did not result  | 
 from the beneficiary's death or disability. For  | 
 taxable years beginning on or after January 1, 2018:  | 
 (1) in the case of a nonqualified withdrawal or  | 
 refund, as defined under Section 16.5 of the State  | 
 Treasurer Act, of moneys from a qualified tuition  | 
 program under Section 529 of the Internal Revenue Code  | 
 administered by the State, an amount equal to the  | 
 contribution component of the nonqualified withdrawal  | 
 or refund that was previously deducted from base  | 
 income under subsection (a)(2)(Y) of this Section, and  | 
 (2) in the case of a nonqualified withdrawal or refund  | 
 from a qualified ABLE program under Section 529A of  | 
 the Internal Revenue Code administered by the State  | 
 that is not used for qualified disability expenses, an  | 
 amount equal to the contribution component of the  | 
 nonqualified withdrawal or refund that was previously  | 
 | 
 deducted from base income under subsection (a)(2)(HH)  | 
 of this Section; | 
   (D-23) An amount equal to the credit allowable to  | 
 the taxpayer under Section 218(a) of this Act,  | 
 determined without regard to Section 218(c) of this  | 
 Act; | 
   (D-24) For taxable years ending on or after  | 
 December 31, 2017, an amount equal to the deduction  | 
 allowed under Section 199 of the Internal Revenue Code  | 
 for the taxable year;  | 
   (D-25) In the case of a resident, an amount equal  | 
 to the amount of tax for which a credit is allowed  | 
 pursuant to Section 201(p)(7) of this Act;  | 
 and by deducting from the total so obtained the sum of the  | 
 following amounts: | 
   (E) For taxable years ending before December 31,  | 
 2001, any amount included in such total in respect of  | 
 any compensation (including but not limited to any  | 
 compensation paid or accrued to a serviceman while a  | 
 prisoner of war or missing in action) paid to a  | 
 resident by reason of being on active duty in the Armed  | 
 Forces of the United States and in respect of any  | 
 compensation paid or accrued to a resident who as a  | 
 governmental employee was a prisoner of war or missing  | 
 in action, and in respect of any compensation paid to a  | 
 resident in 1971 or thereafter for annual training  | 
 | 
 performed pursuant to Sections 502 and 503, Title 32,  | 
 United States Code as a member of the Illinois  | 
 National Guard or, beginning with taxable years ending  | 
 on or after December 31, 2007, the National Guard of  | 
 any other state. For taxable years ending on or after  | 
 December 31, 2001, any amount included in such total  | 
 in respect of any compensation (including but not  | 
 limited to any compensation paid or accrued to a  | 
 serviceman while a prisoner of war or missing in  | 
 action) paid to a resident by reason of being a member  | 
 of any component of the Armed Forces of the United  | 
 States and in respect of any compensation paid or  | 
 accrued to a resident who as a governmental employee  | 
 was a prisoner of war or missing in action, and in  | 
 respect of any compensation paid to a resident in 2001  | 
 or thereafter by reason of being a member of the  | 
 Illinois National Guard or, beginning with taxable  | 
 years ending on or after December 31, 2007, the  | 
 National Guard of any other state. The provisions of  | 
 this subparagraph (E) are exempt from the provisions  | 
 of Section 250; | 
   (F) An amount equal to all amounts included in  | 
 such total pursuant to the provisions of Sections  | 
 402(a), 402(c), 403(a), 403(b), 406(a), 407(a), and  | 
 408 of the Internal Revenue Code, or included in such  | 
 total as distributions under the provisions of any  | 
 | 
 retirement or disability plan for employees of any  | 
 governmental agency or unit, or retirement payments to  | 
 retired partners, which payments are excluded in  | 
 computing net earnings from self employment by Section  | 
 1402 of the Internal Revenue Code and regulations  | 
 adopted pursuant thereto; | 
   (G) The valuation limitation amount; | 
   (H) An amount equal to the amount of any tax  | 
 imposed by this Act which was refunded to the taxpayer  | 
 and included in such total for the taxable year; | 
   (I) An amount equal to all amounts included in  | 
 such total pursuant to the provisions of Section 111  | 
 of the Internal Revenue Code as a recovery of items  | 
 previously deducted from adjusted gross income in the  | 
 computation of taxable income; | 
   (J) An amount equal to those dividends included in  | 
 such total which were paid by a corporation which  | 
 conducts business operations in a River Edge  | 
 Redevelopment Zone or zones created under the River  | 
 Edge Redevelopment Zone Act, and conducts  | 
 substantially all of its operations in a River Edge  | 
 Redevelopment Zone or zones. This subparagraph (J) is  | 
 exempt from the provisions of Section 250; | 
   (K) An amount equal to those dividends included in  | 
 such total that were paid by a corporation that  | 
 conducts business operations in a federally designated  | 
 | 
 Foreign Trade Zone or Sub-Zone and that is designated  | 
 a High Impact Business located in Illinois; provided  | 
 that dividends eligible for the deduction provided in  | 
 subparagraph (J) of paragraph (2) of this subsection  | 
 shall not be eligible for the deduction provided under  | 
 this subparagraph (K); | 
   (L) For taxable years ending after December 31,  | 
 1983, an amount equal to all social security benefits  | 
 and railroad retirement benefits included in such  | 
 total pursuant to Sections 72(r) and 86 of the  | 
 Internal Revenue Code; | 
   (M) With the exception of any amounts subtracted  | 
 under subparagraph (N), an amount equal to the sum of  | 
 all amounts disallowed as deductions by (i) Sections  | 
 171(a)(2) and 265(a)(2) of the Internal Revenue Code,  | 
 and all amounts of expenses allocable to interest and  | 
 disallowed as deductions by Section 265(a)(1) of the  | 
 Internal Revenue Code; and (ii) for taxable years  | 
 ending on or after August 13, 1999, Sections  | 
 171(a)(2), 265, 280C, and 832(b)(5)(B)(i) of the  | 
 Internal Revenue Code, plus, for taxable years ending  | 
 on or after December 31, 2011, Section 45G(e)(3) of  | 
 the Internal Revenue Code and, for taxable years  | 
 ending on or after December 31, 2008, any amount  | 
 included in gross income under Section 87 of the  | 
 Internal Revenue Code; the provisions of this  | 
 | 
 subparagraph are exempt from the provisions of Section  | 
 250; | 
   (N) An amount equal to all amounts included in  | 
 such total which are exempt from taxation by this  | 
 State either by reason of its statutes or Constitution  | 
 or by reason of the Constitution, treaties or statutes  | 
 of the United States; provided that, in the case of any  | 
 statute of this State that exempts income derived from  | 
 bonds or other obligations from the tax imposed under  | 
 this Act, the amount exempted shall be the interest  | 
 net of bond premium amortization; | 
   (O) An amount equal to any contribution made to a  | 
 job training project established pursuant to the Tax  | 
 Increment Allocation Redevelopment Act; | 
   (P) An amount equal to the amount of the deduction  | 
 used to compute the federal income tax credit for  | 
 restoration of substantial amounts held under claim of  | 
 right for the taxable year pursuant to Section 1341 of  | 
 the Internal Revenue Code or of any itemized deduction  | 
 taken from adjusted gross income in the computation of  | 
 taxable income for restoration of substantial amounts  | 
 held under claim of right for the taxable year; | 
   (Q) An amount equal to any amounts included in  | 
 such total, received by the taxpayer as an  | 
 acceleration in the payment of life, endowment or  | 
 annuity benefits in advance of the time they would  | 
 | 
 otherwise be payable as an indemnity for a terminal  | 
 illness; | 
   (R) An amount equal to the amount of any federal or  | 
 State bonus paid to veterans of the Persian Gulf War; | 
   (S) An amount, to the extent included in adjusted  | 
 gross income, equal to the amount of a contribution  | 
 made in the taxable year on behalf of the taxpayer to a  | 
 medical care savings account established under the  | 
 Medical Care Savings Account Act or the Medical Care  | 
 Savings Account Act of 2000 to the extent the  | 
 contribution is accepted by the account administrator  | 
 as provided in that Act; | 
   (T) An amount, to the extent included in adjusted  | 
 gross income, equal to the amount of interest earned  | 
 in the taxable year on a medical care savings account  | 
 established under the Medical Care Savings Account Act  | 
 or the Medical Care Savings Account Act of 2000 on  | 
 behalf of the taxpayer, other than interest added  | 
 pursuant to item (D-5) of this paragraph (2); | 
   (U) For one taxable year beginning on or after  | 
 January 1, 1994, an amount equal to the total amount of  | 
 tax imposed and paid under subsections (a) and (b) of  | 
 Section 201 of this Act on grant amounts received by  | 
 the taxpayer under the Nursing Home Grant Assistance  | 
 Act during the taxpayer's taxable years 1992 and 1993; | 
   (V) Beginning with tax years ending on or after  | 
 | 
 December 31, 1995 and ending with tax years ending on  | 
 or before December 31, 2004, an amount equal to the  | 
 amount paid by a taxpayer who is a self-employed  | 
 taxpayer, a partner of a partnership, or a shareholder  | 
 in a Subchapter S corporation for health insurance or  | 
 long-term care insurance for that taxpayer or that  | 
 taxpayer's spouse or dependents, to the extent that  | 
 the amount paid for that health insurance or long-term  | 
 care insurance may be deducted under Section 213 of  | 
 the Internal Revenue Code, has not been deducted on  | 
 the federal income tax return of the taxpayer, and  | 
 does not exceed the taxable income attributable to  | 
 that taxpayer's income, self-employment income, or  | 
 Subchapter S corporation income; except that no  | 
 deduction shall be allowed under this item (V) if the  | 
 taxpayer is eligible to participate in any health  | 
 insurance or long-term care insurance plan of an  | 
 employer of the taxpayer or the taxpayer's spouse. The  | 
 amount of the health insurance and long-term care  | 
 insurance subtracted under this item (V) shall be  | 
 determined by multiplying total health insurance and  | 
 long-term care insurance premiums paid by the taxpayer  | 
 times a number that represents the fractional  | 
 percentage of eligible medical expenses under Section  | 
 213 of the Internal Revenue Code of 1986 not actually  | 
 deducted on the taxpayer's federal income tax return; | 
 | 
   (W) For taxable years beginning on or after  | 
 January 1, 1998, all amounts included in the  | 
 taxpayer's federal gross income in the taxable year  | 
 from amounts converted from a regular IRA to a Roth  | 
 IRA. This paragraph is exempt from the provisions of  | 
 Section 250; | 
   (X) For taxable year 1999 and thereafter, an  | 
 amount equal to the amount of any (i) distributions,  | 
 to the extent includible in gross income for federal  | 
 income tax purposes, made to the taxpayer because of  | 
 his or her status as a victim of persecution for racial  | 
 or religious reasons by Nazi Germany or any other Axis  | 
 regime or as an heir of the victim and (ii) items of  | 
 income, to the extent includible in gross income for  | 
 federal income tax purposes, attributable to, derived  | 
 from or in any way related to assets stolen from,  | 
 hidden from, or otherwise lost to a victim of  | 
 persecution for racial or religious reasons by Nazi  | 
 Germany or any other Axis regime immediately prior to,  | 
 during, and immediately after World War II, including,  | 
 but not limited to, interest on the proceeds  | 
 receivable as insurance under policies issued to a  | 
 victim of persecution for racial or religious reasons  | 
 by Nazi Germany or any other Axis regime by European  | 
 insurance companies immediately prior to and during  | 
 World War II; provided, however, this subtraction from  | 
 | 
 federal adjusted gross income does not apply to assets  | 
 acquired with such assets or with the proceeds from  | 
 the sale of such assets; provided, further, this  | 
 paragraph shall only apply to a taxpayer who was the  | 
 first recipient of such assets after their recovery  | 
 and who is a victim of persecution for racial or  | 
 religious reasons by Nazi Germany or any other Axis  | 
 regime or as an heir of the victim. The amount of and  | 
 the eligibility for any public assistance, benefit, or  | 
 similar entitlement is not affected by the inclusion  | 
 of items (i) and (ii) of this paragraph in gross income  | 
 for federal income tax purposes. This paragraph is  | 
 exempt from the provisions of Section 250; | 
   (Y) For taxable years beginning on or after  | 
 January 1, 2002 and ending on or before December 31,  | 
 2004, moneys contributed in the taxable year to a  | 
 College Savings Pool account under Section 16.5 of the  | 
 State Treasurer Act, except that amounts excluded from  | 
 gross income under Section 529(c)(3)(C)(i) of the  | 
 Internal Revenue Code shall not be considered moneys  | 
 contributed under this subparagraph (Y). For taxable  | 
 years beginning on or after January 1, 2005, a maximum  | 
 of $10,000 contributed in the taxable year to (i) a  | 
 College Savings Pool account under Section 16.5 of the  | 
 State Treasurer Act or (ii) the Illinois Prepaid  | 
 Tuition Trust Fund, except that amounts excluded from  | 
 | 
 gross income under Section 529(c)(3)(C)(i) of the  | 
 Internal Revenue Code shall not be considered moneys  | 
 contributed under this subparagraph (Y). For purposes  | 
 of this subparagraph, contributions made by an  | 
 employer on behalf of an employee, or matching  | 
 contributions made by an employee, shall be treated as  | 
 made by the employee. This subparagraph (Y) is exempt  | 
 from the provisions of Section 250; | 
   (Z) For taxable years 2001 and thereafter, for the  | 
 taxable year in which the bonus depreciation deduction  | 
 is taken on the taxpayer's federal income tax return  | 
 under subsection (k) of Section 168 of the Internal  | 
 Revenue Code and for each applicable taxable year  | 
 thereafter, an amount equal to "x", where: | 
    (1) "y" equals the amount of the depreciation  | 
 deduction taken for the taxable year on the  | 
 taxpayer's federal income tax return on property  | 
 for which the bonus depreciation deduction was  | 
 taken in any year under subsection (k) of Section  | 
 168 of the Internal Revenue Code, but not  | 
 including the bonus depreciation deduction; | 
    (2) for taxable years ending on or before  | 
 December 31, 2005, "x" equals "y" multiplied by 30  | 
 and then divided by 70 (or "y" multiplied by  | 
 0.429); and | 
    (3) for taxable years ending after December  | 
 | 
 31, 2005: | 
     (i) for property on which a bonus  | 
 depreciation deduction of 30% of the adjusted  | 
 basis was taken, "x" equals "y" multiplied by  | 
 30 and then divided by 70 (or "y" multiplied  | 
 by 0.429); | 
     (ii) for property on which a bonus  | 
 depreciation deduction of 50% of the adjusted  | 
 basis was taken, "x" equals "y" multiplied by  | 
 1.0; | 
     (iii) for property on which a bonus  | 
 depreciation deduction of 100% of the adjusted  | 
 basis was taken in a taxable year ending on or  | 
 after December 31, 2021, "x" equals the  | 
 depreciation deduction that would be allowed  | 
 on that property if the taxpayer had made the  | 
 election under Section 168(k)(7) of the  | 
 Internal Revenue Code to not claim bonus  | 
 depreciation on that property; and | 
     (iv) for property on which a bonus  | 
 depreciation deduction of a percentage other  | 
 than 30%, 50% or 100% of the adjusted basis  | 
 was taken in a taxable year ending on or after  | 
 December 31, 2021, "x" equals "y" multiplied  | 
 by 100 times the percentage bonus depreciation  | 
 on the property (that is, 100(bonus%)) and  | 
 | 
 then divided by 100 times 1 minus the  | 
 percentage bonus depreciation on the property  | 
 (that is, 100(1-bonus%)).  | 
   The aggregate amount deducted under this  | 
 subparagraph in all taxable years for any one piece of  | 
 property may not exceed the amount of the bonus  | 
 depreciation deduction taken on that property on the  | 
 taxpayer's federal income tax return under subsection  | 
 (k) of Section 168 of the Internal Revenue Code. This  | 
 subparagraph (Z) is exempt from the provisions of  | 
 Section 250; | 
   (AA) If the taxpayer sells, transfers, abandons,  | 
 or otherwise disposes of property for which the  | 
 taxpayer was required in any taxable year to make an  | 
 addition modification under subparagraph (D-15), then  | 
 an amount equal to that addition modification.  | 
   If the taxpayer continues to own property through  | 
 the last day of the last tax year for which a  | 
 subtraction is allowed with respect to that property  | 
 under subparagraph (Z) and for which the taxpayer was  | 
 required in any taxable year to make an addition  | 
 modification under subparagraph (D-15), then an amount  | 
 equal to that addition modification.  | 
   The taxpayer is allowed to take the deduction  | 
 under this subparagraph only once with respect to any  | 
 one piece of property. | 
 | 
   This subparagraph (AA) is exempt from the  | 
 provisions of Section 250; | 
   (BB) Any amount included in adjusted gross income,  | 
 other than salary, received by a driver in a  | 
 ridesharing arrangement using a motor vehicle; | 
   (CC) The amount of (i) any interest income (net of  | 
 the deductions allocable thereto) taken into account  | 
 for the taxable year with respect to a transaction  | 
 with a taxpayer that is required to make an addition  | 
 modification with respect to such transaction under  | 
 Section 203(a)(2)(D-17), 203(b)(2)(E-12),  | 
 203(c)(2)(G-12), or 203(d)(2)(D-7), but not to exceed  | 
 the amount of that addition modification, and (ii) any  | 
 income from intangible property (net of the deductions  | 
 allocable thereto) taken into account for the taxable  | 
 year with respect to a transaction with a taxpayer  | 
 that is required to make an addition modification with  | 
 respect to such transaction under Section  | 
 203(a)(2)(D-18), 203(b)(2)(E-13), 203(c)(2)(G-13), or  | 
 203(d)(2)(D-8), but not to exceed the amount of that  | 
 addition modification. This subparagraph (CC) is  | 
 exempt from the provisions of Section 250; | 
   (DD) An amount equal to the interest income taken  | 
 into account for the taxable year (net of the  | 
 deductions allocable thereto) with respect to  | 
 transactions with (i) a foreign person who would be a  | 
 | 
 member of the taxpayer's unitary business group but  | 
 for the fact that the foreign person's business  | 
 activity outside the United States is 80% or more of  | 
 that person's total business activity and (ii) for  | 
 taxable years ending on or after December 31, 2008, to  | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304, but  | 
 not to exceed the addition modification required to be  | 
 made for the same taxable year under Section  | 
 203(a)(2)(D-17) for interest paid, accrued, or  | 
 incurred, directly or indirectly, to the same person.  | 
 This subparagraph (DD) is exempt from the provisions  | 
 of Section 250;  | 
   (EE) An amount equal to the income from intangible  | 
 property taken into account for the taxable year (net  | 
 of the deductions allocable thereto) with respect to  | 
 transactions with (i) a foreign person who would be a  | 
 member of the taxpayer's unitary business group but  | 
 for the fact that the foreign person's business  | 
 activity outside the United States is 80% or more of  | 
 that person's total business activity and (ii) for  | 
 taxable years ending on or after December 31, 2008, to  | 
 | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304, but  | 
 not to exceed the addition modification required to be  | 
 made for the same taxable year under Section  | 
 203(a)(2)(D-18) for intangible expenses and costs  | 
 paid, accrued, or incurred, directly or indirectly, to  | 
 the same foreign person. This subparagraph (EE) is  | 
 exempt from the provisions of Section 250; | 
   (FF) An amount equal to any amount awarded to the  | 
 taxpayer during the taxable year by the Court of  | 
 Claims under subsection (c) of Section 8 of the Court  | 
 of Claims Act for time unjustly served in a State  | 
 prison. This subparagraph (FF) is exempt from the  | 
 provisions of Section 250;  | 
   (GG) For taxable years ending on or after December  | 
 31, 2011, in the case of a taxpayer who was required to  | 
 add back any insurance premiums under Section  | 
 203(a)(2)(D-19), such taxpayer may elect to subtract  | 
 that part of a reimbursement received from the  | 
 insurance company equal to the amount of the expense  | 
 or loss (including expenses incurred by the insurance  | 
 company) that would have been taken into account as a  | 
 | 
 deduction for federal income tax purposes if the  | 
 expense or loss had been uninsured. If a taxpayer  | 
 makes the election provided for by this subparagraph  | 
 (GG), the insurer to which the premiums were paid must  | 
 add back to income the amount subtracted by the  | 
 taxpayer pursuant to this subparagraph (GG). This  | 
 subparagraph (GG) is exempt from the provisions of  | 
 Section 250;  | 
   (HH) For taxable years beginning on or after  | 
 January 1, 2018 and prior to January 1, 2028, a maximum  | 
 of $10,000 contributed in the taxable year to a  | 
 qualified ABLE account under Section 16.6 of the State  | 
 Treasurer Act, except that amounts excluded from gross  | 
 income under Section 529(c)(3)(C)(i) or Section  | 
 529A(c)(1)(C) of the Internal Revenue Code shall not  | 
 be considered moneys contributed under this  | 
 subparagraph (HH). For purposes of this subparagraph  | 
 (HH), contributions made by an employer on behalf of  | 
 an employee, or matching contributions made by an  | 
 employee, shall be treated as made by the employee;  | 
   (II) For taxable years that begin on or after  | 
 January 1, 2021 and begin before January 1, 2026, the  | 
 amount that is included in the taxpayer's federal  | 
 adjusted gross income pursuant to Section 61 of the  | 
 Internal Revenue Code as discharge of indebtedness  | 
 attributable to student loan forgiveness and that is  | 
 | 
 not excluded from the taxpayer's federal adjusted  | 
 gross income pursuant to paragraph (5) of subsection  | 
 (f) of Section 108 of the Internal Revenue Code; and  | 
   (JJ) For taxable years beginning on or after  | 
 January 1, 2023, for any cannabis establishment  | 
 operating in this State and licensed under the  | 
 Cannabis Regulation and Tax Act or any cannabis  | 
 cultivation center or medical cannabis dispensing  | 
 organization operating in this State and licensed  | 
 under the Compassionate Use of Medical Cannabis  | 
 Program Act, an amount equal to the deductions that  | 
 were disallowed under Section 280E of the Internal  | 
 Revenue Code for the taxable year and that would not be  | 
 added back under this subsection. The provisions of  | 
 this subparagraph (JJ) are exempt from the provisions  | 
 of Section 250; and .  | 
   (KK) (JJ) To the extent includible in gross income  | 
 for federal income tax purposes, any amount awarded or  | 
 paid to the taxpayer as a result of a judgment or  | 
 settlement for fertility fraud as provided in Section  | 
 15 of the Illinois Fertility Fraud Act, donor  | 
 fertility fraud as provided in Section 20 of the  | 
 Illinois Fertility Fraud Act, or similar action in  | 
 another state. 
 | 
 (b) Corporations. | 
 | 
  (1) In general. In the case of a corporation, base  | 
 income means an amount equal to the taxpayer's taxable  | 
 income for the taxable year as modified by paragraph (2). | 
  (2) Modifications. The taxable income referred to in  | 
 paragraph (1) shall be modified by adding thereto the sum  | 
 of the following amounts: | 
   (A) An amount equal to all amounts paid or accrued  | 
 to the taxpayer as interest and all distributions  | 
 received from regulated investment companies during  | 
 the taxable year to the extent excluded from gross  | 
 income in the computation of taxable income; | 
   (B) An amount equal to the amount of tax imposed by  | 
 this Act to the extent deducted from gross income in  | 
 the computation of taxable income for the taxable  | 
 year; | 
   (C) In the case of a regulated investment company,  | 
 an amount equal to the excess of (i) the net long-term  | 
 capital gain for the taxable year, over (ii) the  | 
 amount of the capital gain dividends designated as  | 
 such in accordance with Section 852(b)(3)(C) of the  | 
 Internal Revenue Code and any amount designated under  | 
 Section 852(b)(3)(D) of the Internal Revenue Code,  | 
 attributable to the taxable year (this amendatory Act  | 
 of 1995 (Public Act 89-89) is declarative of existing  | 
 law and is not a new enactment); | 
   (D) The amount of any net operating loss deduction  | 
 | 
 taken in arriving at taxable income, other than a net  | 
 operating loss carried forward from a taxable year  | 
 ending prior to December 31, 1986; | 
   (E) For taxable years in which a net operating  | 
 loss carryback or carryforward from a taxable year  | 
 ending prior to December 31, 1986 is an element of  | 
 taxable income under paragraph (1) of subsection (e)  | 
 or subparagraph (E) of paragraph (2) of subsection  | 
 (e), the amount by which addition modifications other  | 
 than those provided by this subparagraph (E) exceeded  | 
 subtraction modifications in such earlier taxable  | 
 year, with the following limitations applied in the  | 
 order that they are listed: | 
    (i) the addition modification relating to the  | 
 net operating loss carried back or forward to the  | 
 taxable year from any taxable year ending prior to  | 
 December 31, 1986 shall be reduced by the amount  | 
 of addition modification under this subparagraph  | 
 (E) which related to that net operating loss and  | 
 which was taken into account in calculating the  | 
 base income of an earlier taxable year, and | 
    (ii) the addition modification relating to the  | 
 net operating loss carried back or forward to the  | 
 taxable year from any taxable year ending prior to  | 
 December 31, 1986 shall not exceed the amount of  | 
 such carryback or carryforward; | 
 | 
   For taxable years in which there is a net  | 
 operating loss carryback or carryforward from more  | 
 than one other taxable year ending prior to December  | 
 31, 1986, the addition modification provided in this  | 
 subparagraph (E) shall be the sum of the amounts  | 
 computed independently under the preceding provisions  | 
 of this subparagraph (E) for each such taxable year; | 
   (E-5) For taxable years ending after December 31,  | 
 1997, an amount equal to any eligible remediation  | 
 costs that the corporation deducted in computing  | 
 adjusted gross income and for which the corporation  | 
 claims a credit under subsection (l) of Section 201; | 
   (E-10) For taxable years 2001 and thereafter, an  | 
 amount equal to the bonus depreciation deduction taken  | 
 on the taxpayer's federal income tax return for the  | 
 taxable year under subsection (k) of Section 168 of  | 
 the Internal Revenue Code; | 
   (E-11) If the taxpayer sells, transfers, abandons,  | 
 or otherwise disposes of property for which the  | 
 taxpayer was required in any taxable year to make an  | 
 addition modification under subparagraph (E-10), then  | 
 an amount equal to the aggregate amount of the  | 
 deductions taken in all taxable years under  | 
 subparagraph (T) with respect to that property. | 
   If the taxpayer continues to own property through  | 
 the last day of the last tax year for which a  | 
 | 
 subtraction is allowed with respect to that property  | 
 under subparagraph (T) and for which the taxpayer was  | 
 allowed in any taxable year to make a subtraction  | 
 modification under subparagraph (T), then an amount  | 
 equal to that subtraction modification.  | 
   The taxpayer is required to make the addition  | 
 modification under this subparagraph only once with  | 
 respect to any one piece of property; | 
   (E-12) An amount equal to the amount otherwise  | 
 allowed as a deduction in computing base income for  | 
 interest paid, accrued, or incurred, directly or  | 
 indirectly, (i) for taxable years ending on or after  | 
 December 31, 2004, to a foreign person who would be a  | 
 member of the same unitary business group but for the  | 
 fact the foreign person's business activity outside  | 
 the United States is 80% or more of the foreign  | 
 person's total business activity and (ii) for taxable  | 
 years ending on or after December 31, 2008, to a person  | 
 who would be a member of the same unitary business  | 
 group but for the fact that the person is prohibited  | 
 under Section 1501(a)(27) from being included in the  | 
 unitary business group because he or she is ordinarily  | 
 required to apportion business income under different  | 
 subsections of Section 304. The addition modification  | 
 required by this subparagraph shall be reduced to the  | 
 extent that dividends were included in base income of  | 
 | 
 the unitary group for the same taxable year and  | 
 received by the taxpayer or by a member of the  | 
 taxpayer's unitary business group (including amounts  | 
 included in gross income pursuant to Sections 951  | 
 through 964 of the Internal Revenue Code and amounts  | 
 included in gross income under Section 78 of the  | 
 Internal Revenue Code) with respect to the stock of  | 
 the same person to whom the interest was paid,  | 
 accrued, or incurred.  | 
   This paragraph shall not apply to the following:  | 
    (i) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person who  | 
 is subject in a foreign country or state, other  | 
 than a state which requires mandatory unitary  | 
 reporting, to a tax on or measured by net income  | 
 with respect to such interest; or | 
    (ii) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person if  | 
 the taxpayer can establish, based on a  | 
 preponderance of the evidence, both of the  | 
 following: | 
     (a) the person, during the same taxable  | 
 year, paid, accrued, or incurred, the interest  | 
 to a person that is not a related member, and | 
     (b) the transaction giving rise to the  | 
 interest expense between the taxpayer and the  | 
 | 
 person did not have as a principal purpose the  | 
 avoidance of Illinois income tax, and is paid  | 
 pursuant to a contract or agreement that  | 
 reflects an arm's-length interest rate and  | 
 terms; or  | 
    (iii) the taxpayer can establish, based on  | 
 clear and convincing evidence, that the interest  | 
 paid, accrued, or incurred relates to a contract  | 
 or agreement entered into at arm's-length rates  | 
 and terms and the principal purpose for the  | 
 payment is not federal or Illinois tax avoidance;  | 
 or  | 
    (iv) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person if  | 
 the taxpayer establishes by clear and convincing  | 
 evidence that the adjustments are unreasonable; or  | 
 if the taxpayer and the Director agree in writing  | 
 to the application or use of an alternative method  | 
 of apportionment under Section 304(f).  | 
    Nothing in this subsection shall preclude the  | 
 Director from making any other adjustment  | 
 otherwise allowed under Section 404 of this Act  | 
 for any tax year beginning after the effective  | 
 date of this amendment provided such adjustment is  | 
 made pursuant to regulation adopted by the  | 
 Department and such regulations provide methods  | 
 | 
 and standards by which the Department will utilize  | 
 its authority under Section 404 of this Act;  | 
   (E-13) An amount equal to the amount of intangible  | 
 expenses and costs otherwise allowed as a deduction in  | 
 computing base income, and that were paid, accrued, or  | 
 incurred, directly or indirectly, (i) for taxable  | 
 years ending on or after December 31, 2004, to a  | 
 foreign person who would be a member of the same  | 
 unitary business group but for the fact that the  | 
 foreign person's business activity outside the United  | 
 States is 80% or more of that person's total business  | 
 activity and (ii) for taxable years ending on or after  | 
 December 31, 2008, to a person who would be a member of  | 
 the same unitary business group but for the fact that  | 
 the person is prohibited under Section 1501(a)(27)  | 
 from being included in the unitary business group  | 
 because he or she is ordinarily required to apportion  | 
 business income under different subsections of Section  | 
 304. The addition modification required by this  | 
 subparagraph shall be reduced to the extent that  | 
 dividends were included in base income of the unitary  | 
 group for the same taxable year and received by the  | 
 taxpayer or by a member of the taxpayer's unitary  | 
 business group (including amounts included in gross  | 
 income pursuant to Sections 951 through 964 of the  | 
 Internal Revenue Code and amounts included in gross  | 
 | 
 income under Section 78 of the Internal Revenue Code)  | 
 with respect to the stock of the same person to whom  | 
 the intangible expenses and costs were directly or  | 
 indirectly paid, incurred, or accrued. The preceding  | 
 sentence shall not apply to the extent that the same  | 
 dividends caused a reduction to the addition  | 
 modification required under Section 203(b)(2)(E-12) of  | 
 this Act. As used in this subparagraph, the term  | 
 "intangible expenses and costs" includes (1) expenses,  | 
 losses, and costs for, or related to, the direct or  | 
 indirect acquisition, use, maintenance or management,  | 
 ownership, sale, exchange, or any other disposition of  | 
 intangible property; (2) losses incurred, directly or  | 
 indirectly, from factoring transactions or discounting  | 
 transactions; (3) royalty, patent, technical, and  | 
 copyright fees; (4) licensing fees; and (5) other  | 
 similar expenses and costs. For purposes of this  | 
 subparagraph, "intangible property" includes patents,  | 
 patent applications, trade names, trademarks, service  | 
 marks, copyrights, mask works, trade secrets, and  | 
 similar types of intangible assets. | 
   This paragraph shall not apply to the following: | 
    (i) any item of intangible expenses or costs  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, from a transaction with a person who  | 
 is subject in a foreign country or state, other  | 
 | 
 than a state which requires mandatory unitary  | 
 reporting, to a tax on or measured by net income  | 
 with respect to such item; or | 
    (ii) any item of intangible expense or cost  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, if the taxpayer can establish, based  | 
 on a preponderance of the evidence, both of the  | 
 following: | 
     (a) the person during the same taxable  | 
 year paid, accrued, or incurred, the  | 
 intangible expense or cost to a person that is  | 
 not a related member, and | 
     (b) the transaction giving rise to the  | 
 intangible expense or cost between the  | 
 taxpayer and the person did not have as a  | 
 principal purpose the avoidance of Illinois  | 
 income tax, and is paid pursuant to a contract  | 
 or agreement that reflects arm's-length terms;  | 
 or | 
    (iii) any item of intangible expense or cost  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, from a transaction with a person if  | 
 the taxpayer establishes by clear and convincing  | 
 evidence, that the adjustments are unreasonable;  | 
 or if the taxpayer and the Director agree in  | 
 writing to the application or use of an  | 
 | 
 alternative method of apportionment under Section  | 
 304(f);  | 
    Nothing in this subsection shall preclude the  | 
 Director from making any other adjustment  | 
 otherwise allowed under Section 404 of this Act  | 
 for any tax year beginning after the effective  | 
 date of this amendment provided such adjustment is  | 
 made pursuant to regulation adopted by the  | 
 Department and such regulations provide methods  | 
 and standards by which the Department will utilize  | 
 its authority under Section 404 of this Act;  | 
   (E-14) For taxable years ending on or after  | 
 December 31, 2008, an amount equal to the amount of  | 
 insurance premium expenses and costs otherwise allowed  | 
 as a deduction in computing base income, and that were  | 
 paid, accrued, or incurred, directly or indirectly, to  | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304. The  | 
 addition modification required by this subparagraph  | 
 shall be reduced to the extent that dividends were  | 
 included in base income of the unitary group for the  | 
 same taxable year and received by the taxpayer or by a  | 
 | 
 member of the taxpayer's unitary business group  | 
 (including amounts included in gross income under  | 
 Sections 951 through 964 of the Internal Revenue Code  | 
 and amounts included in gross income under Section 78  | 
 of the Internal Revenue Code) with respect to the  | 
 stock of the same person to whom the premiums and costs  | 
 were directly or indirectly paid, incurred, or  | 
 accrued. The preceding sentence does not apply to the  | 
 extent that the same dividends caused a reduction to  | 
 the addition modification required under Section  | 
 203(b)(2)(E-12) or Section 203(b)(2)(E-13) of this  | 
 Act;  | 
   (E-15) For taxable years beginning after December  | 
 31, 2008, any deduction for dividends paid by a  | 
 captive real estate investment trust that is allowed  | 
 to a real estate investment trust under Section  | 
 857(b)(2)(B) of the Internal Revenue Code for  | 
 dividends paid; | 
   (E-16) An amount equal to the credit allowable to  | 
 the taxpayer under Section 218(a) of this Act,  | 
 determined without regard to Section 218(c) of this  | 
 Act; | 
   (E-17) For taxable years ending on or after  | 
 December 31, 2017, an amount equal to the deduction  | 
 allowed under Section 199 of the Internal Revenue Code  | 
 for the taxable year;  | 
 | 
   (E-18) for taxable years beginning after December  | 
 31, 2018, an amount equal to the deduction allowed  | 
 under Section 250(a)(1)(A) of the Internal Revenue  | 
 Code for the taxable year;  | 
   (E-19) for taxable years ending on or after June  | 
 30, 2021, an amount equal to the deduction allowed  | 
 under Section 250(a)(1)(B)(i) of the Internal Revenue  | 
 Code for the taxable year;  | 
   (E-20) for taxable years ending on or after June  | 
 30, 2021, an amount equal to the deduction allowed  | 
 under Sections 243(e) and 245A(a) of the Internal  | 
 Revenue Code for the taxable year.  | 
 and by deducting from the total so obtained the sum of the  | 
 following amounts: | 
   (F) An amount equal to the amount of any tax  | 
 imposed by this Act which was refunded to the taxpayer  | 
 and included in such total for the taxable year; | 
   (G) An amount equal to any amount included in such  | 
 total under Section 78 of the Internal Revenue Code; | 
   (H) In the case of a regulated investment company,  | 
 an amount equal to the amount of exempt interest  | 
 dividends as defined in subsection (b)(5) of Section  | 
 852 of the Internal Revenue Code, paid to shareholders  | 
 for the taxable year; | 
   (I) With the exception of any amounts subtracted  | 
 under subparagraph (J), an amount equal to the sum of  | 
 | 
 all amounts disallowed as deductions by (i) Sections  | 
 171(a)(2) and 265(a)(2) and amounts disallowed as  | 
 interest expense by Section 291(a)(3) of the Internal  | 
 Revenue Code, and all amounts of expenses allocable to  | 
 interest and disallowed as deductions by Section  | 
 265(a)(1) of the Internal Revenue Code; and (ii) for  | 
 taxable years ending on or after August 13, 1999,  | 
 Sections 171(a)(2), 265, 280C, 291(a)(3), and  | 
 832(b)(5)(B)(i) of the Internal Revenue Code, plus,  | 
 for tax years ending on or after December 31, 2011,  | 
 amounts disallowed as deductions by Section 45G(e)(3)  | 
 of the Internal Revenue Code and, for taxable years  | 
 ending on or after December 31, 2008, any amount  | 
 included in gross income under Section 87 of the  | 
 Internal Revenue Code and the policyholders' share of  | 
 tax-exempt interest of a life insurance company under  | 
 Section 807(a)(2)(B) of the Internal Revenue Code (in  | 
 the case of a life insurance company with gross income  | 
 from a decrease in reserves for the tax year) or  | 
 Section 807(b)(1)(B) of the Internal Revenue Code (in  | 
 the case of a life insurance company allowed a  | 
 deduction for an increase in reserves for the tax  | 
 year); the provisions of this subparagraph are exempt  | 
 from the provisions of Section 250; | 
   (J) An amount equal to all amounts included in  | 
 such total which are exempt from taxation by this  | 
 | 
 State either by reason of its statutes or Constitution  | 
 or by reason of the Constitution, treaties or statutes  | 
 of the United States; provided that, in the case of any  | 
 statute of this State that exempts income derived from  | 
 bonds or other obligations from the tax imposed under  | 
 this Act, the amount exempted shall be the interest  | 
 net of bond premium amortization; | 
   (K) An amount equal to those dividends included in  | 
 such total which were paid by a corporation which  | 
 conducts business operations in a River Edge  | 
 Redevelopment Zone or zones created under the River  | 
 Edge Redevelopment Zone Act and conducts substantially  | 
 all of its operations in a River Edge Redevelopment  | 
 Zone or zones. This subparagraph (K) is exempt from  | 
 the provisions of Section 250; | 
   (L) An amount equal to those dividends included in  | 
 such total that were paid by a corporation that  | 
 conducts business operations in a federally designated  | 
 Foreign Trade Zone or Sub-Zone and that is designated  | 
 a High Impact Business located in Illinois; provided  | 
 that dividends eligible for the deduction provided in  | 
 subparagraph (K) of paragraph 2 of this subsection  | 
 shall not be eligible for the deduction provided under  | 
 this subparagraph (L); | 
   (M) For any taxpayer that is a financial  | 
 organization within the meaning of Section 304(c) of  | 
 | 
 this Act, an amount included in such total as interest  | 
 income from a loan or loans made by such taxpayer to a  | 
 borrower, to the extent that such a loan is secured by  | 
 property which is eligible for the River Edge  | 
 Redevelopment Zone Investment Credit. To determine the  | 
 portion of a loan or loans that is secured by property  | 
 eligible for a Section 201(f) investment credit to the  | 
 borrower, the entire principal amount of the loan or  | 
 loans between the taxpayer and the borrower should be  | 
 divided into the basis of the Section 201(f)  | 
 investment credit property which secures the loan or  | 
 loans, using for this purpose the original basis of  | 
 such property on the date that it was placed in service  | 
 in the River Edge Redevelopment Zone. The subtraction  | 
 modification available to the taxpayer in any year  | 
 under this subsection shall be that portion of the  | 
 total interest paid by the borrower with respect to  | 
 such loan attributable to the eligible property as  | 
 calculated under the previous sentence. This  | 
 subparagraph (M) is exempt from the provisions of  | 
 Section 250; | 
   (M-1) For any taxpayer that is a financial  | 
 organization within the meaning of Section 304(c) of  | 
 this Act, an amount included in such total as interest  | 
 income from a loan or loans made by such taxpayer to a  | 
 borrower, to the extent that such a loan is secured by  | 
 | 
 property which is eligible for the High Impact  | 
 Business Investment Credit. To determine the portion  | 
 of a loan or loans that is secured by property eligible  | 
 for a Section 201(h) investment credit to the  | 
 borrower, the entire principal amount of the loan or  | 
 loans between the taxpayer and the borrower should be  | 
 divided into the basis of the Section 201(h)  | 
 investment credit property which secures the loan or  | 
 loans, using for this purpose the original basis of  | 
 such property on the date that it was placed in service  | 
 in a federally designated Foreign Trade Zone or  | 
 Sub-Zone located in Illinois. No taxpayer that is  | 
 eligible for the deduction provided in subparagraph  | 
 (M) of paragraph (2) of this subsection shall be  | 
 eligible for the deduction provided under this  | 
 subparagraph (M-1). The subtraction modification  | 
 available to taxpayers in any year under this  | 
 subsection shall be that portion of the total interest  | 
 paid by the borrower with respect to such loan  | 
 attributable to the eligible property as calculated  | 
 under the previous sentence; | 
   (N) Two times any contribution made during the  | 
 taxable year to a designated zone organization to the  | 
 extent that the contribution (i) qualifies as a  | 
 charitable contribution under subsection (c) of  | 
 Section 170 of the Internal Revenue Code and (ii)  | 
 | 
 must, by its terms, be used for a project approved by  | 
 the Department of Commerce and Economic Opportunity  | 
 under Section 11 of the Illinois Enterprise Zone Act  | 
 or under Section 10-10 of the River Edge Redevelopment  | 
 Zone Act. This subparagraph (N) is exempt from the  | 
 provisions of Section 250; | 
   (O) An amount equal to: (i) 85% for taxable years  | 
 ending on or before December 31, 1992, or, a  | 
 percentage equal to the percentage allowable under  | 
 Section 243(a)(1) of the Internal Revenue Code of 1986  | 
 for taxable years ending after December 31, 1992, of  | 
 the amount by which dividends included in taxable  | 
 income and received from a corporation that is not  | 
 created or organized under the laws of the United  | 
 States or any state or political subdivision thereof,  | 
 including, for taxable years ending on or after  | 
 December 31, 1988, dividends received or deemed  | 
 received or paid or deemed paid under Sections 951  | 
 through 965 of the Internal Revenue Code, exceed the  | 
 amount of the modification provided under subparagraph  | 
 (G) of paragraph (2) of this subsection (b) which is  | 
 related to such dividends, and including, for taxable  | 
 years ending on or after December 31, 2008, dividends  | 
 received from a captive real estate investment trust;  | 
 plus (ii) 100% of the amount by which dividends,  | 
 included in taxable income and received, including,  | 
 | 
 for taxable years ending on or after December 31,  | 
 1988, dividends received or deemed received or paid or  | 
 deemed paid under Sections 951 through 964 of the  | 
 Internal Revenue Code and including, for taxable years  | 
 ending on or after December 31, 2008, dividends  | 
 received from a captive real estate investment trust,  | 
 from any such corporation specified in clause (i) that  | 
 would but for the provisions of Section 1504(b)(3) of  | 
 the Internal Revenue Code be treated as a member of the  | 
 affiliated group which includes the dividend  | 
 recipient, exceed the amount of the modification  | 
 provided under subparagraph (G) of paragraph (2) of  | 
 this subsection (b) which is related to such  | 
 dividends. For taxable years ending on or after June  | 
 30, 2021, (i) for purposes of this subparagraph, the  | 
 term "dividend" does not include any amount treated as  | 
 a dividend under Section 1248 of the Internal Revenue  | 
 Code, and (ii) this subparagraph shall not apply to  | 
 dividends for which a deduction is allowed under  | 
 Section 245(a) of the Internal Revenue Code. This  | 
 subparagraph (O) is exempt from the provisions of  | 
 Section 250 of this Act; | 
   (P) An amount equal to any contribution made to a  | 
 job training project established pursuant to the Tax  | 
 Increment Allocation Redevelopment Act; | 
   (Q) An amount equal to the amount of the deduction  | 
 | 
 used to compute the federal income tax credit for  | 
 restoration of substantial amounts held under claim of  | 
 right for the taxable year pursuant to Section 1341 of  | 
 the Internal Revenue Code; | 
   (R) On and after July 20, 1999, in the case of an  | 
 attorney-in-fact with respect to whom an interinsurer  | 
 or a reciprocal insurer has made the election under  | 
 Section 835 of the Internal Revenue Code, 26 U.S.C.  | 
 835, an amount equal to the excess, if any, of the  | 
 amounts paid or incurred by that interinsurer or  | 
 reciprocal insurer in the taxable year to the  | 
 attorney-in-fact over the deduction allowed to that  | 
 interinsurer or reciprocal insurer with respect to the  | 
 attorney-in-fact under Section 835(b) of the Internal  | 
 Revenue Code for the taxable year; the provisions of  | 
 this subparagraph are exempt from the provisions of  | 
 Section 250; | 
   (S) For taxable years ending on or after December  | 
 31, 1997, in the case of a Subchapter S corporation, an  | 
 amount equal to all amounts of income allocable to a  | 
 shareholder subject to the Personal Property Tax  | 
 Replacement Income Tax imposed by subsections (c) and  | 
 (d) of Section 201 of this Act, including amounts  | 
 allocable to organizations exempt from federal income  | 
 tax by reason of Section 501(a) of the Internal  | 
 Revenue Code. This subparagraph (S) is exempt from the  | 
 | 
 provisions of Section 250; | 
   (T) For taxable years 2001 and thereafter, for the  | 
 taxable year in which the bonus depreciation deduction  | 
 is taken on the taxpayer's federal income tax return  | 
 under subsection (k) of Section 168 of the Internal  | 
 Revenue Code and for each applicable taxable year  | 
 thereafter, an amount equal to "x", where: | 
    (1) "y" equals the amount of the depreciation  | 
 deduction taken for the taxable year on the  | 
 taxpayer's federal income tax return on property  | 
 for which the bonus depreciation deduction was  | 
 taken in any year under subsection (k) of Section  | 
 168 of the Internal Revenue Code, but not  | 
 including the bonus depreciation deduction; | 
    (2) for taxable years ending on or before  | 
 December 31, 2005, "x" equals "y" multiplied by 30  | 
 and then divided by 70 (or "y" multiplied by  | 
 0.429); and | 
    (3) for taxable years ending after December  | 
 31, 2005: | 
     (i) for property on which a bonus  | 
 depreciation deduction of 30% of the adjusted  | 
 basis was taken, "x" equals "y" multiplied by  | 
 30 and then divided by 70 (or "y" multiplied  | 
 by 0.429); | 
     (ii) for property on which a bonus  | 
 | 
 depreciation deduction of 50% of the adjusted  | 
 basis was taken, "x" equals "y" multiplied by  | 
 1.0; | 
     (iii) for property on which a bonus  | 
 depreciation deduction of 100% of the adjusted  | 
 basis was taken in a taxable year ending on or  | 
 after December 31, 2021, "x" equals the  | 
 depreciation deduction that would be allowed  | 
 on that property if the taxpayer had made the  | 
 election under Section 168(k)(7) of the  | 
 Internal Revenue Code to not claim bonus  | 
 depreciation on that property; and | 
     (iv) for property on which a bonus  | 
 depreciation deduction of a percentage other  | 
 than 30%, 50% or 100% of the adjusted basis  | 
 was taken in a taxable year ending on or after  | 
 December 31, 2021, "x" equals "y" multiplied  | 
 by 100 times the percentage bonus depreciation  | 
 on the property (that is, 100(bonus%)) and  | 
 then divided by 100 times 1 minus the  | 
 percentage bonus depreciation on the property  | 
 (that is, 100(1-bonus%)).  | 
   The aggregate amount deducted under this  | 
 subparagraph in all taxable years for any one piece of  | 
 property may not exceed the amount of the bonus  | 
 depreciation deduction taken on that property on the  | 
 | 
 taxpayer's federal income tax return under subsection  | 
 (k) of Section 168 of the Internal Revenue Code. This  | 
 subparagraph (T) is exempt from the provisions of  | 
 Section 250; | 
   (U) If the taxpayer sells, transfers, abandons, or  | 
 otherwise disposes of property for which the taxpayer  | 
 was required in any taxable year to make an addition  | 
 modification under subparagraph (E-10), then an amount  | 
 equal to that addition modification. | 
   If the taxpayer continues to own property through  | 
 the last day of the last tax year for which a  | 
 subtraction is allowed with respect to that property  | 
 under subparagraph (T) and for which the taxpayer was  | 
 required in any taxable year to make an addition  | 
 modification under subparagraph (E-10), then an amount  | 
 equal to that addition modification.  | 
   The taxpayer is allowed to take the deduction  | 
 under this subparagraph only once with respect to any  | 
 one piece of property. | 
   This subparagraph (U) is exempt from the  | 
 provisions of Section 250; | 
   (V) The amount of: (i) any interest income (net of  | 
 the deductions allocable thereto) taken into account  | 
 for the taxable year with respect to a transaction  | 
 with a taxpayer that is required to make an addition  | 
 modification with respect to such transaction under  | 
 | 
 Section 203(a)(2)(D-17), 203(b)(2)(E-12),  | 
 203(c)(2)(G-12), or 203(d)(2)(D-7), but not to exceed  | 
 the amount of such addition modification, (ii) any  | 
 income from intangible property (net of the deductions  | 
 allocable thereto) taken into account for the taxable  | 
 year with respect to a transaction with a taxpayer  | 
 that is required to make an addition modification with  | 
 respect to such transaction under Section  | 
 203(a)(2)(D-18), 203(b)(2)(E-13), 203(c)(2)(G-13), or  | 
 203(d)(2)(D-8), but not to exceed the amount of such  | 
 addition modification, and (iii) any insurance premium  | 
 income (net of deductions allocable thereto) taken  | 
 into account for the taxable year with respect to a  | 
 transaction with a taxpayer that is required to make  | 
 an addition modification with respect to such  | 
 transaction under Section 203(a)(2)(D-19), Section  | 
 203(b)(2)(E-14), Section 203(c)(2)(G-14), or Section  | 
 203(d)(2)(D-9), but not to exceed the amount of that  | 
 addition modification. This subparagraph (V) is exempt  | 
 from the provisions of Section 250;  | 
   (W) An amount equal to the interest income taken  | 
 into account for the taxable year (net of the  | 
 deductions allocable thereto) with respect to  | 
 transactions with (i) a foreign person who would be a  | 
 member of the taxpayer's unitary business group but  | 
 for the fact that the foreign person's business  | 
 | 
 activity outside the United States is 80% or more of  | 
 that person's total business activity and (ii) for  | 
 taxable years ending on or after December 31, 2008, to  | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304, but  | 
 not to exceed the addition modification required to be  | 
 made for the same taxable year under Section  | 
 203(b)(2)(E-12) for interest paid, accrued, or  | 
 incurred, directly or indirectly, to the same person.  | 
 This subparagraph (W) is exempt from the provisions of  | 
 Section 250;  | 
   (X) An amount equal to the income from intangible  | 
 property taken into account for the taxable year (net  | 
 of the deductions allocable thereto) with respect to  | 
 transactions with (i) a foreign person who would be a  | 
 member of the taxpayer's unitary business group but  | 
 for the fact that the foreign person's business  | 
 activity outside the United States is 80% or more of  | 
 that person's total business activity and (ii) for  | 
 taxable years ending on or after December 31, 2008, to  | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304, but  | 
 not to exceed the addition modification required to be  | 
 made for the same taxable year under Section  | 
 203(b)(2)(E-13) for intangible expenses and costs  | 
 paid, accrued, or incurred, directly or indirectly, to  | 
 the same foreign person. This subparagraph (X) is  | 
 exempt from the provisions of Section 250;  | 
   (Y) For taxable years ending on or after December  | 
 31, 2011, in the case of a taxpayer who was required to  | 
 add back any insurance premiums under Section  | 
 203(b)(2)(E-14), such taxpayer may elect to subtract  | 
 that part of a reimbursement received from the  | 
 insurance company equal to the amount of the expense  | 
 or loss (including expenses incurred by the insurance  | 
 company) that would have been taken into account as a  | 
 deduction for federal income tax purposes if the  | 
 expense or loss had been uninsured. If a taxpayer  | 
 makes the election provided for by this subparagraph  | 
 (Y), the insurer to which the premiums were paid must  | 
 add back to income the amount subtracted by the  | 
 taxpayer pursuant to this subparagraph (Y). This  | 
 subparagraph (Y) is exempt from the provisions of  | 
 Section 250;  | 
 | 
   (Z) The difference between the nondeductible  | 
 controlled foreign corporation dividends under Section  | 
 965(e)(3) of the Internal Revenue Code over the  | 
 taxable income of the taxpayer, computed without  | 
 regard to Section 965(e)(2)(A) of the Internal Revenue  | 
 Code, and without regard to any net operating loss  | 
 deduction. This subparagraph (Z) is exempt from the  | 
 provisions of Section 250; and  | 
   (AA) For taxable years beginning on or after  | 
 January 1, 2023, for any cannabis establishment  | 
 operating in this State and licensed under the  | 
 Cannabis Regulation and Tax Act or any cannabis  | 
 cultivation center or medical cannabis dispensing  | 
 organization operating in this State and licensed  | 
 under the Compassionate Use of Medical Cannabis  | 
 Program Act, an amount equal to the deductions that  | 
 were disallowed under Section 280E of the Internal  | 
 Revenue Code for the taxable year and that would not be  | 
 added back under this subsection. The provisions of  | 
 this subparagraph (AA) are exempt from the provisions  | 
 of Section 250.  | 
  (3) Special rule. For purposes of paragraph (2)(A),  | 
 "gross income" in the case of a life insurance company,  | 
 for tax years ending on and after December 31, 1994, and  | 
 prior to December 31, 2011, shall mean the gross  | 
 investment income for the taxable year and, for tax years  | 
 | 
 ending on or after December 31, 2011, shall mean all  | 
 amounts included in life insurance gross income under  | 
 Section 803(a)(3) of the Internal Revenue Code.
 | 
 (c) Trusts and estates. | 
  (1) In general. In the case of a trust or estate, base  | 
 income means an amount equal to the taxpayer's taxable  | 
 income for the taxable year as modified by paragraph (2). | 
  (2) Modifications. Subject to the provisions of  | 
 paragraph (3), the taxable income referred to in paragraph  | 
 (1) shall be modified by adding thereto the sum of the  | 
 following amounts: | 
   (A) An amount equal to all amounts paid or accrued  | 
 to the taxpayer as interest or dividends during the  | 
 taxable year to the extent excluded from gross income  | 
 in the computation of taxable income; | 
   (B) In the case of (i) an estate, $600; (ii) a  | 
 trust which, under its governing instrument, is  | 
 required to distribute all of its income currently,  | 
 $300; and (iii) any other trust, $100, but in each such  | 
 case, only to the extent such amount was deducted in  | 
 the computation of taxable income; | 
   (C) An amount equal to the amount of tax imposed by  | 
 this Act to the extent deducted from gross income in  | 
 the computation of taxable income for the taxable  | 
 year; | 
 | 
   (D) The amount of any net operating loss deduction  | 
 taken in arriving at taxable income, other than a net  | 
 operating loss carried forward from a taxable year  | 
 ending prior to December 31, 1986; | 
   (E) For taxable years in which a net operating  | 
 loss carryback or carryforward from a taxable year  | 
 ending prior to December 31, 1986 is an element of  | 
 taxable income under paragraph (1) of subsection (e)  | 
 or subparagraph (E) of paragraph (2) of subsection  | 
 (e), the amount by which addition modifications other  | 
 than those provided by this subparagraph (E) exceeded  | 
 subtraction modifications in such taxable year, with  | 
 the following limitations applied in the order that  | 
 they are listed: | 
    (i) the addition modification relating to the  | 
 net operating loss carried back or forward to the  | 
 taxable year from any taxable year ending prior to  | 
 December 31, 1986 shall be reduced by the amount  | 
 of addition modification under this subparagraph  | 
 (E) which related to that net operating loss and  | 
 which was taken into account in calculating the  | 
 base income of an earlier taxable year, and | 
    (ii) the addition modification relating to the  | 
 net operating loss carried back or forward to the  | 
 taxable year from any taxable year ending prior to  | 
 December 31, 1986 shall not exceed the amount of  | 
 | 
 such carryback or carryforward; | 
   For taxable years in which there is a net  | 
 operating loss carryback or carryforward from more  | 
 than one other taxable year ending prior to December  | 
 31, 1986, the addition modification provided in this  | 
 subparagraph (E) shall be the sum of the amounts  | 
 computed independently under the preceding provisions  | 
 of this subparagraph (E) for each such taxable year; | 
   (F) For taxable years ending on or after January  | 
 1, 1989, an amount equal to the tax deducted pursuant  | 
 to Section 164 of the Internal Revenue Code if the  | 
 trust or estate is claiming the same tax for purposes  | 
 of the Illinois foreign tax credit under Section 601  | 
 of this Act; | 
   (G) An amount equal to the amount of the capital  | 
 gain deduction allowable under the Internal Revenue  | 
 Code, to the extent deducted from gross income in the  | 
 computation of taxable income; | 
   (G-5) For taxable years ending after December 31,  | 
 1997, an amount equal to any eligible remediation  | 
 costs that the trust or estate deducted in computing  | 
 adjusted gross income and for which the trust or  | 
 estate claims a credit under subsection (l) of Section  | 
 201; | 
   (G-10) For taxable years 2001 and thereafter, an  | 
 amount equal to the bonus depreciation deduction taken  | 
 | 
 on the taxpayer's federal income tax return for the  | 
 taxable year under subsection (k) of Section 168 of  | 
 the Internal Revenue Code; and | 
   (G-11) If the taxpayer sells, transfers, abandons,  | 
 or otherwise disposes of property for which the  | 
 taxpayer was required in any taxable year to make an  | 
 addition modification under subparagraph (G-10), then  | 
 an amount equal to the aggregate amount of the  | 
 deductions taken in all taxable years under  | 
 subparagraph (R) with respect to that property. | 
   If the taxpayer continues to own property through  | 
 the last day of the last tax year for which a  | 
 subtraction is allowed with respect to that property  | 
 under subparagraph (R) and for which the taxpayer was  | 
 allowed in any taxable year to make a subtraction  | 
 modification under subparagraph (R), then an amount  | 
 equal to that subtraction modification.  | 
   The taxpayer is required to make the addition  | 
 modification under this subparagraph only once with  | 
 respect to any one piece of property; | 
   (G-12) An amount equal to the amount otherwise  | 
 allowed as a deduction in computing base income for  | 
 interest paid, accrued, or incurred, directly or  | 
 indirectly, (i) for taxable years ending on or after  | 
 December 31, 2004, to a foreign person who would be a  | 
 member of the same unitary business group but for the  | 
 | 
 fact that the foreign person's business activity  | 
 outside the United States is 80% or more of the foreign  | 
 person's total business activity and (ii) for taxable  | 
 years ending on or after December 31, 2008, to a person  | 
 who would be a member of the same unitary business  | 
 group but for the fact that the person is prohibited  | 
 under Section 1501(a)(27) from being included in the  | 
 unitary business group because he or she is ordinarily  | 
 required to apportion business income under different  | 
 subsections of Section 304. The addition modification  | 
 required by this subparagraph shall be reduced to the  | 
 extent that dividends were included in base income of  | 
 the unitary group for the same taxable year and  | 
 received by the taxpayer or by a member of the  | 
 taxpayer's unitary business group (including amounts  | 
 included in gross income pursuant to Sections 951  | 
 through 964 of the Internal Revenue Code and amounts  | 
 included in gross income under Section 78 of the  | 
 Internal Revenue Code) with respect to the stock of  | 
 the same person to whom the interest was paid,  | 
 accrued, or incurred.  | 
   This paragraph shall not apply to the following:  | 
    (i) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person who  | 
 is subject in a foreign country or state, other  | 
 than a state which requires mandatory unitary  | 
 | 
 reporting, to a tax on or measured by net income  | 
 with respect to such interest; or | 
    (ii) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person if  | 
 the taxpayer can establish, based on a  | 
 preponderance of the evidence, both of the  | 
 following: | 
     (a) the person, during the same taxable  | 
 year, paid, accrued, or incurred, the interest  | 
 to a person that is not a related member, and | 
     (b) the transaction giving rise to the  | 
 interest expense between the taxpayer and the  | 
 person did not have as a principal purpose the  | 
 avoidance of Illinois income tax, and is paid  | 
 pursuant to a contract or agreement that  | 
 reflects an arm's-length interest rate and  | 
 terms; or  | 
    (iii) the taxpayer can establish, based on  | 
 clear and convincing evidence, that the interest  | 
 paid, accrued, or incurred relates to a contract  | 
 or agreement entered into at arm's-length rates  | 
 and terms and the principal purpose for the  | 
 payment is not federal or Illinois tax avoidance;  | 
 or  | 
    (iv) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person if  | 
 | 
 the taxpayer establishes by clear and convincing  | 
 evidence that the adjustments are unreasonable; or  | 
 if the taxpayer and the Director agree in writing  | 
 to the application or use of an alternative method  | 
 of apportionment under Section 304(f).  | 
    Nothing in this subsection shall preclude the  | 
 Director from making any other adjustment  | 
 otherwise allowed under Section 404 of this Act  | 
 for any tax year beginning after the effective  | 
 date of this amendment provided such adjustment is  | 
 made pursuant to regulation adopted by the  | 
 Department and such regulations provide methods  | 
 and standards by which the Department will utilize  | 
 its authority under Section 404 of this Act;  | 
   (G-13) An amount equal to the amount of intangible  | 
 expenses and costs otherwise allowed as a deduction in  | 
 computing base income, and that were paid, accrued, or  | 
 incurred, directly or indirectly, (i) for taxable  | 
 years ending on or after December 31, 2004, to a  | 
 foreign person who would be a member of the same  | 
 unitary business group but for the fact that the  | 
 foreign person's business activity outside the United  | 
 States is 80% or more of that person's total business  | 
 activity and (ii) for taxable years ending on or after  | 
 December 31, 2008, to a person who would be a member of  | 
 the same unitary business group but for the fact that  | 
 | 
 the person is prohibited under Section 1501(a)(27)  | 
 from being included in the unitary business group  | 
 because he or she is ordinarily required to apportion  | 
 business income under different subsections of Section  | 
 304. The addition modification required by this  | 
 subparagraph shall be reduced to the extent that  | 
 dividends were included in base income of the unitary  | 
 group for the same taxable year and received by the  | 
 taxpayer or by a member of the taxpayer's unitary  | 
 business group (including amounts included in gross  | 
 income pursuant to Sections 951 through 964 of the  | 
 Internal Revenue Code and amounts included in gross  | 
 income under Section 78 of the Internal Revenue Code)  | 
 with respect to the stock of the same person to whom  | 
 the intangible expenses and costs were directly or  | 
 indirectly paid, incurred, or accrued. The preceding  | 
 sentence shall not apply to the extent that the same  | 
 dividends caused a reduction to the addition  | 
 modification required under Section 203(c)(2)(G-12) of  | 
 this Act. As used in this subparagraph, the term  | 
 "intangible expenses and costs" includes: (1)  | 
 expenses, losses, and costs for or related to the  | 
 direct or indirect acquisition, use, maintenance or  | 
 management, ownership, sale, exchange, or any other  | 
 disposition of intangible property; (2) losses  | 
 incurred, directly or indirectly, from factoring  | 
 | 
 transactions or discounting transactions; (3) royalty,  | 
 patent, technical, and copyright fees; (4) licensing  | 
 fees; and (5) other similar expenses and costs. For  | 
 purposes of this subparagraph, "intangible property"  | 
 includes patents, patent applications, trade names,  | 
 trademarks, service marks, copyrights, mask works,  | 
 trade secrets, and similar types of intangible assets. | 
   This paragraph shall not apply to the following: | 
    (i) any item of intangible expenses or costs  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, from a transaction with a person who  | 
 is subject in a foreign country or state, other  | 
 than a state which requires mandatory unitary  | 
 reporting, to a tax on or measured by net income  | 
 with respect to such item; or | 
    (ii) any item of intangible expense or cost  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, if the taxpayer can establish, based  | 
 on a preponderance of the evidence, both of the  | 
 following: | 
     (a) the person during the same taxable  | 
 year paid, accrued, or incurred, the  | 
 intangible expense or cost to a person that is  | 
 not a related member, and | 
     (b) the transaction giving rise to the  | 
 intangible expense or cost between the  | 
 | 
 taxpayer and the person did not have as a  | 
 principal purpose the avoidance of Illinois  | 
 income tax, and is paid pursuant to a contract  | 
 or agreement that reflects arm's-length terms;  | 
 or | 
    (iii) any item of intangible expense or cost  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, from a transaction with a person if  | 
 the taxpayer establishes by clear and convincing  | 
 evidence, that the adjustments are unreasonable;  | 
 or if the taxpayer and the Director agree in  | 
 writing to the application or use of an  | 
 alternative method of apportionment under Section  | 
 304(f);  | 
    Nothing in this subsection shall preclude the  | 
 Director from making any other adjustment  | 
 otherwise allowed under Section 404 of this Act  | 
 for any tax year beginning after the effective  | 
 date of this amendment provided such adjustment is  | 
 made pursuant to regulation adopted by the  | 
 Department and such regulations provide methods  | 
 and standards by which the Department will utilize  | 
 its authority under Section 404 of this Act;  | 
   (G-14) For taxable years ending on or after  | 
 December 31, 2008, an amount equal to the amount of  | 
 insurance premium expenses and costs otherwise allowed  | 
 | 
 as a deduction in computing base income, and that were  | 
 paid, accrued, or incurred, directly or indirectly, to  | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304. The  | 
 addition modification required by this subparagraph  | 
 shall be reduced to the extent that dividends were  | 
 included in base income of the unitary group for the  | 
 same taxable year and received by the taxpayer or by a  | 
 member of the taxpayer's unitary business group  | 
 (including amounts included in gross income under  | 
 Sections 951 through 964 of the Internal Revenue Code  | 
 and amounts included in gross income under Section 78  | 
 of the Internal Revenue Code) with respect to the  | 
 stock of the same person to whom the premiums and costs  | 
 were directly or indirectly paid, incurred, or  | 
 accrued. The preceding sentence does not apply to the  | 
 extent that the same dividends caused a reduction to  | 
 the addition modification required under Section  | 
 203(c)(2)(G-12) or Section 203(c)(2)(G-13) of this  | 
 Act; | 
   (G-15) An amount equal to the credit allowable to  | 
 the taxpayer under Section 218(a) of this Act,  | 
 | 
 determined without regard to Section 218(c) of this  | 
 Act; | 
   (G-16) For taxable years ending on or after  | 
 December 31, 2017, an amount equal to the deduction  | 
 allowed under Section 199 of the Internal Revenue Code  | 
 for the taxable year;  | 
 and by deducting from the total so obtained the sum of the  | 
 following amounts: | 
   (H) An amount equal to all amounts included in  | 
 such total pursuant to the provisions of Sections  | 
 402(a), 402(c), 403(a), 403(b), 406(a), 407(a) and 408  | 
 of the Internal Revenue Code or included in such total  | 
 as distributions under the provisions of any  | 
 retirement or disability plan for employees of any  | 
 governmental agency or unit, or retirement payments to  | 
 retired partners, which payments are excluded in  | 
 computing net earnings from self employment by Section  | 
 1402 of the Internal Revenue Code and regulations  | 
 adopted pursuant thereto; | 
   (I) The valuation limitation amount; | 
   (J) An amount equal to the amount of any tax  | 
 imposed by this Act which was refunded to the taxpayer  | 
 and included in such total for the taxable year; | 
   (K) An amount equal to all amounts included in  | 
 taxable income as modified by subparagraphs (A), (B),  | 
 (C), (D), (E), (F) and (G) which are exempt from  | 
 | 
 taxation by this State either by reason of its  | 
 statutes or Constitution or by reason of the  | 
 Constitution, treaties or statutes of the United  | 
 States; provided that, in the case of any statute of  | 
 this State that exempts income derived from bonds or  | 
 other obligations from the tax imposed under this Act,  | 
 the amount exempted shall be the interest net of bond  | 
 premium amortization; | 
   (L) With the exception of any amounts subtracted  | 
 under subparagraph (K), an amount equal to the sum of  | 
 all amounts disallowed as deductions by (i) Sections  | 
 171(a)(2) and 265(a)(2) of the Internal Revenue Code,  | 
 and all amounts of expenses allocable to interest and  | 
 disallowed as deductions by Section 265(a)(1) of the  | 
 Internal Revenue Code; and (ii) for taxable years  | 
 ending on or after August 13, 1999, Sections  | 
 171(a)(2), 265, 280C, and 832(b)(5)(B)(i) of the  | 
 Internal Revenue Code, plus, (iii) for taxable years  | 
 ending on or after December 31, 2011, Section  | 
 45G(e)(3) of the Internal Revenue Code and, for  | 
 taxable years ending on or after December 31, 2008,  | 
 any amount included in gross income under Section 87  | 
 of the Internal Revenue Code; the provisions of this  | 
 subparagraph are exempt from the provisions of Section  | 
 250; | 
   (M) An amount equal to those dividends included in  | 
 | 
 such total which were paid by a corporation which  | 
 conducts business operations in a River Edge  | 
 Redevelopment Zone or zones created under the River  | 
 Edge Redevelopment Zone Act and conducts substantially  | 
 all of its operations in a River Edge Redevelopment  | 
 Zone or zones. This subparagraph (M) is exempt from  | 
 the provisions of Section 250; | 
   (N) An amount equal to any contribution made to a  | 
 job training project established pursuant to the Tax  | 
 Increment Allocation Redevelopment Act; | 
   (O) An amount equal to those dividends included in  | 
 such total that were paid by a corporation that  | 
 conducts business operations in a federally designated  | 
 Foreign Trade Zone or Sub-Zone and that is designated  | 
 a High Impact Business located in Illinois; provided  | 
 that dividends eligible for the deduction provided in  | 
 subparagraph (M) of paragraph (2) of this subsection  | 
 shall not be eligible for the deduction provided under  | 
 this subparagraph (O); | 
   (P) An amount equal to the amount of the deduction  | 
 used to compute the federal income tax credit for  | 
 restoration of substantial amounts held under claim of  | 
 right for the taxable year pursuant to Section 1341 of  | 
 the Internal Revenue Code; | 
   (Q) For taxable year 1999 and thereafter, an  | 
 amount equal to the amount of any (i) distributions,  | 
 | 
 to the extent includible in gross income for federal  | 
 income tax purposes, made to the taxpayer because of  | 
 his or her status as a victim of persecution for racial  | 
 or religious reasons by Nazi Germany or any other Axis  | 
 regime or as an heir of the victim and (ii) items of  | 
 income, to the extent includible in gross income for  | 
 federal income tax purposes, attributable to, derived  | 
 from or in any way related to assets stolen from,  | 
 hidden from, or otherwise lost to a victim of  | 
 persecution for racial or religious reasons by Nazi  | 
 Germany or any other Axis regime immediately prior to,  | 
 during, and immediately after World War II, including,  | 
 but not limited to, interest on the proceeds  | 
 receivable as insurance under policies issued to a  | 
 victim of persecution for racial or religious reasons  | 
 by Nazi Germany or any other Axis regime by European  | 
 insurance companies immediately prior to and during  | 
 World War II; provided, however, this subtraction from  | 
 federal adjusted gross income does not apply to assets  | 
 acquired with such assets or with the proceeds from  | 
 the sale of such assets; provided, further, this  | 
 paragraph shall only apply to a taxpayer who was the  | 
 first recipient of such assets after their recovery  | 
 and who is a victim of persecution for racial or  | 
 religious reasons by Nazi Germany or any other Axis  | 
 regime or as an heir of the victim. The amount of and  | 
 | 
 the eligibility for any public assistance, benefit, or  | 
 similar entitlement is not affected by the inclusion  | 
 of items (i) and (ii) of this paragraph in gross income  | 
 for federal income tax purposes. This paragraph is  | 
 exempt from the provisions of Section 250; | 
   (R) For taxable years 2001 and thereafter, for the  | 
 taxable year in which the bonus depreciation deduction  | 
 is taken on the taxpayer's federal income tax return  | 
 under subsection (k) of Section 168 of the Internal  | 
 Revenue Code and for each applicable taxable year  | 
 thereafter, an amount equal to "x", where: | 
    (1) "y" equals the amount of the depreciation  | 
 deduction taken for the taxable year on the  | 
 taxpayer's federal income tax return on property  | 
 for which the bonus depreciation deduction was  | 
 taken in any year under subsection (k) of Section  | 
 168 of the Internal Revenue Code, but not  | 
 including the bonus depreciation deduction; | 
    (2) for taxable years ending on or before  | 
 December 31, 2005, "x" equals "y" multiplied by 30  | 
 and then divided by 70 (or "y" multiplied by  | 
 0.429); and | 
    (3) for taxable years ending after December  | 
 31, 2005: | 
     (i) for property on which a bonus  | 
 depreciation deduction of 30% of the adjusted  | 
 | 
 basis was taken, "x" equals "y" multiplied by  | 
 30 and then divided by 70 (or "y" multiplied  | 
 by 0.429); | 
     (ii) for property on which a bonus  | 
 depreciation deduction of 50% of the adjusted  | 
 basis was taken, "x" equals "y" multiplied by  | 
 1.0; | 
     (iii) for property on which a bonus  | 
 depreciation deduction of 100% of the adjusted  | 
 basis was taken in a taxable year ending on or  | 
 after December 31, 2021, "x" equals the  | 
 depreciation deduction that would be allowed  | 
 on that property if the taxpayer had made the  | 
 election under Section 168(k)(7) of the  | 
 Internal Revenue Code to not claim bonus  | 
 depreciation on that property; and | 
     (iv) for property on which a bonus  | 
 depreciation deduction of a percentage other  | 
 than 30%, 50% or 100% of the adjusted basis  | 
 was taken in a taxable year ending on or after  | 
 December 31, 2021, "x" equals "y" multiplied  | 
 by 100 times the percentage bonus depreciation  | 
 on the property (that is, 100(bonus%)) and  | 
 then divided by 100 times 1 minus the  | 
 percentage bonus depreciation on the property  | 
 (that is, 100(1-bonus%)).  | 
 | 
   The aggregate amount deducted under this  | 
 subparagraph in all taxable years for any one piece of  | 
 property may not exceed the amount of the bonus  | 
 depreciation deduction taken on that property on the  | 
 taxpayer's federal income tax return under subsection  | 
 (k) of Section 168 of the Internal Revenue Code. This  | 
 subparagraph (R) is exempt from the provisions of  | 
 Section 250; | 
   (S) If the taxpayer sells, transfers, abandons, or  | 
 otherwise disposes of property for which the taxpayer  | 
 was required in any taxable year to make an addition  | 
 modification under subparagraph (G-10), then an amount  | 
 equal to that addition modification. | 
   If the taxpayer continues to own property through  | 
 the last day of the last tax year for which a  | 
 subtraction is allowed with respect to that property  | 
 under subparagraph (R) and for which the taxpayer was  | 
 required in any taxable year to make an addition  | 
 modification under subparagraph (G-10), then an amount  | 
 equal to that addition modification.  | 
   The taxpayer is allowed to take the deduction  | 
 under this subparagraph only once with respect to any  | 
 one piece of property. | 
   This subparagraph (S) is exempt from the  | 
 provisions of Section 250; | 
   (T) The amount of (i) any interest income (net of  | 
 | 
 the deductions allocable thereto) taken into account  | 
 for the taxable year with respect to a transaction  | 
 with a taxpayer that is required to make an addition  | 
 modification with respect to such transaction under  | 
 Section 203(a)(2)(D-17), 203(b)(2)(E-12),  | 
 203(c)(2)(G-12), or 203(d)(2)(D-7), but not to exceed  | 
 the amount of such addition modification and (ii) any  | 
 income from intangible property (net of the deductions  | 
 allocable thereto) taken into account for the taxable  | 
 year with respect to a transaction with a taxpayer  | 
 that is required to make an addition modification with  | 
 respect to such transaction under Section  | 
 203(a)(2)(D-18), 203(b)(2)(E-13), 203(c)(2)(G-13), or  | 
 203(d)(2)(D-8), but not to exceed the amount of such  | 
 addition modification. This subparagraph (T) is exempt  | 
 from the provisions of Section 250;  | 
   (U) An amount equal to the interest income taken  | 
 into account for the taxable year (net of the  | 
 deductions allocable thereto) with respect to  | 
 transactions with (i) a foreign person who would be a  | 
 member of the taxpayer's unitary business group but  | 
 for the fact the foreign person's business activity  | 
 outside the United States is 80% or more of that  | 
 person's total business activity and (ii) for taxable  | 
 years ending on or after December 31, 2008, to a person  | 
 who would be a member of the same unitary business  | 
 | 
 group but for the fact that the person is prohibited  | 
 under Section 1501(a)(27) from being included in the  | 
 unitary business group because he or she is ordinarily  | 
 required to apportion business income under different  | 
 subsections of Section 304, but not to exceed the  | 
 addition modification required to be made for the same  | 
 taxable year under Section 203(c)(2)(G-12) for  | 
 interest paid, accrued, or incurred, directly or  | 
 indirectly, to the same person. This subparagraph (U)  | 
 is exempt from the provisions of Section 250;  | 
   (V) An amount equal to the income from intangible  | 
 property taken into account for the taxable year (net  | 
 of the deductions allocable thereto) with respect to  | 
 transactions with (i) a foreign person who would be a  | 
 member of the taxpayer's unitary business group but  | 
 for the fact that the foreign person's business  | 
 activity outside the United States is 80% or more of  | 
 that person's total business activity and (ii) for  | 
 taxable years ending on or after December 31, 2008, to  | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304, but  | 
 not to exceed the addition modification required to be  | 
 | 
 made for the same taxable year under Section  | 
 203(c)(2)(G-13) for intangible expenses and costs  | 
 paid, accrued, or incurred, directly or indirectly, to  | 
 the same foreign person. This subparagraph (V) is  | 
 exempt from the provisions of Section 250;  | 
   (W) in the case of an estate, an amount equal to  | 
 all amounts included in such total pursuant to the  | 
 provisions of Section 111 of the Internal Revenue Code  | 
 as a recovery of items previously deducted by the  | 
 decedent from adjusted gross income in the computation  | 
 of taxable income. This subparagraph (W) is exempt  | 
 from Section 250;  | 
   (X) an amount equal to the refund included in such  | 
 total of any tax deducted for federal income tax  | 
 purposes, to the extent that deduction was added back  | 
 under subparagraph (F). This subparagraph (X) is  | 
 exempt from the provisions of Section 250; | 
   (Y) For taxable years ending on or after December  | 
 31, 2011, in the case of a taxpayer who was required to  | 
 add back any insurance premiums under Section  | 
 203(c)(2)(G-14), such taxpayer may elect to subtract  | 
 that part of a reimbursement received from the  | 
 insurance company equal to the amount of the expense  | 
 or loss (including expenses incurred by the insurance  | 
 company) that would have been taken into account as a  | 
 deduction for federal income tax purposes if the  | 
 | 
 expense or loss had been uninsured. If a taxpayer  | 
 makes the election provided for by this subparagraph  | 
 (Y), the insurer to which the premiums were paid must  | 
 add back to income the amount subtracted by the  | 
 taxpayer pursuant to this subparagraph (Y). This  | 
 subparagraph (Y) is exempt from the provisions of  | 
 Section 250; | 
   (Z) For taxable years beginning after December 31,  | 
 2018 and before January 1, 2026, the amount of excess  | 
 business loss of the taxpayer disallowed as a  | 
 deduction by Section 461(l)(1)(B) of the Internal  | 
 Revenue Code; and  | 
   (AA) For taxable years beginning on or after  | 
 January 1, 2023, for any cannabis establishment  | 
 operating in this State and licensed under the  | 
 Cannabis Regulation and Tax Act or any cannabis  | 
 cultivation center or medical cannabis dispensing  | 
 organization operating in this State and licensed  | 
 under the Compassionate Use of Medical Cannabis  | 
 Program Act, an amount equal to the deductions that  | 
 were disallowed under Section 280E of the Internal  | 
 Revenue Code for the taxable year and that would not be  | 
 added back under this subsection. The provisions of  | 
 this subparagraph (AA) are exempt from the provisions  | 
 of Section 250.  | 
  (3) Limitation. The amount of any modification  | 
 | 
 otherwise required under this subsection shall, under  | 
 regulations prescribed by the Department, be adjusted by  | 
 any amounts included therein which were properly paid,  | 
 credited, or required to be distributed, or permanently  | 
 set aside for charitable purposes pursuant to Internal  | 
 Revenue Code Section 642(c) during the taxable year.
 | 
 (d) Partnerships. | 
  (1) In general. In the case of a partnership, base  | 
 income means an amount equal to the taxpayer's taxable  | 
 income for the taxable year as modified by paragraph (2). | 
  (2) Modifications. The taxable income referred to in  | 
 paragraph (1) shall be modified by adding thereto the sum  | 
 of the following amounts: | 
   (A) An amount equal to all amounts paid or accrued  | 
 to the taxpayer as interest or dividends during the  | 
 taxable year to the extent excluded from gross income  | 
 in the computation of taxable income; | 
   (B) An amount equal to the amount of tax imposed by  | 
 this Act to the extent deducted from gross income for  | 
 the taxable year; | 
   (C) The amount of deductions allowed to the  | 
 partnership pursuant to Section 707 (c) of the  | 
 Internal Revenue Code in calculating its taxable  | 
 income; | 
   (D) An amount equal to the amount of the capital  | 
 | 
 gain deduction allowable under the Internal Revenue  | 
 Code, to the extent deducted from gross income in the  | 
 computation of taxable income; | 
   (D-5) For taxable years 2001 and thereafter, an  | 
 amount equal to the bonus depreciation deduction taken  | 
 on the taxpayer's federal income tax return for the  | 
 taxable year under subsection (k) of Section 168 of  | 
 the Internal Revenue Code; | 
   (D-6) If the taxpayer sells, transfers, abandons,  | 
 or otherwise disposes of property for which the  | 
 taxpayer was required in any taxable year to make an  | 
 addition modification under subparagraph (D-5), then  | 
 an amount equal to the aggregate amount of the  | 
 deductions taken in all taxable years under  | 
 subparagraph (O) with respect to that property. | 
   If the taxpayer continues to own property through  | 
 the last day of the last tax year for which a  | 
 subtraction is allowed with respect to that property  | 
 under subparagraph (O) and for which the taxpayer was  | 
 allowed in any taxable year to make a subtraction  | 
 modification under subparagraph (O), then an amount  | 
 equal to that subtraction modification.  | 
   The taxpayer is required to make the addition  | 
 modification under this subparagraph only once with  | 
 respect to any one piece of property; | 
   (D-7) An amount equal to the amount otherwise  | 
 | 
 allowed as a deduction in computing base income for  | 
 interest paid, accrued, or incurred, directly or  | 
 indirectly, (i) for taxable years ending on or after  | 
 December 31, 2004, to a foreign person who would be a  | 
 member of the same unitary business group but for the  | 
 fact the foreign person's business activity outside  | 
 the United States is 80% or more of the foreign  | 
 person's total business activity and (ii) for taxable  | 
 years ending on or after December 31, 2008, to a person  | 
 who would be a member of the same unitary business  | 
 group but for the fact that the person is prohibited  | 
 under Section 1501(a)(27) from being included in the  | 
 unitary business group because he or she is ordinarily  | 
 required to apportion business income under different  | 
 subsections of Section 304. The addition modification  | 
 required by this subparagraph shall be reduced to the  | 
 extent that dividends were included in base income of  | 
 the unitary group for the same taxable year and  | 
 received by the taxpayer or by a member of the  | 
 taxpayer's unitary business group (including amounts  | 
 included in gross income pursuant to Sections 951  | 
 through 964 of the Internal Revenue Code and amounts  | 
 included in gross income under Section 78 of the  | 
 Internal Revenue Code) with respect to the stock of  | 
 the same person to whom the interest was paid,  | 
 accrued, or incurred.  | 
 | 
   This paragraph shall not apply to the following:  | 
    (i) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person who  | 
 is subject in a foreign country or state, other  | 
 than a state which requires mandatory unitary  | 
 reporting, to a tax on or measured by net income  | 
 with respect to such interest; or | 
    (ii) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person if  | 
 the taxpayer can establish, based on a  | 
 preponderance of the evidence, both of the  | 
 following: | 
     (a) the person, during the same taxable  | 
 year, paid, accrued, or incurred, the interest  | 
 to a person that is not a related member, and | 
     (b) the transaction giving rise to the  | 
 interest expense between the taxpayer and the  | 
 person did not have as a principal purpose the  | 
 avoidance of Illinois income tax, and is paid  | 
 pursuant to a contract or agreement that  | 
 reflects an arm's-length interest rate and  | 
 terms; or  | 
    (iii) the taxpayer can establish, based on  | 
 clear and convincing evidence, that the interest  | 
 paid, accrued, or incurred relates to a contract  | 
 or agreement entered into at arm's-length rates  | 
 | 
 and terms and the principal purpose for the  | 
 payment is not federal or Illinois tax avoidance;  | 
 or  | 
    (iv) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person if  | 
 the taxpayer establishes by clear and convincing  | 
 evidence that the adjustments are unreasonable; or  | 
 if the taxpayer and the Director agree in writing  | 
 to the application or use of an alternative method  | 
 of apportionment under Section 304(f).  | 
    Nothing in this subsection shall preclude the  | 
 Director from making any other adjustment  | 
 otherwise allowed under Section 404 of this Act  | 
 for any tax year beginning after the effective  | 
 date of this amendment provided such adjustment is  | 
 made pursuant to regulation adopted by the  | 
 Department and such regulations provide methods  | 
 and standards by which the Department will utilize  | 
 its authority under Section 404 of this Act; and  | 
   (D-8) An amount equal to the amount of intangible  | 
 expenses and costs otherwise allowed as a deduction in  | 
 computing base income, and that were paid, accrued, or  | 
 incurred, directly or indirectly, (i) for taxable  | 
 years ending on or after December 31, 2004, to a  | 
 foreign person who would be a member of the same  | 
 unitary business group but for the fact that the  | 
 | 
 foreign person's business activity outside the United  | 
 States is 80% or more of that person's total business  | 
 activity and (ii) for taxable years ending on or after  | 
 December 31, 2008, to a person who would be a member of  | 
 the same unitary business group but for the fact that  | 
 the person is prohibited under Section 1501(a)(27)  | 
 from being included in the unitary business group  | 
 because he or she is ordinarily required to apportion  | 
 business income under different subsections of Section  | 
 304. The addition modification required by this  | 
 subparagraph shall be reduced to the extent that  | 
 dividends were included in base income of the unitary  | 
 group for the same taxable year and received by the  | 
 taxpayer or by a member of the taxpayer's unitary  | 
 business group (including amounts included in gross  | 
 income pursuant to Sections 951 through 964 of the  | 
 Internal Revenue Code and amounts included in gross  | 
 income under Section 78 of the Internal Revenue Code)  | 
 with respect to the stock of the same person to whom  | 
 the intangible expenses and costs were directly or  | 
 indirectly paid, incurred or accrued. The preceding  | 
 sentence shall not apply to the extent that the same  | 
 dividends caused a reduction to the addition  | 
 modification required under Section 203(d)(2)(D-7) of  | 
 this Act. As used in this subparagraph, the term  | 
 "intangible expenses and costs" includes (1) expenses,  | 
 | 
 losses, and costs for, or related to, the direct or  | 
 indirect acquisition, use, maintenance or management,  | 
 ownership, sale, exchange, or any other disposition of  | 
 intangible property; (2) losses incurred, directly or  | 
 indirectly, from factoring transactions or discounting  | 
 transactions; (3) royalty, patent, technical, and  | 
 copyright fees; (4) licensing fees; and (5) other  | 
 similar expenses and costs. For purposes of this  | 
 subparagraph, "intangible property" includes patents,  | 
 patent applications, trade names, trademarks, service  | 
 marks, copyrights, mask works, trade secrets, and  | 
 similar types of intangible assets; | 
   This paragraph shall not apply to the following: | 
    (i) any item of intangible expenses or costs  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, from a transaction with a person who  | 
 is subject in a foreign country or state, other  | 
 than a state which requires mandatory unitary  | 
 reporting, to a tax on or measured by net income  | 
 with respect to such item; or | 
    (ii) any item of intangible expense or cost  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, if the taxpayer can establish, based  | 
 on a preponderance of the evidence, both of the  | 
 following: | 
     (a) the person during the same taxable  | 
 | 
 year paid, accrued, or incurred, the  | 
 intangible expense or cost to a person that is  | 
 not a related member, and | 
     (b) the transaction giving rise to the  | 
 intangible expense or cost between the  | 
 taxpayer and the person did not have as a  | 
 principal purpose the avoidance of Illinois  | 
 income tax, and is paid pursuant to a contract  | 
 or agreement that reflects arm's-length terms;  | 
 or | 
    (iii) any item of intangible expense or cost  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, from a transaction with a person if  | 
 the taxpayer establishes by clear and convincing  | 
 evidence, that the adjustments are unreasonable;  | 
 or if the taxpayer and the Director agree in  | 
 writing to the application or use of an  | 
 alternative method of apportionment under Section  | 
 304(f);  | 
    Nothing in this subsection shall preclude the  | 
 Director from making any other adjustment  | 
 otherwise allowed under Section 404 of this Act  | 
 for any tax year beginning after the effective  | 
 date of this amendment provided such adjustment is  | 
 made pursuant to regulation adopted by the  | 
 Department and such regulations provide methods  | 
 | 
 and standards by which the Department will utilize  | 
 its authority under Section 404 of this Act;  | 
   (D-9) For taxable years ending on or after  | 
 December 31, 2008, an amount equal to the amount of  | 
 insurance premium expenses and costs otherwise allowed  | 
 as a deduction in computing base income, and that were  | 
 paid, accrued, or incurred, directly or indirectly, to  | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304. The  | 
 addition modification required by this subparagraph  | 
 shall be reduced to the extent that dividends were  | 
 included in base income of the unitary group for the  | 
 same taxable year and received by the taxpayer or by a  | 
 member of the taxpayer's unitary business group  | 
 (including amounts included in gross income under  | 
 Sections 951 through 964 of the Internal Revenue Code  | 
 and amounts included in gross income under Section 78  | 
 of the Internal Revenue Code) with respect to the  | 
 stock of the same person to whom the premiums and costs  | 
 were directly or indirectly paid, incurred, or  | 
 accrued. The preceding sentence does not apply to the  | 
 extent that the same dividends caused a reduction to  | 
 | 
 the addition modification required under Section  | 
 203(d)(2)(D-7) or Section 203(d)(2)(D-8) of this Act; | 
   (D-10) An amount equal to the credit allowable to  | 
 the taxpayer under Section 218(a) of this Act,  | 
 determined without regard to Section 218(c) of this  | 
 Act; | 
   (D-11) For taxable years ending on or after  | 
 December 31, 2017, an amount equal to the deduction  | 
 allowed under Section 199 of the Internal Revenue Code  | 
 for the taxable year;  | 
 and by deducting from the total so obtained the following  | 
 amounts: | 
   (E) The valuation limitation amount; | 
   (F) An amount equal to the amount of any tax  | 
 imposed by this Act which was refunded to the taxpayer  | 
 and included in such total for the taxable year; | 
   (G) An amount equal to all amounts included in  | 
 taxable income as modified by subparagraphs (A), (B),  | 
 (C) and (D) which are exempt from taxation by this  | 
 State either by reason of its statutes or Constitution  | 
 or by reason of the Constitution, treaties or statutes  | 
 of the United States; provided that, in the case of any  | 
 statute of this State that exempts income derived from  | 
 bonds or other obligations from the tax imposed under  | 
 this Act, the amount exempted shall be the interest  | 
 net of bond premium amortization; | 
 | 
   (H) Any income of the partnership which  | 
 constitutes personal service income as defined in  | 
 Section 1348(b)(1) of the Internal Revenue Code (as in  | 
 effect December 31, 1981) or a reasonable allowance  | 
 for compensation paid or accrued for services rendered  | 
 by partners to the partnership, whichever is greater;  | 
 this subparagraph (H) is exempt from the provisions of  | 
 Section 250; | 
   (I) An amount equal to all amounts of income  | 
 distributable to an entity subject to the Personal  | 
 Property Tax Replacement Income Tax imposed by  | 
 subsections (c) and (d) of Section 201 of this Act  | 
 including amounts distributable to organizations  | 
 exempt from federal income tax by reason of Section  | 
 501(a) of the Internal Revenue Code; this subparagraph  | 
 (I) is exempt from the provisions of Section 250; | 
   (J) With the exception of any amounts subtracted  | 
 under subparagraph (G), an amount equal to the sum of  | 
 all amounts disallowed as deductions by (i) Sections  | 
 171(a)(2) and 265(a)(2) of the Internal Revenue Code,  | 
 and all amounts of expenses allocable to interest and  | 
 disallowed as deductions by Section 265(a)(1) of the  | 
 Internal Revenue Code; and (ii) for taxable years  | 
 ending on or after August 13, 1999, Sections  | 
 171(a)(2), 265, 280C, and 832(b)(5)(B)(i) of the  | 
 Internal Revenue Code, plus, (iii) for taxable years  | 
 | 
 ending on or after December 31, 2011, Section  | 
 45G(e)(3) of the Internal Revenue Code and, for  | 
 taxable years ending on or after December 31, 2008,  | 
 any amount included in gross income under Section 87  | 
 of the Internal Revenue Code; the provisions of this  | 
 subparagraph are exempt from the provisions of Section  | 
 250; | 
   (K) An amount equal to those dividends included in  | 
 such total which were paid by a corporation which  | 
 conducts business operations in a River Edge  | 
 Redevelopment Zone or zones created under the River  | 
 Edge Redevelopment Zone Act and conducts substantially  | 
 all of its operations from a River Edge Redevelopment  | 
 Zone or zones. This subparagraph (K) is exempt from  | 
 the provisions of Section 250; | 
   (L) An amount equal to any contribution made to a  | 
 job training project established pursuant to the Real  | 
 Property Tax Increment Allocation Redevelopment Act; | 
   (M) An amount equal to those dividends included in  | 
 such total that were paid by a corporation that  | 
 conducts business operations in a federally designated  | 
 Foreign Trade Zone or Sub-Zone and that is designated  | 
 a High Impact Business located in Illinois; provided  | 
 that dividends eligible for the deduction provided in  | 
 subparagraph (K) of paragraph (2) of this subsection  | 
 shall not be eligible for the deduction provided under  | 
 | 
 this subparagraph (M); | 
   (N) An amount equal to the amount of the deduction  | 
 used to compute the federal income tax credit for  | 
 restoration of substantial amounts held under claim of  | 
 right for the taxable year pursuant to Section 1341 of  | 
 the Internal Revenue Code; | 
   (O) For taxable years 2001 and thereafter, for the  | 
 taxable year in which the bonus depreciation deduction  | 
 is taken on the taxpayer's federal income tax return  | 
 under subsection (k) of Section 168 of the Internal  | 
 Revenue Code and for each applicable taxable year  | 
 thereafter, an amount equal to "x", where: | 
    (1) "y" equals the amount of the depreciation  | 
 deduction taken for the taxable year on the  | 
 taxpayer's federal income tax return on property  | 
 for which the bonus depreciation deduction was  | 
 taken in any year under subsection (k) of Section  | 
 168 of the Internal Revenue Code, but not  | 
 including the bonus depreciation deduction; | 
    (2) for taxable years ending on or before  | 
 December 31, 2005, "x" equals "y" multiplied by 30  | 
 and then divided by 70 (or "y" multiplied by  | 
 0.429); and | 
    (3) for taxable years ending after December  | 
 31, 2005: | 
     (i) for property on which a bonus  | 
 | 
 depreciation deduction of 30% of the adjusted  | 
 basis was taken, "x" equals "y" multiplied by  | 
 30 and then divided by 70 (or "y" multiplied  | 
 by 0.429); | 
     (ii) for property on which a bonus  | 
 depreciation deduction of 50% of the adjusted  | 
 basis was taken, "x" equals "y" multiplied by  | 
 1.0; | 
     (iii) for property on which a bonus  | 
 depreciation deduction of 100% of the adjusted  | 
 basis was taken in a taxable year ending on or  | 
 after December 31, 2021, "x" equals the  | 
 depreciation deduction that would be allowed  | 
 on that property if the taxpayer had made the  | 
 election under Section 168(k)(7) of the  | 
 Internal Revenue Code to not claim bonus  | 
 depreciation on that property; and | 
     (iv) for property on which a bonus  | 
 depreciation deduction of a percentage other  | 
 than 30%, 50% or 100% of the adjusted basis  | 
 was taken in a taxable year ending on or after  | 
 December 31, 2021, "x" equals "y" multiplied  | 
 by 100 times the percentage bonus depreciation  | 
 on the property (that is, 100(bonus%)) and  | 
 then divided by 100 times 1 minus the  | 
 percentage bonus depreciation on the property  | 
 | 
 (that is, 100(1-bonus%)).  | 
   The aggregate amount deducted under this  | 
 subparagraph in all taxable years for any one piece of  | 
 property may not exceed the amount of the bonus  | 
 depreciation deduction taken on that property on the  | 
 taxpayer's federal income tax return under subsection  | 
 (k) of Section 168 of the Internal Revenue Code. This  | 
 subparagraph (O) is exempt from the provisions of  | 
 Section 250; | 
   (P) If the taxpayer sells, transfers, abandons, or  | 
 otherwise disposes of property for which the taxpayer  | 
 was required in any taxable year to make an addition  | 
 modification under subparagraph (D-5), then an amount  | 
 equal to that addition modification. | 
   If the taxpayer continues to own property through  | 
 the last day of the last tax year for which a  | 
 subtraction is allowed with respect to that property  | 
 under subparagraph (O) and for which the taxpayer was  | 
 required in any taxable year to make an addition  | 
 modification under subparagraph (D-5), then an amount  | 
 equal to that addition modification.  | 
   The taxpayer is allowed to take the deduction  | 
 under this subparagraph only once with respect to any  | 
 one piece of property. | 
   This subparagraph (P) is exempt from the  | 
 provisions of Section 250; | 
 | 
   (Q) The amount of (i) any interest income (net of  | 
 the deductions allocable thereto) taken into account  | 
 for the taxable year with respect to a transaction  | 
 with a taxpayer that is required to make an addition  | 
 modification with respect to such transaction under  | 
 Section 203(a)(2)(D-17), 203(b)(2)(E-12),  | 
 203(c)(2)(G-12), or 203(d)(2)(D-7), but not to exceed  | 
 the amount of such addition modification and (ii) any  | 
 income from intangible property (net of the deductions  | 
 allocable thereto) taken into account for the taxable  | 
 year with respect to a transaction with a taxpayer  | 
 that is required to make an addition modification with  | 
 respect to such transaction under Section  | 
 203(a)(2)(D-18), 203(b)(2)(E-13), 203(c)(2)(G-13), or  | 
 203(d)(2)(D-8), but not to exceed the amount of such  | 
 addition modification. This subparagraph (Q) is exempt  | 
 from Section 250;  | 
   (R) An amount equal to the interest income taken  | 
 into account for the taxable year (net of the  | 
 deductions allocable thereto) with respect to  | 
 transactions with (i) a foreign person who would be a  | 
 member of the taxpayer's unitary business group but  | 
 for the fact that the foreign person's business  | 
 activity outside the United States is 80% or more of  | 
 that person's total business activity and (ii) for  | 
 taxable years ending on or after December 31, 2008, to  | 
 | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304, but  | 
 not to exceed the addition modification required to be  | 
 made for the same taxable year under Section  | 
 203(d)(2)(D-7) for interest paid, accrued, or  | 
 incurred, directly or indirectly, to the same person.  | 
 This subparagraph (R) is exempt from Section 250;  | 
   (S) An amount equal to the income from intangible  | 
 property taken into account for the taxable year (net  | 
 of the deductions allocable thereto) with respect to  | 
 transactions with (i) a foreign person who would be a  | 
 member of the taxpayer's unitary business group but  | 
 for the fact that the foreign person's business  | 
 activity outside the United States is 80% or more of  | 
 that person's total business activity and (ii) for  | 
 taxable years ending on or after December 31, 2008, to  | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304, but  | 
 | 
 not to exceed the addition modification required to be  | 
 made for the same taxable year under Section  | 
 203(d)(2)(D-8) for intangible expenses and costs paid,  | 
 accrued, or incurred, directly or indirectly, to the  | 
 same person. This subparagraph (S) is exempt from  | 
 Section 250;  | 
   (T) For taxable years ending on or after December  | 
 31, 2011, in the case of a taxpayer who was required to  | 
 add back any insurance premiums under Section  | 
 203(d)(2)(D-9), such taxpayer may elect to subtract  | 
 that part of a reimbursement received from the  | 
 insurance company equal to the amount of the expense  | 
 or loss (including expenses incurred by the insurance  | 
 company) that would have been taken into account as a  | 
 deduction for federal income tax purposes if the  | 
 expense or loss had been uninsured. If a taxpayer  | 
 makes the election provided for by this subparagraph  | 
 (T), the insurer to which the premiums were paid must  | 
 add back to income the amount subtracted by the  | 
 taxpayer pursuant to this subparagraph (T). This  | 
 subparagraph (T) is exempt from the provisions of  | 
 Section 250; and  | 
   (U) For taxable years beginning on or after  | 
 January 1, 2023, for any cannabis establishment  | 
 operating in this State and licensed under the  | 
 Cannabis Regulation and Tax Act or any cannabis  | 
 | 
 cultivation center or medical cannabis dispensing  | 
 organization operating in this State and licensed  | 
 under the Compassionate Use of Medical Cannabis  | 
 Program Act, an amount equal to the deductions that  | 
 were disallowed under Section 280E of the Internal  | 
 Revenue Code for the taxable year and that would not be  | 
 added back under this subsection. The provisions of  | 
 this subparagraph (U) are exempt from the provisions  | 
 of Section 250. 
 | 
 (e) Gross income; adjusted gross income; taxable income. | 
  (1) In general. Subject to the provisions of paragraph  | 
 (2) and subsection (b)(3), for purposes of this Section  | 
 and Section 803(e), a taxpayer's gross income, adjusted  | 
 gross income, or taxable income for the taxable year shall  | 
 mean the amount of gross income, adjusted gross income or  | 
 taxable income properly reportable for federal income tax  | 
 purposes for the taxable year under the provisions of the  | 
 Internal Revenue Code. Taxable income may be less than  | 
 zero. However, for taxable years ending on or after  | 
 December 31, 1986, net operating loss carryforwards from  | 
 taxable years ending prior to December 31, 1986, may not  | 
 exceed the sum of federal taxable income for the taxable  | 
 year before net operating loss deduction, plus the excess  | 
 of addition modifications over subtraction modifications  | 
 for the taxable year. For taxable years ending prior to  | 
 | 
 December 31, 1986, taxable income may never be an amount  | 
 in excess of the net operating loss for the taxable year as  | 
 defined in subsections (c) and (d) of Section 172 of the  | 
 Internal Revenue Code, provided that when taxable income  | 
 of a corporation (other than a Subchapter S corporation),  | 
 trust, or estate is less than zero and addition  | 
 modifications, other than those provided by subparagraph  | 
 (E) of paragraph (2) of subsection (b) for corporations or  | 
 subparagraph (E) of paragraph (2) of subsection (c) for  | 
 trusts and estates, exceed subtraction modifications, an  | 
 addition modification must be made under those  | 
 subparagraphs for any other taxable year to which the  | 
 taxable income less than zero (net operating loss) is  | 
 applied under Section 172 of the Internal Revenue Code or  | 
 under subparagraph (E) of paragraph (2) of this subsection  | 
 (e) applied in conjunction with Section 172 of the  | 
 Internal Revenue Code. | 
  (2) Special rule. For purposes of paragraph (1) of  | 
 this subsection, the taxable income properly reportable  | 
 for federal income tax purposes shall mean: | 
   (A) Certain life insurance companies. In the case  | 
 of a life insurance company subject to the tax imposed  | 
 by Section 801 of the Internal Revenue Code, life  | 
 insurance company taxable income, plus the amount of  | 
 distribution from pre-1984 policyholder surplus  | 
 accounts as calculated under Section 815a of the  | 
 | 
 Internal Revenue Code; | 
   (B) Certain other insurance companies. In the case  | 
 of mutual insurance companies subject to the tax  | 
 imposed by Section 831 of the Internal Revenue Code,  | 
 insurance company taxable income; | 
   (C) Regulated investment companies. In the case of  | 
 a regulated investment company subject to the tax  | 
 imposed by Section 852 of the Internal Revenue Code,  | 
 investment company taxable income; | 
   (D) Real estate investment trusts. In the case of  | 
 a real estate investment trust subject to the tax  | 
 imposed by Section 857 of the Internal Revenue Code,  | 
 real estate investment trust taxable income; | 
   (E) Consolidated corporations. In the case of a  | 
 corporation which is a member of an affiliated group  | 
 of corporations filing a consolidated income tax  | 
 return for the taxable year for federal income tax  | 
 purposes, taxable income determined as if such  | 
 corporation had filed a separate return for federal  | 
 income tax purposes for the taxable year and each  | 
 preceding taxable year for which it was a member of an  | 
 affiliated group. For purposes of this subparagraph,  | 
 the taxpayer's separate taxable income shall be  | 
 determined as if the election provided by Section  | 
 243(b)(2) of the Internal Revenue Code had been in  | 
 effect for all such years; | 
 | 
   (F) Cooperatives. In the case of a cooperative  | 
 corporation or association, the taxable income of such  | 
 organization determined in accordance with the  | 
 provisions of Section 1381 through 1388 of the  | 
 Internal Revenue Code, but without regard to the  | 
 prohibition against offsetting losses from patronage  | 
 activities against income from nonpatronage  | 
 activities; except that a cooperative corporation or  | 
 association may make an election to follow its federal  | 
 income tax treatment of patronage losses and  | 
 nonpatronage losses. In the event such election is  | 
 made, such losses shall be computed and carried over  | 
 in a manner consistent with subsection (a) of Section  | 
 207 of this Act and apportioned by the apportionment  | 
 factor reported by the cooperative on its Illinois  | 
 income tax return filed for the taxable year in which  | 
 the losses are incurred. The election shall be  | 
 effective for all taxable years with original returns  | 
 due on or after the date of the election. In addition,  | 
 the cooperative may file an amended return or returns,  | 
 as allowed under this Act, to provide that the  | 
 election shall be effective for losses incurred or  | 
 carried forward for taxable years occurring prior to  | 
 the date of the election. Once made, the election may  | 
 only be revoked upon approval of the Director. The  | 
 Department shall adopt rules setting forth  | 
 | 
 requirements for documenting the elections and any  | 
 resulting Illinois net loss and the standards to be  | 
 used by the Director in evaluating requests to revoke  | 
 elections. Public Act 96-932 is declaratory of  | 
 existing law;  | 
   (G) Subchapter S corporations. In the case of: (i)  | 
 a Subchapter S corporation for which there is in  | 
 effect an election for the taxable year under Section  | 
 1362 of the Internal Revenue Code, the taxable income  | 
 of such corporation determined in accordance with  | 
 Section 1363(b) of the Internal Revenue Code, except  | 
 that taxable income shall take into account those  | 
 items which are required by Section 1363(b)(1) of the  | 
 Internal Revenue Code to be separately stated; and  | 
 (ii) a Subchapter S corporation for which there is in  | 
 effect a federal election to opt out of the provisions  | 
 of the Subchapter S Revision Act of 1982 and have  | 
 applied instead the prior federal Subchapter S rules  | 
 as in effect on July 1, 1982, the taxable income of  | 
 such corporation determined in accordance with the  | 
 federal Subchapter S rules as in effect on July 1,  | 
 1982; and | 
   (H) Partnerships. In the case of a partnership,  | 
 taxable income determined in accordance with Section  | 
 703 of the Internal Revenue Code, except that taxable  | 
 income shall take into account those items which are  | 
 | 
 required by Section 703(a)(1) to be separately stated  | 
 but which would be taken into account by an individual  | 
 in calculating his taxable income. | 
  (3) Recapture of business expenses on disposition of  | 
 asset or business. Notwithstanding any other law to the  | 
 contrary, if in prior years income from an asset or  | 
 business has been classified as business income and in a  | 
 later year is demonstrated to be non-business income, then  | 
 all expenses, without limitation, deducted in such later  | 
 year and in the 2 immediately preceding taxable years  | 
 related to that asset or business that generated the  | 
 non-business income shall be added back and recaptured as  | 
 business income in the year of the disposition of the  | 
 asset or business. Such amount shall be apportioned to  | 
 Illinois using the greater of the apportionment fraction  | 
 computed for the business under Section 304 of this Act  | 
 for the taxable year or the average of the apportionment  | 
 fractions computed for the business under Section 304 of  | 
 this Act for the taxable year and for the 2 immediately  | 
 preceding taxable years. 
 | 
 (f) Valuation limitation amount. | 
  (1) In general. The valuation limitation amount  | 
 referred to in subsections (a)(2)(G), (c)(2)(I) and  | 
 (d)(2)(E) is an amount equal to: | 
   (A) The sum of the pre-August 1, 1969 appreciation  | 
 | 
 amounts (to the extent consisting of gain reportable  | 
 under the provisions of Section 1245 or 1250 of the  | 
 Internal Revenue Code) for all property in respect of  | 
 which such gain was reported for the taxable year;  | 
 plus | 
   (B) The lesser of (i) the sum of the pre-August 1,  | 
 1969 appreciation amounts (to the extent consisting of  | 
 capital gain) for all property in respect of which  | 
 such gain was reported for federal income tax purposes  | 
 for the taxable year, or (ii) the net capital gain for  | 
 the taxable year, reduced in either case by any amount  | 
 of such gain included in the amount determined under  | 
 subsection (a)(2)(F) or (c)(2)(H). | 
  (2) Pre-August 1, 1969 appreciation amount. | 
   (A) If the fair market value of property referred  | 
 to in paragraph (1) was readily ascertainable on  | 
 August 1, 1969, the pre-August 1, 1969 appreciation  | 
 amount for such property is the lesser of (i) the  | 
 excess of such fair market value over the taxpayer's  | 
 basis (for determining gain) for such property on that  | 
 date (determined under the Internal Revenue Code as in  | 
 effect on that date), or (ii) the total gain realized  | 
 and reportable for federal income tax purposes in  | 
 respect of the sale, exchange or other disposition of  | 
 such property. | 
   (B) If the fair market value of property referred  | 
 | 
 to in paragraph (1) was not readily ascertainable on  | 
 August 1, 1969, the pre-August 1, 1969 appreciation  | 
 amount for such property is that amount which bears  | 
 the same ratio to the total gain reported in respect of  | 
 the property for federal income tax purposes for the  | 
 taxable year, as the number of full calendar months in  | 
 that part of the taxpayer's holding period for the  | 
 property ending July 31, 1969 bears to the number of  | 
 full calendar months in the taxpayer's entire holding  | 
 period for the property. | 
   (C) The Department shall prescribe such  | 
 regulations as may be necessary to carry out the  | 
 purposes of this paragraph.
 | 
 (g) Double deductions. Unless specifically provided  | 
otherwise, nothing in this Section shall permit the same item  | 
to be deducted more than once.
 | 
 (h) Legislative intention. Except as expressly provided by  | 
this Section there shall be no modifications or limitations on  | 
the amounts of income, gain, loss or deduction taken into  | 
account in determining gross income, adjusted gross income or  | 
taxable income for federal income tax purposes for the taxable  | 
year, or in the amount of such items entering into the  | 
computation of base income and net income under this Act for  | 
such taxable year, whether in respect of property values as of  | 
 | 
August 1, 1969 or otherwise. | 
(Source: P.A. 102-16, eff. 6-17-21; 102-558, eff. 8-20-21;  | 
102-658, eff. 8-27-21; 102-813, eff. 5-13-22; 102-1112, eff.  | 
12-21-22; 103-8, eff. 6-7-23; 103-478, eff. 1-1-24; revised  | 
9-26-23.)
 | 
 (35 ILCS 5/228) | 
 Sec. 228. Historic preservation credit. For tax years  | 
beginning on or after January 1, 2019 and ending on or before  | 
December 31, 2028, a taxpayer who qualifies for a credit under  | 
the Historic Preservation Tax Credit Act is entitled to a  | 
credit against the taxes imposed under subsections (a) and (b)  | 
of Section 201 of this Act as provided in that Act. For taxable  | 
years ending before December 31, 2023, if the taxpayer is a  | 
partnership, Subchapter S corporation, or a limited liability  | 
company, the credit shall be allowed to the partners,  | 
shareholders, or members in accordance with the determination  | 
of income and distributive share of income under Sections 702  | 
and 704 and Subchapter S of the Internal Revenue Code provided  | 
that credits granted to a partnership, a limited liability  | 
company taxed as a partnership, or other multiple owners of  | 
property shall be passed through to the partners, members, or  | 
owners respectively on a pro rata basis or pursuant to an  | 
executed agreement among the partners, members, or owners  | 
documenting any alternate distribution method. For taxable  | 
years ending on or after December 31, 2023, if the taxpayer is  | 
 | 
a partnership or a Subchapter S corporation, then the  | 
provisions of Section 251 apply. If the amount of any tax  | 
credit awarded under this Section exceeds the qualified  | 
taxpayer's income tax liability for the year in which the  | 
qualified rehabilitation plan was placed in service, the  | 
excess amount may be carried forward as provided in the  | 
Historic Preservation Tax Credit Act. | 
(Source: P.A. 102-741, eff. 5-6-22; 103-9, eff. 6-7-23;  | 
103-396, eff. 1-1-24; revised 12-12-23.)
 | 
 (35 ILCS 5/237) | 
 Sec. 237. REV Illinois Investment Tax credits. | 
 (a) For tax years beginning on or after November 16, 2021  | 
(the effective date of Public Act 102-669) this amendatory Act  | 
of the 102nd General Assembly, a taxpayer shall be allowed a  | 
credit against the tax imposed by subsections (a) and (b) of  | 
Section 201 for investment in qualified property which is  | 
placed in service at the site of a REV Illinois Project subject  | 
to an agreement between the taxpayer and the Department of  | 
Commerce and Economic Opportunity pursuant to the Reimagining  | 
Energy and Vehicles in Illinois Act. For taxable years ending  | 
before December 31, 2023, for partners, shareholders of  | 
Subchapter S corporations, and owners of limited liability  | 
companies, if the liability company is treated as a  | 
partnership for purposes of federal and State income taxation,  | 
there shall be allowed a credit under this Section to be  | 
 | 
determined in accordance with the determination of income and  | 
distributive share of income under Sections 702 and 704 and  | 
Subchapter S of the Internal Revenue Code. For taxable years  | 
ending on or after December 31, 2023, partners and  | 
shareholders of subchapter S corporations are entitled to a  | 
credit under this Section as provided in Section 251. The  | 
credit shall be 0.5% of the basis for such property. The credit  | 
shall be available only in the taxable year in which the  | 
property is placed in service and shall not be allowed to the  | 
extent that it would reduce a taxpayer's liability for the tax  | 
imposed by subsections (a) and (b) of Section 201 to below  | 
zero. The credit shall be allowed for the tax year in which the  | 
property is placed in service, or, if the amount of the credit  | 
exceeds the tax liability for that year, whether it exceeds  | 
the original liability or the liability as later amended, such  | 
excess may be carried forward and applied to the tax liability  | 
of the 5 taxable years following the excess credit year. The  | 
credit shall be applied to the earliest year for which there is  | 
a liability. If there is credit from more than one tax year  | 
that is available to offset a liability, the credit accruing  | 
first in time shall be applied first.  | 
 (b) The term qualified property means property which:  | 
  (1) is tangible, whether new or used, including  | 
 buildings and structural components of buildings;  | 
  (2) is depreciable pursuant to Section 167 of the  | 
 Internal Revenue Code, except that "3-year property" as  | 
 | 
 defined in Section 168(c)(2)(A) of that Code is not  | 
 eligible for the credit provided by this Section;  | 
  (3) is acquired by purchase as defined in Section  | 
 179(d) of the Internal Revenue Code;  | 
  (4) is used at the site of the REV Illinois Project by  | 
 the taxpayer; and  | 
  (5) has not been previously used in Illinois in such a  | 
 manner and by such a person as would qualify for the credit  | 
 provided by this Section.  | 
 (c) The basis of qualified property shall be the basis  | 
used to compute the depreciation deduction for federal income  | 
tax purposes.  | 
 (d) If the basis of the property for federal income tax  | 
depreciation purposes is increased after it has been placed in  | 
service at the site of the REV Illinois Project by the  | 
taxpayer, the amount of such increase shall be deemed property  | 
placed in service on the date of such increase in basis.  | 
 (e) The term "placed in service" shall have the same  | 
meaning as under Section 46 of the Internal Revenue Code.  | 
 (f) If during any taxable year, any property ceases to be  | 
qualified property in the hands of the taxpayer within 48  | 
months after being placed in service, or the situs of any  | 
qualified property is moved from the REV Illinois Project site  | 
within 48 months after being placed in service, the tax  | 
imposed under subsections (a) and (b) of Section 201 for such  | 
taxable year shall be increased. Such increase shall be  | 
 | 
determined by (i) recomputing the investment credit which  | 
would have been allowed for the year in which credit for such  | 
property was originally allowed by eliminating such property  | 
from such computation, and (ii) subtracting such recomputed  | 
credit from the amount of credit previously allowed. For the  | 
purposes of this subsection (f), a reduction of the basis of  | 
qualified property resulting from a redetermination of the  | 
purchase price shall be deemed a disposition of qualified  | 
property to the extent of such reduction.  | 
(Source: P.A. 102-669, eff. 11-16-21; 102-1125, eff. 2-3-23;  | 
103-396, eff. 1-1-24; revised 12-12-23.)
 | 
 Section 185. The Manufacturing Illinois Chips for Real  | 
Opportunity (MICRO) Act is amended by changing Sections 110-30  | 
and 110-40 as follows:
 | 
 (35 ILCS 45/110-30) | 
 Sec. 110-30. Tax credit awards.  | 
 (a) Subject to the conditions set forth in this Act, a  | 
taxpayer is entitled to a credit against the tax imposed  | 
pursuant to subsections (a) and (b) of Section 201 of the  | 
Illinois Income Tax Act for a taxable year beginning on or  | 
after January 1, 2025 if the taxpayer is awarded a credit by  | 
the Department in accordance with an agreement under this Act.  | 
The Department has authority to award credits under this Act  | 
on and after January 1, 2023. | 
 | 
 (b) A taxpayer may receive a tax credit against the tax  | 
imposed under subsections (a) and (b) of Section 201 of the  | 
Illinois Income Tax Act, not to exceed the sum of (i) 75% of  | 
the incremental income tax attributable to new employees at  | 
the applicant's project and (ii) 10% of the training costs of  | 
the new employees. If the project is located in an underserved  | 
area or an energy transition area, then the amount of the  | 
credit may not exceed the sum of (i) 100% of the incremental  | 
income tax attributable to new employees at the applicant's  | 
project; and (ii) 10% of the training costs of the new  | 
employees. The percentage of training costs includable in the  | 
calculation may be increased by an additional 15% for training  | 
costs associated with new employees that are recent (2 years  | 
or less) graduates, certificate holders, or credential  | 
recipients from an institution of higher education in  | 
Illinois, or, if the training is provided by an institution of  | 
higher education in Illinois, the Clean Jobs Workforce Network  | 
Program, or an apprenticeship and training program located in  | 
Illinois and approved by and registered with the United States  | 
Department of Labor's Bureau of Apprenticeship and Training.  | 
An applicant is also eligible for a training credit that shall  | 
not exceed 10% of the training costs of retained employees for  | 
the purpose of upskilling to meet the operational needs of the  | 
applicant or the project. The percentage of training costs  | 
includable in the calculation shall not exceed a total of 25%.  | 
If an applicant agrees to hire the required number of new  | 
 | 
employees, then the maximum amount of the credit for that  | 
applicant may be increased by an amount not to exceed 75% of  | 
the incremental income tax attributable to retained employees  | 
at the applicant's project; provided that, in order to receive  | 
the increase for retained employees, the applicant must, if  | 
applicable, meet or exceed the statewide baseline. If the  | 
Project is in an underserved area or an energy transition  | 
area, the maximum amount of the credit attributable to  | 
retained employees for the applicant may be increased to an  | 
amount not to exceed 100% of the incremental income tax  | 
attributable to retained employees at the applicant's project;  | 
provided that, in order to receive the increase for retained  | 
employees, the applicant must meet or exceed the statewide  | 
baseline. Credits awarded may include credit earned for  | 
incremental income tax withheld and training costs incurred by  | 
the taxpayer beginning on or after January 1, 2023. Credits so  | 
earned and certified by the Department may be applied against  | 
the tax imposed by subsections (a) and (b) of Section 201 of  | 
the Illinois Income Tax Act for taxable years beginning on or  | 
after January 1, 2025. | 
 (c) MICRO Construction Jobs Credit. For construction wages  | 
associated with a project that qualified for a credit under  | 
subsection (b), the taxpayer may receive a tax credit against  | 
the tax imposed under subsections (a) and (b) of Section 201 of  | 
the Illinois Income Tax Act in an amount equal to 50% of the  | 
incremental income tax attributable to construction wages paid  | 
 | 
in connection with construction of the project facilities, as  | 
a jobs credit for workers hired to construct the project. | 
 The MICRO Construction Jobs Credit may not exceed 75% of  | 
the amount of the incremental income tax attributable to  | 
construction wages paid in connection with construction of the  | 
project facilities if the project is in an underserved area or  | 
an energy transition area. | 
 (d) The Department shall certify to the Department of  | 
Revenue: (1) the identity of taxpayers that are eligible for  | 
the MICRO Credit and MICRO Construction Jobs Credit; (2) the  | 
amount of the MICRO Credits and MICRO Construction Jobs  | 
Credits awarded in each calendar year; and (3) the amount of  | 
the MICRO Credit and MICRO Construction Jobs Credit claimed in  | 
each calendar year. MICRO Credits awarded may include credit  | 
earned for incremental income tax withheld and training costs  | 
incurred by the taxpayer beginning on or after January 1,  | 
2023. Credits so earned and certified by the Department may be  | 
applied against the tax imposed by Section 201(a) and (b) of  | 
the Illinois Income Tax Act for taxable years beginning on or  | 
after January 1, 2025. | 
 (e) Applicants seeking certification for a tax credits  | 
related to the construction of the project facilities in the  | 
State shall require the contractor to enter into a project  | 
labor agreement that conforms with the Project Labor  | 
Agreements Act. | 
 (f) Any applicant issued a certificate for a tax credit or  | 
 | 
tax exemption under this Act must annually report to the  | 
Department the total project tax benefits received. Reports  | 
are due no later than May 31 of each year and shall cover the  | 
previous calendar year. The first report is for the 2023  | 
calendar year and is due no later than May 31, 2023. For  | 
applicants issued a certificate of exemption under Section  | 
110-105 of this Act, the report shall be the same as required  | 
for a High Impact Business under subsection (a-5) of Section  | 
8.1 of the Illinois Enterprise Zone Act. Each person required  | 
to file a return under the Gas Revenue Tax Act, the Electricity  | 
Excise Tax Act, or the Telecommunications Excise Tax Act shall  | 
file a report on customers issued an exemption certificate  | 
under Section 110-95 of this Act in the same manner and form as  | 
they are required to report under subsection (b) of Section  | 
8.1 of the Illinois Enterprise Zone Act.  | 
 (g) Nothing in this Act shall prohibit an award of credit  | 
to an applicant that uses a PEO if all other award criteria are  | 
satisfied. | 
 (h) With respect to any portion of a credit that is based  | 
on the incremental income tax attributable to new employees or  | 
retained employees, in lieu of the credit allowed under this  | 
Act against the taxes imposed pursuant to subsections (a) and  | 
(b) of Section 201 of the Illinois Income Tax Act, a taxpayer  | 
that otherwise meets the criteria set forth in this Section,  | 
the taxpayer may elect to claim the credit, on or after January  | 
1, 2025, against its obligation to pay over withholding under  | 
 | 
Section 704A of the Illinois Income Tax Act. The election  | 
shall be made in the manner prescribed by the Department of  | 
Revenue and once made shall be irrevocable. | 
(Source: P.A. 102-700, eff. 4-19-22; 102-1125, eff. 2-3-23;  | 
revised 4-5-23.)
 | 
 (35 ILCS 45/110-40) | 
 Sec. 110-40. Amount and duration of the credits;  | 
limitation to amount of costs of specified items. The  | 
Department shall determine the amount and duration of the  | 
credit awarded under this Act, subject to the limitations set  | 
forth in this Act. For a project that qualified under  | 
paragraph (1), (2), or (4) of subsection (c) of Section  | 
110-20, the duration of the credit may not exceed 15 taxable  | 
years, with an option to renew the agreement for no more than  | 
one term not to exceed an additional 15 taxable years. For a  | 
project that qualified under paragraph (3) of subsection (c)  | 
of Section 110-20, the duration of the credit may not exceed 10  | 
taxable years, with an option to renew the agreement for no  | 
more than one term not to exceed an additional 10 taxable  | 
years. The credit may be stated as a percentage of the  | 
incremental income tax and training costs attributable to the  | 
applicant's project and may include a fixed dollar limitation. | 
 Nothing in this Section shall prevent the Department, in  | 
consultation with the Department of Revenue, from adopting  | 
rules to extend the sunset of any earned, existing, and unused  | 
 | 
tax credit or credits a taxpayer may be in possession of. | 
(Source: P.A. 102-700, eff. 4-19-22; 102-1125, eff. 2-3-23;  | 
revised 4-5-23.)
 | 
 Section 190. The Use Tax Act is amended by changing  | 
Section 3-5 as follows:
 | 
 (35 ILCS 105/3-5) | 
 Sec. 3-5. Exemptions. Use of the following tangible  | 
personal property is exempt from the tax imposed by this Act: | 
 (1) Personal property purchased from a corporation,  | 
society, association, foundation, institution, or  | 
organization, other than a limited liability company, that is  | 
organized and operated as a not-for-profit service enterprise  | 
for the benefit of persons 65 years of age or older if the  | 
personal property was not purchased by the enterprise for the  | 
purpose of resale by the enterprise. | 
 (2) Personal property purchased by a not-for-profit  | 
Illinois county fair association for use in conducting,  | 
operating, or promoting the county fair. | 
 (3) Personal property purchased by a not-for-profit arts  | 
or cultural organization that establishes, by proof required  | 
by the Department by rule, that it has received an exemption  | 
under Section 501(c)(3) of the Internal Revenue Code and that  | 
is organized and operated primarily for the presentation or  | 
support of arts or cultural programming, activities, or  | 
 | 
services. These organizations include, but are not limited to,  | 
music and dramatic arts organizations such as symphony  | 
orchestras and theatrical groups, arts and cultural service  | 
organizations, local arts councils, visual arts organizations,  | 
and media arts organizations. On and after July 1, 2001 (the  | 
effective date of Public Act 92-35), however, an entity  | 
otherwise eligible for this exemption shall not make tax-free  | 
purchases unless it has an active identification number issued  | 
by the Department. | 
 (4) Except as otherwise provided in this Act, personal  | 
property purchased by a governmental body, by a corporation,  | 
society, association, foundation, or institution organized and  | 
operated exclusively for charitable, religious, or educational  | 
purposes, or by a not-for-profit corporation, society,  | 
association, foundation, institution, or organization that has  | 
no compensated officers or employees and that is organized and  | 
operated primarily for the recreation of persons 55 years of  | 
age or older. A limited liability company may qualify for the  | 
exemption under this paragraph only if the limited liability  | 
company is organized and operated exclusively for educational  | 
purposes. On and after July 1, 1987, however, no entity  | 
otherwise eligible for this exemption shall make tax-free  | 
purchases unless it has an active exemption identification  | 
number issued by the Department. | 
 (5) Until July 1, 2003, a passenger car that is a  | 
replacement vehicle to the extent that the purchase price of  | 
 | 
the car is subject to the Replacement Vehicle Tax. | 
 (6) Until July 1, 2003 and beginning again on September 1,  | 
2004 through August 30, 2014, graphic arts machinery and  | 
equipment, including repair and replacement parts, both new  | 
and used, and including that manufactured on special order,  | 
certified by the purchaser to be used primarily for graphic  | 
arts production, and including machinery and equipment  | 
purchased for lease. Equipment includes chemicals or chemicals  | 
acting as catalysts but only if the chemicals or chemicals  | 
acting as catalysts effect a direct and immediate change upon  | 
a graphic arts product. Beginning on July 1, 2017, graphic  | 
arts machinery and equipment is included in the manufacturing  | 
and assembling machinery and equipment exemption under  | 
paragraph (18).  | 
 (7) Farm chemicals. | 
 (8) Legal tender, currency, medallions, or gold or silver  | 
coinage issued by the State of Illinois, the government of the  | 
United States of America, or the government of any foreign  | 
country, and bullion. | 
 (9) Personal property purchased from a teacher-sponsored  | 
student organization affiliated with an elementary or  | 
secondary school located in Illinois. | 
 (10) A motor vehicle that is used for automobile renting,  | 
as defined in the Automobile Renting Occupation and Use Tax  | 
Act. | 
 (11) Farm machinery and equipment, both new and used,  | 
 | 
including that manufactured on special order, certified by the  | 
purchaser to be used primarily for production agriculture or  | 
State or federal agricultural programs, including individual  | 
replacement parts for the machinery and equipment, including  | 
machinery and equipment purchased for lease, and including  | 
implements of husbandry defined in Section 1-130 of the  | 
Illinois Vehicle Code, farm machinery and agricultural  | 
chemical and fertilizer spreaders, and nurse wagons required  | 
to be registered under Section 3-809 of the Illinois Vehicle  | 
Code, but excluding other motor vehicles required to be  | 
registered under the Illinois Vehicle Code. Horticultural  | 
polyhouses or hoop houses used for propagating, growing, or  | 
overwintering plants shall be considered farm machinery and  | 
equipment under this item (11). Agricultural chemical tender  | 
tanks and dry boxes shall include units sold separately from a  | 
motor vehicle required to be licensed and units sold mounted  | 
on a motor vehicle required to be licensed if the selling price  | 
of the tender is separately stated. | 
 Farm machinery and equipment shall include precision  | 
farming equipment that is installed or purchased to be  | 
installed on farm machinery and equipment, including, but not  | 
limited to, tractors, harvesters, sprayers, planters, seeders,  | 
or spreaders. Precision farming equipment includes, but is not  | 
limited to, soil testing sensors, computers, monitors,  | 
software, global positioning and mapping systems, and other  | 
such equipment. | 
 | 
 Farm machinery and equipment also includes computers,  | 
sensors, software, and related equipment used primarily in the  | 
computer-assisted operation of production agriculture  | 
facilities, equipment, and activities such as, but not limited  | 
to, the collection, monitoring, and correlation of animal and  | 
crop data for the purpose of formulating animal diets and  | 
agricultural chemicals.  | 
 Beginning on January 1, 2024, farm machinery and equipment  | 
also includes electrical power generation equipment used  | 
primarily for production agriculture.  | 
 This item (11) is exempt from the provisions of Section  | 
3-90. | 
 (12) Until June 30, 2013, fuel and petroleum products sold  | 
to or used by an air common carrier, certified by the carrier  | 
to be used for consumption, shipment, or storage in the  | 
conduct of its business as an air common carrier, for a flight  | 
destined for or returning from a location or locations outside  | 
the United States without regard to previous or subsequent  | 
domestic stopovers. | 
 Beginning July 1, 2013, fuel and petroleum products sold  | 
to or used by an air carrier, certified by the carrier to be  | 
used for consumption, shipment, or storage in the conduct of  | 
its business as an air common carrier, for a flight that (i) is  | 
engaged in foreign trade or is engaged in trade between the  | 
United States and any of its possessions and (ii) transports  | 
at least one individual or package for hire from the city of  | 
 | 
origination to the city of final destination on the same  | 
aircraft, without regard to a change in the flight number of  | 
that aircraft.  | 
 (13) Proceeds of mandatory service charges separately  | 
stated on customers' bills for the purchase and consumption of  | 
food and beverages purchased at retail from a retailer, to the  | 
extent that the proceeds of the service charge are in fact  | 
turned over as tips or as a substitute for tips to the  | 
employees who participate directly in preparing, serving,  | 
hosting or cleaning up the food or beverage function with  | 
respect to which the service charge is imposed. | 
 (14) Until July 1, 2003, oil field exploration, drilling,  | 
and production equipment, including (i) rigs and parts of  | 
rigs, rotary rigs, cable tool rigs, and workover rigs, (ii)  | 
pipe and tubular goods, including casing and drill strings,  | 
(iii) pumps and pump-jack units, (iv) storage tanks and flow  | 
lines, (v) any individual replacement part for oil field  | 
exploration, drilling, and production equipment, and (vi)  | 
machinery and equipment purchased for lease; but excluding  | 
motor vehicles required to be registered under the Illinois  | 
Vehicle Code. | 
 (15) Photoprocessing machinery and equipment, including  | 
repair and replacement parts, both new and used, including  | 
that manufactured on special order, certified by the purchaser  | 
to be used primarily for photoprocessing, and including  | 
photoprocessing machinery and equipment purchased for lease. | 
 | 
 (16) Until July 1, 2028, coal and aggregate exploration,  | 
mining, off-highway hauling, processing, maintenance, and  | 
reclamation equipment, including replacement parts and  | 
equipment, and including equipment purchased for lease, but  | 
excluding motor vehicles required to be registered under the  | 
Illinois Vehicle Code. The changes made to this Section by  | 
Public Act 97-767 apply on and after July 1, 2003, but no claim  | 
for credit or refund is allowed on or after August 16, 2013  | 
(the effective date of Public Act 98-456) for such taxes paid  | 
during the period beginning July 1, 2003 and ending on August  | 
16, 2013 (the effective date of Public Act 98-456).  | 
 (17) Until July 1, 2003, distillation machinery and  | 
equipment, sold as a unit or kit, assembled or installed by the  | 
retailer, certified by the user to be used only for the  | 
production of ethyl alcohol that will be used for consumption  | 
as motor fuel or as a component of motor fuel for the personal  | 
use of the user, and not subject to sale or resale. | 
 (18) Manufacturing and assembling machinery and equipment  | 
used primarily in the process of manufacturing or assembling  | 
tangible personal property for wholesale or retail sale or  | 
lease, whether that sale or lease is made directly by the  | 
manufacturer or by some other person, whether the materials  | 
used in the process are owned by the manufacturer or some other  | 
person, or whether that sale or lease is made apart from or as  | 
an incident to the seller's engaging in the service occupation  | 
of producing machines, tools, dies, jigs, patterns, gauges, or  | 
 | 
other similar items of no commercial value on special order  | 
for a particular purchaser. The exemption provided by this  | 
paragraph (18) includes production related tangible personal  | 
property, as defined in Section 3-50, purchased on or after  | 
July 1, 2019. The exemption provided by this paragraph (18)  | 
does not include machinery and equipment used in (i) the  | 
generation of electricity for wholesale or retail sale; (ii)  | 
the generation or treatment of natural or artificial gas for  | 
wholesale or retail sale that is delivered to customers  | 
through pipes, pipelines, or mains; or (iii) the treatment of  | 
water for wholesale or retail sale that is delivered to  | 
customers through pipes, pipelines, or mains. The provisions  | 
of Public Act 98-583 are declaratory of existing law as to the  | 
meaning and scope of this exemption. Beginning on July 1,  | 
2017, the exemption provided by this paragraph (18) includes,  | 
but is not limited to, graphic arts machinery and equipment,  | 
as defined in paragraph (6) of this Section.  | 
 (19) Personal property delivered to a purchaser or  | 
purchaser's donee inside Illinois when the purchase order for  | 
that personal property was received by a florist located  | 
outside Illinois who has a florist located inside Illinois  | 
deliver the personal property. | 
 (20) Semen used for artificial insemination of livestock  | 
for direct agricultural production. | 
 (21) Horses, or interests in horses, registered with and  | 
meeting the requirements of any of the Arabian Horse Club  | 
 | 
Registry of America, Appaloosa Horse Club, American Quarter  | 
Horse Association, United States Trotting Association, or  | 
Jockey Club, as appropriate, used for purposes of breeding or  | 
racing for prizes. This item (21) is exempt from the  | 
provisions of Section 3-90, and the exemption provided for  | 
under this item (21) applies for all periods beginning May 30,  | 
1995, but no claim for credit or refund is allowed on or after  | 
January 1, 2008 for such taxes paid during the period  | 
beginning May 30, 2000 and ending on January 1, 2008.  | 
 (22) Computers and communications equipment utilized for  | 
any hospital purpose and equipment used in the diagnosis,  | 
analysis, or treatment of hospital patients purchased by a  | 
lessor who leases the equipment, under a lease of one year or  | 
longer executed or in effect at the time the lessor would  | 
otherwise be subject to the tax imposed by this Act, to a  | 
hospital that has been issued an active tax exemption  | 
identification number by the Department under Section 1g of  | 
the Retailers' Occupation Tax Act. If the equipment is leased  | 
in a manner that does not qualify for this exemption or is used  | 
in any other non-exempt manner, the lessor shall be liable for  | 
the tax imposed under this Act or the Service Use Tax Act, as  | 
the case may be, based on the fair market value of the property  | 
at the time the non-qualifying use occurs. No lessor shall  | 
collect or attempt to collect an amount (however designated)  | 
that purports to reimburse that lessor for the tax imposed by  | 
this Act or the Service Use Tax Act, as the case may be, if the  | 
 | 
tax has not been paid by the lessor. If a lessor improperly  | 
collects any such amount from the lessee, the lessee shall  | 
have a legal right to claim a refund of that amount from the  | 
lessor. If, however, that amount is not refunded to the lessee  | 
for any reason, the lessor is liable to pay that amount to the  | 
Department. | 
 (23) Personal property purchased by a lessor who leases  | 
the property, under a lease of one year or longer executed or  | 
in effect at the time the lessor would otherwise be subject to  | 
the tax imposed by this Act, to a governmental body that has  | 
been issued an active sales tax exemption identification  | 
number by the Department under Section 1g of the Retailers'  | 
Occupation Tax Act. If the property is leased in a manner that  | 
does not qualify for this exemption or used in any other  | 
non-exempt manner, the lessor shall be liable for the tax  | 
imposed under this Act or the Service Use Tax Act, as the case  | 
may be, based on the fair market value of the property at the  | 
time the non-qualifying use occurs. No lessor shall collect or  | 
attempt to collect an amount (however designated) that  | 
purports to reimburse that lessor for the tax imposed by this  | 
Act or the Service Use Tax Act, as the case may be, if the tax  | 
has not been paid by the lessor. If a lessor improperly  | 
collects any such amount from the lessee, the lessee shall  | 
have a legal right to claim a refund of that amount from the  | 
lessor. If, however, that amount is not refunded to the lessee  | 
for any reason, the lessor is liable to pay that amount to the  | 
 | 
Department. | 
 (24) Beginning with taxable years ending on or after  | 
December 31, 1995 and ending with taxable years ending on or  | 
before December 31, 2004, personal property that is donated  | 
for disaster relief to be used in a State or federally declared  | 
disaster area in Illinois or bordering Illinois by a  | 
manufacturer or retailer that is registered in this State to a  | 
corporation, society, association, foundation, or institution  | 
that has been issued a sales tax exemption identification  | 
number by the Department that assists victims of the disaster  | 
who reside within the declared disaster area. | 
 (25) Beginning with taxable years ending on or after  | 
December 31, 1995 and ending with taxable years ending on or  | 
before December 31, 2004, personal property that is used in  | 
the performance of infrastructure repairs in this State,  | 
including, but not limited to, municipal roads and streets,  | 
access roads, bridges, sidewalks, waste disposal systems,  | 
water and sewer line extensions, water distribution and  | 
purification facilities, storm water drainage and retention  | 
facilities, and sewage treatment facilities, resulting from a  | 
State or federally declared disaster in Illinois or bordering  | 
Illinois when such repairs are initiated on facilities located  | 
in the declared disaster area within 6 months after the  | 
disaster. | 
 (26) Beginning July 1, 1999, game or game birds purchased  | 
at a "game breeding and hunting preserve area" as that term is  | 
 | 
used in the Wildlife Code. This paragraph is exempt from the  | 
provisions of Section 3-90. | 
 (27) A motor vehicle, as that term is defined in Section  | 
1-146 of the Illinois Vehicle Code, that is donated to a  | 
corporation, limited liability company, society, association,  | 
foundation, or institution that is determined by the  | 
Department to be organized and operated exclusively for  | 
educational purposes. For purposes of this exemption, "a  | 
corporation, limited liability company, society, association,  | 
foundation, or institution organized and operated exclusively  | 
for educational purposes" means all tax-supported public  | 
schools, private schools that offer systematic instruction in  | 
useful branches of learning by methods common to public  | 
schools and that compare favorably in their scope and  | 
intensity with the course of study presented in tax-supported  | 
schools, and vocational or technical schools or institutes  | 
organized and operated exclusively to provide a course of  | 
study of not less than 6 weeks duration and designed to prepare  | 
individuals to follow a trade or to pursue a manual,  | 
technical, mechanical, industrial, business, or commercial  | 
occupation. | 
 (28) Beginning January 1, 2000, personal property,  | 
including food, purchased through fundraising events for the  | 
benefit of a public or private elementary or secondary school,  | 
a group of those schools, or one or more school districts if  | 
the events are sponsored by an entity recognized by the school  | 
 | 
district that consists primarily of volunteers and includes  | 
parents and teachers of the school children. This paragraph  | 
does not apply to fundraising events (i) for the benefit of  | 
private home instruction or (ii) for which the fundraising  | 
entity purchases the personal property sold at the events from  | 
another individual or entity that sold the property for the  | 
purpose of resale by the fundraising entity and that profits  | 
from the sale to the fundraising entity. This paragraph is  | 
exempt from the provisions of Section 3-90. | 
 (29) Beginning January 1, 2000 and through December 31,  | 
2001, new or used automatic vending machines that prepare and  | 
serve hot food and beverages, including coffee, soup, and  | 
other items, and replacement parts for these machines.  | 
Beginning January 1, 2002 and through June 30, 2003, machines  | 
and parts for machines used in commercial, coin-operated  | 
amusement and vending business if a use or occupation tax is  | 
paid on the gross receipts derived from the use of the  | 
commercial, coin-operated amusement and vending machines. This  | 
paragraph is exempt from the provisions of Section 3-90. | 
 (30) Beginning January 1, 2001 and through June 30, 2016,  | 
food for human consumption that is to be consumed off the  | 
premises where it is sold (other than alcoholic beverages,  | 
soft drinks, and food that has been prepared for immediate  | 
consumption) and prescription and nonprescription medicines,  | 
drugs, medical appliances, and insulin, urine testing  | 
materials, syringes, and needles used by diabetics, for human  | 
 | 
use, when purchased for use by a person receiving medical  | 
assistance under Article V of the Illinois Public Aid Code who  | 
resides in a licensed long-term care facility, as defined in  | 
the Nursing Home Care Act, or in a licensed facility as defined  | 
in the ID/DD Community Care Act, the MC/DD Act, or the  | 
Specialized Mental Health Rehabilitation Act of 2013. | 
 (31) Beginning on August 2, 2001 (the effective date of  | 
Public Act 92-227), computers and communications equipment  | 
utilized for any hospital purpose and equipment used in the  | 
diagnosis, analysis, or treatment of hospital patients  | 
purchased by a lessor who leases the equipment, under a lease  | 
of one year or longer executed or in effect at the time the  | 
lessor would otherwise be subject to the tax imposed by this  | 
Act, to a hospital that has been issued an active tax exemption  | 
identification number by the Department under Section 1g of  | 
the Retailers' Occupation Tax Act. If the equipment is leased  | 
in a manner that does not qualify for this exemption or is used  | 
in any other nonexempt manner, the lessor shall be liable for  | 
the tax imposed under this Act or the Service Use Tax Act, as  | 
the case may be, based on the fair market value of the property  | 
at the time the nonqualifying use occurs. No lessor shall  | 
collect or attempt to collect an amount (however designated)  | 
that purports to reimburse that lessor for the tax imposed by  | 
this Act or the Service Use Tax Act, as the case may be, if the  | 
tax has not been paid by the lessor. If a lessor improperly  | 
collects any such amount from the lessee, the lessee shall  | 
 | 
have a legal right to claim a refund of that amount from the  | 
lessor. If, however, that amount is not refunded to the lessee  | 
for any reason, the lessor is liable to pay that amount to the  | 
Department. This paragraph is exempt from the provisions of  | 
Section 3-90. | 
 (32) Beginning on August 2, 2001 (the effective date of  | 
Public Act 92-227), personal property purchased by a lessor  | 
who leases the property, under a lease of one year or longer  | 
executed or in effect at the time the lessor would otherwise be  | 
subject to the tax imposed by this Act, to a governmental body  | 
that has been issued an active sales tax exemption  | 
identification number by the Department under Section 1g of  | 
the Retailers' Occupation Tax Act. If the property is leased  | 
in a manner that does not qualify for this exemption or used in  | 
any other nonexempt manner, the lessor shall be liable for the  | 
tax imposed under this Act or the Service Use Tax Act, as the  | 
case may be, based on the fair market value of the property at  | 
the time the nonqualifying use occurs. No lessor shall collect  | 
or attempt to collect an amount (however designated) that  | 
purports to reimburse that lessor for the tax imposed by this  | 
Act or the Service Use Tax Act, as the case may be, if the tax  | 
has not been paid by the lessor. If a lessor improperly  | 
collects any such amount from the lessee, the lessee shall  | 
have a legal right to claim a refund of that amount from the  | 
lessor. If, however, that amount is not refunded to the lessee  | 
for any reason, the lessor is liable to pay that amount to the  | 
 | 
Department. This paragraph is exempt from the provisions of  | 
Section 3-90. | 
 (33) On and after July 1, 2003 and through June 30, 2004,  | 
the use in this State of motor vehicles of the second division  | 
with a gross vehicle weight in excess of 8,000 pounds and that  | 
are subject to the commercial distribution fee imposed under  | 
Section 3-815.1 of the Illinois Vehicle Code. Beginning on  | 
July 1, 2004 and through June 30, 2005, the use in this State  | 
of motor vehicles of the second division: (i) with a gross  | 
vehicle weight rating in excess of 8,000 pounds; (ii) that are  | 
subject to the commercial distribution fee imposed under  | 
Section 3-815.1 of the Illinois Vehicle Code; and (iii) that  | 
are primarily used for commercial purposes. Through June 30,  | 
2005, this exemption applies to repair and replacement parts  | 
added after the initial purchase of such a motor vehicle if  | 
that motor vehicle is used in a manner that would qualify for  | 
the rolling stock exemption otherwise provided for in this  | 
Act. For purposes of this paragraph, the term "used for  | 
commercial purposes" means the transportation of persons or  | 
property in furtherance of any commercial or industrial  | 
enterprise, whether for-hire or not.  | 
 (34) Beginning January 1, 2008, tangible personal property  | 
used in the construction or maintenance of a community water  | 
supply, as defined under Section 3.145 of the Environmental  | 
Protection Act, that is operated by a not-for-profit  | 
corporation that holds a valid water supply permit issued  | 
 | 
under Title IV of the Environmental Protection Act. This  | 
paragraph is exempt from the provisions of Section 3-90. | 
 (35) Beginning January 1, 2010 and continuing through  | 
December 31, 2029, materials, parts, equipment, components,  | 
and furnishings incorporated into or upon an aircraft as part  | 
of the modification, refurbishment, completion, replacement,  | 
repair, or maintenance of the aircraft. This exemption  | 
includes consumable supplies used in the modification,  | 
refurbishment, completion, replacement, repair, and  | 
maintenance of aircraft. However, until January 1, 2024, this  | 
exemption excludes any materials, parts, equipment,  | 
components, and consumable supplies used in the modification,  | 
replacement, repair, and maintenance of aircraft engines or  | 
power plants, whether such engines or power plants are  | 
installed or uninstalled upon any such aircraft. "Consumable  | 
supplies" include, but are not limited to, adhesive, tape,  | 
sandpaper, general purpose lubricants, cleaning solution,  | 
latex gloves, and protective films.  | 
 Beginning January 1, 2010 and continuing through December  | 
31, 2023, this exemption applies only to the use of qualifying  | 
tangible personal property by persons who modify, refurbish,  | 
complete, repair, replace, or maintain aircraft and who (i)  | 
hold an Air Agency Certificate and are empowered to operate an  | 
approved repair station by the Federal Aviation  | 
Administration, (ii) have a Class IV Rating, and (iii) conduct  | 
operations in accordance with Part 145 of the Federal Aviation  | 
 | 
Regulations. From January 1, 2024 through December 31, 2029,  | 
this exemption applies only to the use of qualifying tangible  | 
personal property by: (A) persons who modify, refurbish,  | 
complete, repair, replace, or maintain aircraft and who (i)  | 
hold an Air Agency Certificate and are empowered to operate an  | 
approved repair station by the Federal Aviation  | 
Administration, (ii) have a Class IV Rating, and (iii) conduct  | 
operations in accordance with Part 145 of the Federal Aviation  | 
Regulations; and (B) persons who engage in the modification,  | 
replacement, repair, and maintenance of aircraft engines or  | 
power plants without regard to whether or not those persons  | 
meet the qualifications of item (A).  | 
 The exemption does not include aircraft operated by a  | 
commercial air carrier providing scheduled passenger air  | 
service pursuant to authority issued under Part 121 or Part  | 
129 of the Federal Aviation Regulations. The changes made to  | 
this paragraph (35) by Public Act 98-534 are declarative of  | 
existing law. It is the intent of the General Assembly that the  | 
exemption under this paragraph (35) applies continuously from  | 
January 1, 2010 through December 31, 2024; however, no claim  | 
for credit or refund is allowed for taxes paid as a result of  | 
the disallowance of this exemption on or after January 1, 2015  | 
and prior to February 5, 2020 (the effective date of Public Act  | 
101-629). | 
 (36) Tangible personal property purchased by a  | 
public-facilities corporation, as described in Section  | 
 | 
11-65-10 of the Illinois Municipal Code, for purposes of  | 
constructing or furnishing a municipal convention hall, but  | 
only if the legal title to the municipal convention hall is  | 
transferred to the municipality without any further  | 
consideration by or on behalf of the municipality at the time  | 
of the completion of the municipal convention hall or upon the  | 
retirement or redemption of any bonds or other debt  | 
instruments issued by the public-facilities corporation in  | 
connection with the development of the municipal convention  | 
hall. This exemption includes existing public-facilities  | 
corporations as provided in Section 11-65-25 of the Illinois  | 
Municipal Code. This paragraph is exempt from the provisions  | 
of Section 3-90.  | 
 (37) Beginning January 1, 2017 and through December 31,  | 
2026, menstrual pads, tampons, and menstrual cups.  | 
 (38) Merchandise that is subject to the Rental Purchase  | 
Agreement Occupation and Use Tax. The purchaser must certify  | 
that the item is purchased to be rented subject to a  | 
rental-purchase rental purchase agreement, as defined in the  | 
Rental-Purchase Rental Purchase Agreement Act, and provide  | 
proof of registration under the Rental Purchase Agreement  | 
Occupation and Use Tax Act. This paragraph is exempt from the  | 
provisions of Section 3-90. | 
 (39) Tangible personal property purchased by a purchaser  | 
who is exempt from the tax imposed by this Act by operation of  | 
federal law. This paragraph is exempt from the provisions of  | 
 | 
Section 3-90. | 
 (40) Qualified tangible personal property used in the  | 
construction or operation of a data center that has been  | 
granted a certificate of exemption by the Department of  | 
Commerce and Economic Opportunity, whether that tangible  | 
personal property is purchased by the owner, operator, or  | 
tenant of the data center or by a contractor or subcontractor  | 
of the owner, operator, or tenant. Data centers that would  | 
have qualified for a certificate of exemption prior to January  | 
1, 2020 had Public Act 101-31 been in effect may apply for and  | 
obtain an exemption for subsequent purchases of computer  | 
equipment or enabling software purchased or leased to upgrade,  | 
supplement, or replace computer equipment or enabling software  | 
purchased or leased in the original investment that would have  | 
qualified.  | 
 The Department of Commerce and Economic Opportunity shall  | 
grant a certificate of exemption under this item (40) to  | 
qualified data centers as defined by Section 605-1025 of the  | 
Department of Commerce and Economic Opportunity Law of the  | 
Civil Administrative Code of Illinois.  | 
 For the purposes of this item (40):  | 
  "Data center" means a building or a series of  | 
 buildings rehabilitated or constructed to house working  | 
 servers in one physical location or multiple sites within  | 
 the State of Illinois.  | 
  "Qualified tangible personal property" means:  | 
 | 
 electrical systems and equipment; climate control and  | 
 chilling equipment and systems; mechanical systems and  | 
 equipment; monitoring and secure systems; emergency  | 
 generators; hardware; computers; servers; data storage  | 
 devices; network connectivity equipment; racks; cabinets;  | 
 telecommunications cabling infrastructure; raised floor  | 
 systems; peripheral components or systems; software;  | 
 mechanical, electrical, or plumbing systems; battery  | 
 systems; cooling systems and towers; temperature control  | 
 systems; other cabling; and other data center  | 
 infrastructure equipment and systems necessary to operate  | 
 qualified tangible personal property, including fixtures;  | 
 and component parts of any of the foregoing, including  | 
 installation, maintenance, repair, refurbishment, and  | 
 replacement of qualified tangible personal property to  | 
 generate, transform, transmit, distribute, or manage  | 
 electricity necessary to operate qualified tangible  | 
 personal property; and all other tangible personal  | 
 property that is essential to the operations of a computer  | 
 data center. The term "qualified tangible personal  | 
 property" also includes building materials physically  | 
 incorporated into in to the qualifying data center. To  | 
 document the exemption allowed under this Section, the  | 
 retailer must obtain from the purchaser a copy of the  | 
 certificate of eligibility issued by the Department of  | 
 Commerce and Economic Opportunity.  | 
 | 
 This item (40) is exempt from the provisions of Section  | 
3-90.  | 
 (41) Beginning July 1, 2022, breast pumps, breast pump  | 
collection and storage supplies, and breast pump kits. This  | 
item (41) is exempt from the provisions of Section 3-90. As  | 
used in this item (41):  | 
  "Breast pump" means an electrically controlled or  | 
 manually controlled pump device designed or marketed to be  | 
 used to express milk from a human breast during lactation,  | 
 including the pump device and any battery, AC adapter, or  | 
 other power supply unit that is used to power the pump  | 
 device and is packaged and sold with the pump device at the  | 
 time of sale.  | 
  "Breast pump collection and storage supplies" means  | 
 items of tangible personal property designed or marketed  | 
 to be used in conjunction with a breast pump to collect  | 
 milk expressed from a human breast and to store collected  | 
 milk until it is ready for consumption.  | 
  "Breast pump collection and storage supplies"  | 
 includes, but is not limited to: breast shields and breast  | 
 shield connectors; breast pump tubes and tubing adapters;  | 
 breast pump valves and membranes; backflow protectors and  | 
 backflow protector adaptors; bottles and bottle caps  | 
 specific to the operation of the breast pump; and breast  | 
 milk storage bags.  | 
  "Breast pump collection and storage supplies" does not  | 
 | 
 include: (1) bottles and bottle caps not specific to the  | 
 operation of the breast pump; (2) breast pump travel bags  | 
 and other similar carrying accessories, including ice  | 
 packs, labels, and other similar products; (3) breast pump  | 
 cleaning supplies; (4) nursing bras, bra pads, breast  | 
 shells, and other similar products; and (5) creams,  | 
 ointments, and other similar products that relieve  | 
 breastfeeding-related symptoms or conditions of the  | 
 breasts or nipples, unless sold as part of a breast pump  | 
 kit that is pre-packaged by the breast pump manufacturer  | 
 or distributor.  | 
  "Breast pump kit" means a kit that: (1) contains no  | 
 more than a breast pump, breast pump collection and  | 
 storage supplies, a rechargeable battery for operating the  | 
 breast pump, a breastmilk cooler, bottle stands, ice  | 
 packs, and a breast pump carrying case; and (2) is  | 
 pre-packaged as a breast pump kit by the breast pump  | 
 manufacturer or distributor.  | 
 (42) Tangible personal property sold by or on behalf of  | 
the State Treasurer pursuant to the Revised Uniform Unclaimed  | 
Property Act. This item (42) is exempt from the provisions of  | 
Section 3-90.  | 
 (43) Beginning on January 1, 2024, tangible personal  | 
property purchased by an active duty member of the armed  | 
forces of the United States who presents valid military  | 
identification and purchases the property using a form of  | 
 | 
payment where the federal government is the payor. The member  | 
of the armed forces must complete, at the point of sale, a form  | 
prescribed by the Department of Revenue documenting that the  | 
transaction is eligible for the exemption under this  | 
paragraph. Retailers must keep the form as documentation of  | 
the exemption in their records for a period of not less than 6  | 
years. "Armed forces of the United States" means the United  | 
States Army, Navy, Air Force, Marine Corps, or Coast Guard.  | 
This paragraph is exempt from the provisions of Section 3-90.  | 
(Source: P.A. 102-16, eff. 6-17-21; 102-700, Article 70,  | 
Section 70-5, eff. 4-19-22; 102-700, Article 75, Section 75-5,  | 
eff. 4-19-22; 102-1026, eff. 5-27-22; 103-9, Article 5,  | 
Section 5-5, eff. 6-7-23; 103-9, Article 15, Section 15-5,  | 
eff. 6-7-23; 103-154, eff. 6-30-23; 103-384, eff. 1-1-24;  | 
revised 12-12-23.)
 | 
 Section 195. The Service Use Tax Act is amended by  | 
changing Section 3-5 as follows:
 | 
 (35 ILCS 110/3-5) | 
 Sec. 3-5. Exemptions. Use of the following tangible  | 
personal property is exempt from the tax imposed by this Act: | 
 (1) Personal property purchased from a corporation,  | 
society, association, foundation, institution, or  | 
organization, other than a limited liability company, that is  | 
organized and operated as a not-for-profit service enterprise  | 
 | 
for the benefit of persons 65 years of age or older if the  | 
personal property was not purchased by the enterprise for the  | 
purpose of resale by the enterprise. | 
 (2) Personal property purchased by a non-profit Illinois  | 
county fair association for use in conducting, operating, or  | 
promoting the county fair. | 
 (3) Personal property purchased by a not-for-profit arts  | 
or cultural organization that establishes, by proof required  | 
by the Department by rule, that it has received an exemption  | 
under Section 501(c)(3) of the Internal Revenue Code and that  | 
is organized and operated primarily for the presentation or  | 
support of arts or cultural programming, activities, or  | 
services. These organizations include, but are not limited to,  | 
music and dramatic arts organizations such as symphony  | 
orchestras and theatrical groups, arts and cultural service  | 
organizations, local arts councils, visual arts organizations,  | 
and media arts organizations. On and after July 1, 2001 (the  | 
effective date of Public Act 92-35), however, an entity  | 
otherwise eligible for this exemption shall not make tax-free  | 
purchases unless it has an active identification number issued  | 
by the Department. | 
 (4) Legal tender, currency, medallions, or gold or silver  | 
coinage issued by the State of Illinois, the government of the  | 
United States of America, or the government of any foreign  | 
country, and bullion. | 
 (5) Until July 1, 2003 and beginning again on September 1,  | 
 | 
2004 through August 30, 2014, graphic arts machinery and  | 
equipment, including repair and replacement parts, both new  | 
and used, and including that manufactured on special order or  | 
purchased for lease, certified by the purchaser to be used  | 
primarily for graphic arts production. Equipment includes  | 
chemicals or chemicals acting as catalysts but only if the  | 
chemicals or chemicals acting as catalysts effect a direct and  | 
immediate change upon a graphic arts product. Beginning on  | 
July 1, 2017, graphic arts machinery and equipment is included  | 
in the manufacturing and assembling machinery and equipment  | 
exemption under Section 2 of this Act. | 
 (6) Personal property purchased from a teacher-sponsored  | 
student organization affiliated with an elementary or  | 
secondary school located in Illinois. | 
 (7) Farm machinery and equipment, both new and used,  | 
including that manufactured on special order, certified by the  | 
purchaser to be used primarily for production agriculture or  | 
State or federal agricultural programs, including individual  | 
replacement parts for the machinery and equipment, including  | 
machinery and equipment purchased for lease, and including  | 
implements of husbandry defined in Section 1-130 of the  | 
Illinois Vehicle Code, farm machinery and agricultural  | 
chemical and fertilizer spreaders, and nurse wagons required  | 
to be registered under Section 3-809 of the Illinois Vehicle  | 
Code, but excluding other motor vehicles required to be  | 
registered under the Illinois Vehicle Code. Horticultural  | 
 | 
polyhouses or hoop houses used for propagating, growing, or  | 
overwintering plants shall be considered farm machinery and  | 
equipment under this item (7). Agricultural chemical tender  | 
tanks and dry boxes shall include units sold separately from a  | 
motor vehicle required to be licensed and units sold mounted  | 
on a motor vehicle required to be licensed if the selling price  | 
of the tender is separately stated. | 
 Farm machinery and equipment shall include precision  | 
farming equipment that is installed or purchased to be  | 
installed on farm machinery and equipment, including, but not  | 
limited to, tractors, harvesters, sprayers, planters, seeders,  | 
or spreaders. Precision farming equipment includes, but is not  | 
limited to, soil testing sensors, computers, monitors,  | 
software, global positioning and mapping systems, and other  | 
such equipment. | 
 Farm machinery and equipment also includes computers,  | 
sensors, software, and related equipment used primarily in the  | 
computer-assisted operation of production agriculture  | 
facilities, equipment, and activities such as, but not limited  | 
to, the collection, monitoring, and correlation of animal and  | 
crop data for the purpose of formulating animal diets and  | 
agricultural chemicals.  | 
 Beginning on January 1, 2024, farm machinery and equipment  | 
also includes electrical power generation equipment used  | 
primarily for production agriculture.  | 
 This item (7) is exempt from the provisions of Section  | 
 | 
3-75. | 
 (8) Until June 30, 2013, fuel and petroleum products sold  | 
to or used by an air common carrier, certified by the carrier  | 
to be used for consumption, shipment, or storage in the  | 
conduct of its business as an air common carrier, for a flight  | 
destined for or returning from a location or locations outside  | 
the United States without regard to previous or subsequent  | 
domestic stopovers. | 
 Beginning July 1, 2013, fuel and petroleum products sold  | 
to or used by an air carrier, certified by the carrier to be  | 
used for consumption, shipment, or storage in the conduct of  | 
its business as an air common carrier, for a flight that (i) is  | 
engaged in foreign trade or is engaged in trade between the  | 
United States and any of its possessions and (ii) transports  | 
at least one individual or package for hire from the city of  | 
origination to the city of final destination on the same  | 
aircraft, without regard to a change in the flight number of  | 
that aircraft.  | 
 (9) Proceeds of mandatory service charges separately  | 
stated on customers' bills for the purchase and consumption of  | 
food and beverages acquired as an incident to the purchase of a  | 
service from a serviceman, to the extent that the proceeds of  | 
the service charge are in fact turned over as tips or as a  | 
substitute for tips to the employees who participate directly  | 
in preparing, serving, hosting or cleaning up the food or  | 
beverage function with respect to which the service charge is  | 
 | 
imposed. | 
 (10) Until July 1, 2003, oil field exploration, drilling,  | 
and production equipment, including (i) rigs and parts of  | 
rigs, rotary rigs, cable tool rigs, and workover rigs, (ii)  | 
pipe and tubular goods, including casing and drill strings,  | 
(iii) pumps and pump-jack units, (iv) storage tanks and flow  | 
lines, (v) any individual replacement part for oil field  | 
exploration, drilling, and production equipment, and (vi)  | 
machinery and equipment purchased for lease; but excluding  | 
motor vehicles required to be registered under the Illinois  | 
Vehicle Code. | 
 (11) Proceeds from the sale of photoprocessing machinery  | 
and equipment, including repair and replacement parts, both  | 
new and used, including that manufactured on special order,  | 
certified by the purchaser to be used primarily for  | 
photoprocessing, and including photoprocessing machinery and  | 
equipment purchased for lease. | 
 (12) Until July 1, 2028, coal and aggregate exploration,  | 
mining, off-highway hauling, processing, maintenance, and  | 
reclamation equipment, including replacement parts and  | 
equipment, and including equipment purchased for lease, but  | 
excluding motor vehicles required to be registered under the  | 
Illinois Vehicle Code. The changes made to this Section by  | 
Public Act 97-767 apply on and after July 1, 2003, but no claim  | 
for credit or refund is allowed on or after August 16, 2013  | 
(the effective date of Public Act 98-456) for such taxes paid  | 
 | 
during the period beginning July 1, 2003 and ending on August  | 
16, 2013 (the effective date of Public Act 98-456). | 
 (13) Semen used for artificial insemination of livestock  | 
for direct agricultural production. | 
 (14) Horses, or interests in horses, registered with and  | 
meeting the requirements of any of the Arabian Horse Club  | 
Registry of America, Appaloosa Horse Club, American Quarter  | 
Horse Association, United States Trotting Association, or  | 
Jockey Club, as appropriate, used for purposes of breeding or  | 
racing for prizes. This item (14) is exempt from the  | 
provisions of Section 3-75, and the exemption provided for  | 
under this item (14) applies for all periods beginning May 30,  | 
1995, but no claim for credit or refund is allowed on or after  | 
January 1, 2008 (the effective date of Public Act 95-88) for  | 
such taxes paid during the period beginning May 30, 2000 and  | 
ending on January 1, 2008 (the effective date of Public Act  | 
95-88). | 
 (15) Computers and communications equipment utilized for  | 
any hospital purpose and equipment used in the diagnosis,  | 
analysis, or treatment of hospital patients purchased by a  | 
lessor who leases the equipment, under a lease of one year or  | 
longer executed or in effect at the time the lessor would  | 
otherwise be subject to the tax imposed by this Act, to a  | 
hospital that has been issued an active tax exemption  | 
identification number by the Department under Section 1g of  | 
the Retailers' Occupation Tax Act. If the equipment is leased  | 
 | 
in a manner that does not qualify for this exemption or is used  | 
in any other non-exempt manner, the lessor shall be liable for  | 
the tax imposed under this Act or the Use Tax Act, as the case  | 
may be, based on the fair market value of the property at the  | 
time the non-qualifying use occurs. No lessor shall collect or  | 
attempt to collect an amount (however designated) that  | 
purports to reimburse that lessor for the tax imposed by this  | 
Act or the Use Tax Act, as the case may be, if the tax has not  | 
been paid by the lessor. If a lessor improperly collects any  | 
such amount from the lessee, the lessee shall have a legal  | 
right to claim a refund of that amount from the lessor. If,  | 
however, that amount is not refunded to the lessee for any  | 
reason, the lessor is liable to pay that amount to the  | 
Department. | 
 (16) Personal property purchased by a lessor who leases  | 
the property, under a lease of one year or longer executed or  | 
in effect at the time the lessor would otherwise be subject to  | 
the tax imposed by this Act, to a governmental body that has  | 
been issued an active tax exemption identification number by  | 
the Department under Section 1g of the Retailers' Occupation  | 
Tax Act. If the property is leased in a manner that does not  | 
qualify for this exemption or is used in any other non-exempt  | 
manner, the lessor shall be liable for the tax imposed under  | 
this Act or the Use Tax Act, as the case may be, based on the  | 
fair market value of the property at the time the  | 
non-qualifying use occurs. No lessor shall collect or attempt  | 
 | 
to collect an amount (however designated) that purports to  | 
reimburse that lessor for the tax imposed by this Act or the  | 
Use Tax Act, as the case may be, if the tax has not been paid  | 
by the lessor. If a lessor improperly collects any such amount  | 
from the lessee, the lessee shall have a legal right to claim a  | 
refund of that amount from the lessor. If, however, that  | 
amount is not refunded to the lessee for any reason, the lessor  | 
is liable to pay that amount to the Department. | 
 (17) Beginning with taxable years ending on or after  | 
December 31, 1995 and ending with taxable years ending on or  | 
before December 31, 2004, personal property that is donated  | 
for disaster relief to be used in a State or federally declared  | 
disaster area in Illinois or bordering Illinois by a  | 
manufacturer or retailer that is registered in this State to a  | 
corporation, society, association, foundation, or institution  | 
that has been issued a sales tax exemption identification  | 
number by the Department that assists victims of the disaster  | 
who reside within the declared disaster area. | 
 (18) Beginning with taxable years ending on or after  | 
December 31, 1995 and ending with taxable years ending on or  | 
before December 31, 2004, personal property that is used in  | 
the performance of infrastructure repairs in this State,  | 
including, but not limited to, municipal roads and streets,  | 
access roads, bridges, sidewalks, waste disposal systems,  | 
water and sewer line extensions, water distribution and  | 
purification facilities, storm water drainage and retention  | 
 | 
facilities, and sewage treatment facilities, resulting from a  | 
State or federally declared disaster in Illinois or bordering  | 
Illinois when such repairs are initiated on facilities located  | 
in the declared disaster area within 6 months after the  | 
disaster. | 
 (19) Beginning July 1, 1999, game or game birds purchased  | 
at a "game breeding and hunting preserve area" as that term is  | 
used in the Wildlife Code. This paragraph is exempt from the  | 
provisions of Section 3-75. | 
 (20) A motor vehicle, as that term is defined in Section  | 
1-146 of the Illinois Vehicle Code, that is donated to a  | 
corporation, limited liability company, society, association,  | 
foundation, or institution that is determined by the  | 
Department to be organized and operated exclusively for  | 
educational purposes. For purposes of this exemption, "a  | 
corporation, limited liability company, society, association,  | 
foundation, or institution organized and operated exclusively  | 
for educational purposes" means all tax-supported public  | 
schools, private schools that offer systematic instruction in  | 
useful branches of learning by methods common to public  | 
schools and that compare favorably in their scope and  | 
intensity with the course of study presented in tax-supported  | 
schools, and vocational or technical schools or institutes  | 
organized and operated exclusively to provide a course of  | 
study of not less than 6 weeks duration and designed to prepare  | 
individuals to follow a trade or to pursue a manual,  | 
 | 
technical, mechanical, industrial, business, or commercial  | 
occupation. | 
 (21) Beginning January 1, 2000, personal property,  | 
including food, purchased through fundraising events for the  | 
benefit of a public or private elementary or secondary school,  | 
a group of those schools, or one or more school districts if  | 
the events are sponsored by an entity recognized by the school  | 
district that consists primarily of volunteers and includes  | 
parents and teachers of the school children. This paragraph  | 
does not apply to fundraising events (i) for the benefit of  | 
private home instruction or (ii) for which the fundraising  | 
entity purchases the personal property sold at the events from  | 
another individual or entity that sold the property for the  | 
purpose of resale by the fundraising entity and that profits  | 
from the sale to the fundraising entity. This paragraph is  | 
exempt from the provisions of Section 3-75. | 
 (22) Beginning January 1, 2000 and through December 31,  | 
2001, new or used automatic vending machines that prepare and  | 
serve hot food and beverages, including coffee, soup, and  | 
other items, and replacement parts for these machines.  | 
Beginning January 1, 2002 and through June 30, 2003, machines  | 
and parts for machines used in commercial, coin-operated  | 
amusement and vending business if a use or occupation tax is  | 
paid on the gross receipts derived from the use of the  | 
commercial, coin-operated amusement and vending machines. This  | 
paragraph is exempt from the provisions of Section 3-75. | 
 | 
 (23) Beginning August 23, 2001 and through June 30, 2016,  | 
food for human consumption that is to be consumed off the  | 
premises where it is sold (other than alcoholic beverages,  | 
soft drinks, and food that has been prepared for immediate  | 
consumption) and prescription and nonprescription medicines,  | 
drugs, medical appliances, and insulin, urine testing  | 
materials, syringes, and needles used by diabetics, for human  | 
use, when purchased for use by a person receiving medical  | 
assistance under Article V of the Illinois Public Aid Code who  | 
resides in a licensed long-term care facility, as defined in  | 
the Nursing Home Care Act, or in a licensed facility as defined  | 
in the ID/DD Community Care Act, the MC/DD Act, or the  | 
Specialized Mental Health Rehabilitation Act of 2013. | 
 (24) Beginning on August 2, 2001 (the effective date of  | 
Public Act 92-227), computers and communications equipment  | 
utilized for any hospital purpose and equipment used in the  | 
diagnosis, analysis, or treatment of hospital patients  | 
purchased by a lessor who leases the equipment, under a lease  | 
of one year or longer executed or in effect at the time the  | 
lessor would otherwise be subject to the tax imposed by this  | 
Act, to a hospital that has been issued an active tax exemption  | 
identification number by the Department under Section 1g of  | 
the Retailers' Occupation Tax Act. If the equipment is leased  | 
in a manner that does not qualify for this exemption or is used  | 
in any other nonexempt manner, the lessor shall be liable for  | 
the tax imposed under this Act or the Use Tax Act, as the case  | 
 | 
may be, based on the fair market value of the property at the  | 
time the nonqualifying use occurs. No lessor shall collect or  | 
attempt to collect an amount (however designated) that  | 
purports to reimburse that lessor for the tax imposed by this  | 
Act or the Use Tax Act, as the case may be, if the tax has not  | 
been paid by the lessor. If a lessor improperly collects any  | 
such amount from the lessee, the lessee shall have a legal  | 
right to claim a refund of that amount from the lessor. If,  | 
however, that amount is not refunded to the lessee for any  | 
reason, the lessor is liable to pay that amount to the  | 
Department. This paragraph is exempt from the provisions of  | 
Section 3-75. | 
 (25) Beginning on August 2, 2001 (the effective date of  | 
Public Act 92-227), personal property purchased by a lessor  | 
who leases the property, under a lease of one year or longer  | 
executed or in effect at the time the lessor would otherwise be  | 
subject to the tax imposed by this Act, to a governmental body  | 
that has been issued an active tax exemption identification  | 
number by the Department under Section 1g of the Retailers'  | 
Occupation Tax Act. If the property is leased in a manner that  | 
does not qualify for this exemption or is used in any other  | 
nonexempt manner, the lessor shall be liable for the tax  | 
imposed under this Act or the Use Tax Act, as the case may be,  | 
based on the fair market value of the property at the time the  | 
nonqualifying use occurs. No lessor shall collect or attempt  | 
to collect an amount (however designated) that purports to  | 
 | 
reimburse that lessor for the tax imposed by this Act or the  | 
Use Tax Act, as the case may be, if the tax has not been paid  | 
by the lessor. If a lessor improperly collects any such amount  | 
from the lessee, the lessee shall have a legal right to claim a  | 
refund of that amount from the lessor. If, however, that  | 
amount is not refunded to the lessee for any reason, the lessor  | 
is liable to pay that amount to the Department. This paragraph  | 
is exempt from the provisions of Section 3-75. | 
 (26) Beginning January 1, 2008, tangible personal property  | 
used in the construction or maintenance of a community water  | 
supply, as defined under Section 3.145 of the Environmental  | 
Protection Act, that is operated by a not-for-profit  | 
corporation that holds a valid water supply permit issued  | 
under Title IV of the Environmental Protection Act. This  | 
paragraph is exempt from the provisions of Section 3-75.  | 
 (27) Beginning January 1, 2010 and continuing through  | 
December 31, 2029, materials, parts, equipment, components,  | 
and furnishings incorporated into or upon an aircraft as part  | 
of the modification, refurbishment, completion, replacement,  | 
repair, or maintenance of the aircraft. This exemption  | 
includes consumable supplies used in the modification,  | 
refurbishment, completion, replacement, repair, and  | 
maintenance of aircraft. However, until January 1, 2024, this  | 
exemption excludes any materials, parts, equipment,  | 
components, and consumable supplies used in the modification,  | 
replacement, repair, and maintenance of aircraft engines or  | 
 | 
power plants, whether such engines or power plants are  | 
installed or uninstalled upon any such aircraft. "Consumable  | 
supplies" include, but are not limited to, adhesive, tape,  | 
sandpaper, general purpose lubricants, cleaning solution,  | 
latex gloves, and protective films.  | 
 Beginning January 1, 2010 and continuing through December  | 
31, 2023, this exemption applies only to the use of qualifying  | 
tangible personal property transferred incident to the  | 
modification, refurbishment, completion, replacement, repair,  | 
or maintenance of aircraft by persons who (i) hold an Air  | 
Agency Certificate and are empowered to operate an approved  | 
repair station by the Federal Aviation Administration, (ii)  | 
have a Class IV Rating, and (iii) conduct operations in  | 
accordance with Part 145 of the Federal Aviation Regulations.  | 
From January 1, 2024 through December 31, 2029, this exemption  | 
applies only to the use of qualifying tangible personal  | 
property by: (A) persons who modify, refurbish, complete,  | 
repair, replace, or maintain aircraft and who (i) hold an Air  | 
Agency Certificate and are empowered to operate an approved  | 
repair station by the Federal Aviation Administration, (ii)  | 
have a Class IV Rating, and (iii) conduct operations in  | 
accordance with Part 145 of the Federal Aviation Regulations;  | 
and (B) persons who engage in the modification, replacement,  | 
repair, and maintenance of aircraft engines or power plants  | 
without regard to whether or not those persons meet the  | 
qualifications of item (A). | 
 | 
 The exemption does not include aircraft operated by a  | 
commercial air carrier providing scheduled passenger air  | 
service pursuant to authority issued under Part 121 or Part  | 
129 of the Federal Aviation Regulations. The changes made to  | 
this paragraph (27) by Public Act 98-534 are declarative of  | 
existing law. It is the intent of the General Assembly that the  | 
exemption under this paragraph (27) applies continuously from  | 
January 1, 2010 through December 31, 2024; however, no claim  | 
for credit or refund is allowed for taxes paid as a result of  | 
the disallowance of this exemption on or after January 1, 2015  | 
and prior to February 5, 2020 (the effective date of Public Act  | 
101-629). | 
 (28) Tangible personal property purchased by a  | 
public-facilities corporation, as described in Section  | 
11-65-10 of the Illinois Municipal Code, for purposes of  | 
constructing or furnishing a municipal convention hall, but  | 
only if the legal title to the municipal convention hall is  | 
transferred to the municipality without any further  | 
consideration by or on behalf of the municipality at the time  | 
of the completion of the municipal convention hall or upon the  | 
retirement or redemption of any bonds or other debt  | 
instruments issued by the public-facilities corporation in  | 
connection with the development of the municipal convention  | 
hall. This exemption includes existing public-facilities  | 
corporations as provided in Section 11-65-25 of the Illinois  | 
Municipal Code. This paragraph is exempt from the provisions  | 
 | 
of Section 3-75.  | 
 (29) Beginning January 1, 2017 and through December 31,  | 
2026, menstrual pads, tampons, and menstrual cups.  | 
 (30) Tangible personal property transferred to a purchaser  | 
who is exempt from the tax imposed by this Act by operation of  | 
federal law. This paragraph is exempt from the provisions of  | 
Section 3-75.  | 
 (31) Qualified tangible personal property used in the  | 
construction or operation of a data center that has been  | 
granted a certificate of exemption by the Department of  | 
Commerce and Economic Opportunity, whether that tangible  | 
personal property is purchased by the owner, operator, or  | 
tenant of the data center or by a contractor or subcontractor  | 
of the owner, operator, or tenant. Data centers that would  | 
have qualified for a certificate of exemption prior to January  | 
1, 2020 had Public Act 101-31 been in effect, may apply for and  | 
obtain an exemption for subsequent purchases of computer  | 
equipment or enabling software purchased or leased to upgrade,  | 
supplement, or replace computer equipment or enabling software  | 
purchased or leased in the original investment that would have  | 
qualified.  | 
 The Department of Commerce and Economic Opportunity shall  | 
grant a certificate of exemption under this item (31) to  | 
qualified data centers as defined by Section 605-1025 of the  | 
Department of Commerce and Economic Opportunity Law of the  | 
Civil Administrative Code of Illinois.  | 
 | 
 For the purposes of this item (31):  | 
  "Data center" means a building or a series of  | 
 buildings rehabilitated or constructed to house working  | 
 servers in one physical location or multiple sites within  | 
 the State of Illinois.  | 
  "Qualified tangible personal property" means:  | 
 electrical systems and equipment; climate control and  | 
 chilling equipment and systems; mechanical systems and  | 
 equipment; monitoring and secure systems; emergency  | 
 generators; hardware; computers; servers; data storage  | 
 devices; network connectivity equipment; racks; cabinets;  | 
 telecommunications cabling infrastructure; raised floor  | 
 systems; peripheral components or systems; software;  | 
 mechanical, electrical, or plumbing systems; battery  | 
 systems; cooling systems and towers; temperature control  | 
 systems; other cabling; and other data center  | 
 infrastructure equipment and systems necessary to operate  | 
 qualified tangible personal property, including fixtures;  | 
 and component parts of any of the foregoing, including  | 
 installation, maintenance, repair, refurbishment, and  | 
 replacement of qualified tangible personal property to  | 
 generate, transform, transmit, distribute, or manage  | 
 electricity necessary to operate qualified tangible  | 
 personal property; and all other tangible personal  | 
 property that is essential to the operations of a computer  | 
 data center. The term "qualified tangible personal  | 
 | 
 property" also includes building materials physically  | 
 incorporated into in to the qualifying data center. To  | 
 document the exemption allowed under this Section, the  | 
 retailer must obtain from the purchaser a copy of the  | 
 certificate of eligibility issued by the Department of  | 
 Commerce and Economic Opportunity.  | 
 This item (31) is exempt from the provisions of Section  | 
3-75.  | 
 (32) Beginning July 1, 2022, breast pumps, breast pump  | 
collection and storage supplies, and breast pump kits. This  | 
item (32) is exempt from the provisions of Section 3-75. As  | 
used in this item (32):  | 
  "Breast pump" means an electrically controlled or  | 
 manually controlled pump device designed or marketed to be  | 
 used to express milk from a human breast during lactation,  | 
 including the pump device and any battery, AC adapter, or  | 
 other power supply unit that is used to power the pump  | 
 device and is packaged and sold with the pump device at the  | 
 time of sale.  | 
  "Breast pump collection and storage supplies" means  | 
 items of tangible personal property designed or marketed  | 
 to be used in conjunction with a breast pump to collect  | 
 milk expressed from a human breast and to store collected  | 
 milk until it is ready for consumption.  | 
  "Breast pump collection and storage supplies"  | 
 includes, but is not limited to: breast shields and breast  | 
 | 
 shield connectors; breast pump tubes and tubing adapters;  | 
 breast pump valves and membranes; backflow protectors and  | 
 backflow protector adaptors; bottles and bottle caps  | 
 specific to the operation of the breast pump; and breast  | 
 milk storage bags.  | 
  "Breast pump collection and storage supplies" does not  | 
 include: (1) bottles and bottle caps not specific to the  | 
 operation of the breast pump; (2) breast pump travel bags  | 
 and other similar carrying accessories, including ice  | 
 packs, labels, and other similar products; (3) breast pump  | 
 cleaning supplies; (4) nursing bras, bra pads, breast  | 
 shells, and other similar products; and (5) creams,  | 
 ointments, and other similar products that relieve  | 
 breastfeeding-related symptoms or conditions of the  | 
 breasts or nipples, unless sold as part of a breast pump  | 
 kit that is pre-packaged by the breast pump manufacturer  | 
 or distributor.  | 
  "Breast pump kit" means a kit that: (1) contains no  | 
 more than a breast pump, breast pump collection and  | 
 storage supplies, a rechargeable battery for operating the  | 
 breast pump, a breastmilk cooler, bottle stands, ice  | 
 packs, and a breast pump carrying case; and (2) is  | 
 pre-packaged as a breast pump kit by the breast pump  | 
 manufacturer or distributor.  | 
 (33) Tangible personal property sold by or on behalf of  | 
the State Treasurer pursuant to the Revised Uniform Unclaimed  | 
 | 
Property Act. This item (33) is exempt from the provisions of  | 
Section 3-75.  | 
 (34) Beginning on January 1, 2024, tangible personal  | 
property purchased by an active duty member of the armed  | 
forces of the United States who presents valid military  | 
identification and purchases the property using a form of  | 
payment where the federal government is the payor. The member  | 
of the armed forces must complete, at the point of sale, a form  | 
prescribed by the Department of Revenue documenting that the  | 
transaction is eligible for the exemption under this  | 
paragraph. Retailers must keep the form as documentation of  | 
the exemption in their records for a period of not less than 6  | 
years. "Armed forces of the United States" means the United  | 
States Army, Navy, Air Force, Marine Corps, or Coast Guard.  | 
This paragraph is exempt from the provisions of Section 3-75.  | 
(Source: P.A. 102-16, eff. 6-17-21; 102-700, Article 70,  | 
Section 70-10, eff. 4-19-22; 102-700, Article 75, Section  | 
75-10, eff. 4-19-22; 102-1026, eff. 5-27-22; 103-9, Article 5,  | 
Section 5-10, eff. 6-7-23; 103-9, Article 15, Section 15-10,  | 
eff. 6-7-23; 103-154, eff. 6-30-23; 103-384, eff. 1-1-24;  | 
revised 12-12-23.)
 | 
 Section 200. The Service Occupation Tax Act is amended by  | 
changing Sections 3-5, 9, and 12 as follows:
 | 
 (35 ILCS 115/3-5) | 
 | 
 Sec. 3-5. Exemptions. The following tangible personal  | 
property is exempt from the tax imposed by this Act: | 
 (1) Personal property sold by a corporation, society,  | 
association, foundation, institution, or organization, other  | 
than a limited liability company, that is organized and  | 
operated as a not-for-profit service enterprise for the  | 
benefit of persons 65 years of age or older if the personal  | 
property was not purchased by the enterprise for the purpose  | 
of resale by the enterprise. | 
 (2) Personal property purchased by a not-for-profit  | 
Illinois county fair association for use in conducting,  | 
operating, or promoting the county fair. | 
 (3) Personal property purchased by any not-for-profit arts  | 
or cultural organization that establishes, by proof required  | 
by the Department by rule, that it has received an exemption  | 
under Section 501(c)(3) of the Internal Revenue Code and that  | 
is organized and operated primarily for the presentation or  | 
support of arts or cultural programming, activities, or  | 
services. These organizations include, but are not limited to,  | 
music and dramatic arts organizations such as symphony  | 
orchestras and theatrical groups, arts and cultural service  | 
organizations, local arts councils, visual arts organizations,  | 
and media arts organizations. On and after July 1, 2001 (the  | 
effective date of Public Act 92-35), however, an entity  | 
otherwise eligible for this exemption shall not make tax-free  | 
purchases unless it has an active identification number issued  | 
 | 
by the Department. | 
 (4) Legal tender, currency, medallions, or gold or silver  | 
coinage issued by the State of Illinois, the government of the  | 
United States of America, or the government of any foreign  | 
country, and bullion. | 
 (5) Until July 1, 2003 and beginning again on September 1,  | 
2004 through August 30, 2014, graphic arts machinery and  | 
equipment, including repair and replacement parts, both new  | 
and used, and including that manufactured on special order or  | 
purchased for lease, certified by the purchaser to be used  | 
primarily for graphic arts production. Equipment includes  | 
chemicals or chemicals acting as catalysts but only if the  | 
chemicals or chemicals acting as catalysts effect a direct and  | 
immediate change upon a graphic arts product. Beginning on  | 
July 1, 2017, graphic arts machinery and equipment is included  | 
in the manufacturing and assembling machinery and equipment  | 
exemption under Section 2 of this Act. | 
 (6) Personal property sold by a teacher-sponsored student  | 
organization affiliated with an elementary or secondary school  | 
located in Illinois. | 
 (7) Farm machinery and equipment, both new and used,  | 
including that manufactured on special order, certified by the  | 
purchaser to be used primarily for production agriculture or  | 
State or federal agricultural programs, including individual  | 
replacement parts for the machinery and equipment, including  | 
machinery and equipment purchased for lease, and including  | 
 | 
implements of husbandry defined in Section 1-130 of the  | 
Illinois Vehicle Code, farm machinery and agricultural  | 
chemical and fertilizer spreaders, and nurse wagons required  | 
to be registered under Section 3-809 of the Illinois Vehicle  | 
Code, but excluding other motor vehicles required to be  | 
registered under the Illinois Vehicle Code. Horticultural  | 
polyhouses or hoop houses used for propagating, growing, or  | 
overwintering plants shall be considered farm machinery and  | 
equipment under this item (7). Agricultural chemical tender  | 
tanks and dry boxes shall include units sold separately from a  | 
motor vehicle required to be licensed and units sold mounted  | 
on a motor vehicle required to be licensed if the selling price  | 
of the tender is separately stated. | 
 Farm machinery and equipment shall include precision  | 
farming equipment that is installed or purchased to be  | 
installed on farm machinery and equipment, including, but not  | 
limited to, tractors, harvesters, sprayers, planters, seeders,  | 
or spreaders. Precision farming equipment includes, but is not  | 
limited to, soil testing sensors, computers, monitors,  | 
software, global positioning and mapping systems, and other  | 
such equipment. | 
 Farm machinery and equipment also includes computers,  | 
sensors, software, and related equipment used primarily in the  | 
computer-assisted operation of production agriculture  | 
facilities, equipment, and activities such as, but not limited  | 
to, the collection, monitoring, and correlation of animal and  | 
 | 
crop data for the purpose of formulating animal diets and  | 
agricultural chemicals.  | 
 Beginning on January 1, 2024, farm machinery and equipment  | 
also includes electrical power generation equipment used  | 
primarily for production agriculture.  | 
 This item (7) is exempt from the provisions of Section  | 
3-55. | 
 (8) Until June 30, 2013, fuel and petroleum products sold  | 
to or used by an air common carrier, certified by the carrier  | 
to be used for consumption, shipment, or storage in the  | 
conduct of its business as an air common carrier, for a flight  | 
destined for or returning from a location or locations outside  | 
the United States without regard to previous or subsequent  | 
domestic stopovers. | 
 Beginning July 1, 2013, fuel and petroleum products sold  | 
to or used by an air carrier, certified by the carrier to be  | 
used for consumption, shipment, or storage in the conduct of  | 
its business as an air common carrier, for a flight that (i) is  | 
engaged in foreign trade or is engaged in trade between the  | 
United States and any of its possessions and (ii) transports  | 
at least one individual or package for hire from the city of  | 
origination to the city of final destination on the same  | 
aircraft, without regard to a change in the flight number of  | 
that aircraft.  | 
 (9) Proceeds of mandatory service charges separately  | 
stated on customers' bills for the purchase and consumption of  | 
 | 
food and beverages, to the extent that the proceeds of the  | 
service charge are in fact turned over as tips or as a  | 
substitute for tips to the employees who participate directly  | 
in preparing, serving, hosting or cleaning up the food or  | 
beverage function with respect to which the service charge is  | 
imposed. | 
 (10) Until July 1, 2003, oil field exploration, drilling,  | 
and production equipment, including (i) rigs and parts of  | 
rigs, rotary rigs, cable tool rigs, and workover rigs, (ii)  | 
pipe and tubular goods, including casing and drill strings,  | 
(iii) pumps and pump-jack units, (iv) storage tanks and flow  | 
lines, (v) any individual replacement part for oil field  | 
exploration, drilling, and production equipment, and (vi)  | 
machinery and equipment purchased for lease; but excluding  | 
motor vehicles required to be registered under the Illinois  | 
Vehicle Code. | 
 (11) Photoprocessing machinery and equipment, including  | 
repair and replacement parts, both new and used, including  | 
that manufactured on special order, certified by the purchaser  | 
to be used primarily for photoprocessing, and including  | 
photoprocessing machinery and equipment purchased for lease. | 
 (12) Until July 1, 2028, coal and aggregate exploration,  | 
mining, off-highway hauling, processing, maintenance, and  | 
reclamation equipment, including replacement parts and  | 
equipment, and including equipment purchased for lease, but  | 
excluding motor vehicles required to be registered under the  | 
 | 
Illinois Vehicle Code. The changes made to this Section by  | 
Public Act 97-767 apply on and after July 1, 2003, but no claim  | 
for credit or refund is allowed on or after August 16, 2013  | 
(the effective date of Public Act 98-456) for such taxes paid  | 
during the period beginning July 1, 2003 and ending on August  | 
16, 2013 (the effective date of Public Act 98-456). | 
 (13) Beginning January 1, 1992 and through June 30, 2016,  | 
food for human consumption that is to be consumed off the  | 
premises where it is sold (other than alcoholic beverages,  | 
soft drinks and food that has been prepared for immediate  | 
consumption) and prescription and non-prescription medicines,  | 
drugs, medical appliances, and insulin, urine testing  | 
materials, syringes, and needles used by diabetics, for human  | 
use, when purchased for use by a person receiving medical  | 
assistance under Article V of the Illinois Public Aid Code who  | 
resides in a licensed long-term care facility, as defined in  | 
the Nursing Home Care Act, or in a licensed facility as defined  | 
in the ID/DD Community Care Act, the MC/DD Act, or the  | 
Specialized Mental Health Rehabilitation Act of 2013. | 
 (14) Semen used for artificial insemination of livestock  | 
for direct agricultural production. | 
 (15) Horses, or interests in horses, registered with and  | 
meeting the requirements of any of the Arabian Horse Club  | 
Registry of America, Appaloosa Horse Club, American Quarter  | 
Horse Association, United States Trotting Association, or  | 
Jockey Club, as appropriate, used for purposes of breeding or  | 
 | 
racing for prizes. This item (15) is exempt from the  | 
provisions of Section 3-55, and the exemption provided for  | 
under this item (15) applies for all periods beginning May 30,  | 
1995, but no claim for credit or refund is allowed on or after  | 
January 1, 2008 (the effective date of Public Act 95-88) for  | 
such taxes paid during the period beginning May 30, 2000 and  | 
ending on January 1, 2008 (the effective date of Public Act  | 
95-88). | 
 (16) Computers and communications equipment utilized for  | 
any hospital purpose and equipment used in the diagnosis,  | 
analysis, or treatment of hospital patients sold to a lessor  | 
who leases the equipment, under a lease of one year or longer  | 
executed or in effect at the time of the purchase, to a  | 
hospital that has been issued an active tax exemption  | 
identification number by the Department under Section 1g of  | 
the Retailers' Occupation Tax Act. | 
 (17) Personal property sold to a lessor who leases the  | 
property, under a lease of one year or longer executed or in  | 
effect at the time of the purchase, to a governmental body that  | 
has been issued an active tax exemption identification number  | 
by the Department under Section 1g of the Retailers'  | 
Occupation Tax Act. | 
 (18) Beginning with taxable years ending on or after  | 
December 31, 1995 and ending with taxable years ending on or  | 
before December 31, 2004, personal property that is donated  | 
for disaster relief to be used in a State or federally declared  | 
 | 
disaster area in Illinois or bordering Illinois by a  | 
manufacturer or retailer that is registered in this State to a  | 
corporation, society, association, foundation, or institution  | 
that has been issued a sales tax exemption identification  | 
number by the Department that assists victims of the disaster  | 
who reside within the declared disaster area. | 
 (19) Beginning with taxable years ending on or after  | 
December 31, 1995 and ending with taxable years ending on or  | 
before December 31, 2004, personal property that is used in  | 
the performance of infrastructure repairs in this State,  | 
including, but not limited to, municipal roads and streets,  | 
access roads, bridges, sidewalks, waste disposal systems,  | 
water and sewer line extensions, water distribution and  | 
purification facilities, storm water drainage and retention  | 
facilities, and sewage treatment facilities, resulting from a  | 
State or federally declared disaster in Illinois or bordering  | 
Illinois when such repairs are initiated on facilities located  | 
in the declared disaster area within 6 months after the  | 
disaster. | 
 (20) Beginning July 1, 1999, game or game birds sold at a  | 
"game breeding and hunting preserve area" as that term is used  | 
in the Wildlife Code. This paragraph is exempt from the  | 
provisions of Section 3-55. | 
 (21) A motor vehicle, as that term is defined in Section  | 
1-146 of the Illinois Vehicle Code, that is donated to a  | 
corporation, limited liability company, society, association,  | 
 | 
foundation, or institution that is determined by the  | 
Department to be organized and operated exclusively for  | 
educational purposes. For purposes of this exemption, "a  | 
corporation, limited liability company, society, association,  | 
foundation, or institution organized and operated exclusively  | 
for educational purposes" means all tax-supported public  | 
schools, private schools that offer systematic instruction in  | 
useful branches of learning by methods common to public  | 
schools and that compare favorably in their scope and  | 
intensity with the course of study presented in tax-supported  | 
schools, and vocational or technical schools or institutes  | 
organized and operated exclusively to provide a course of  | 
study of not less than 6 weeks duration and designed to prepare  | 
individuals to follow a trade or to pursue a manual,  | 
technical, mechanical, industrial, business, or commercial  | 
occupation. | 
 (22) Beginning January 1, 2000, personal property,  | 
including food, purchased through fundraising events for the  | 
benefit of a public or private elementary or secondary school,  | 
a group of those schools, or one or more school districts if  | 
the events are sponsored by an entity recognized by the school  | 
district that consists primarily of volunteers and includes  | 
parents and teachers of the school children. This paragraph  | 
does not apply to fundraising events (i) for the benefit of  | 
private home instruction or (ii) for which the fundraising  | 
entity purchases the personal property sold at the events from  | 
 | 
another individual or entity that sold the property for the  | 
purpose of resale by the fundraising entity and that profits  | 
from the sale to the fundraising entity. This paragraph is  | 
exempt from the provisions of Section 3-55. | 
 (23) Beginning January 1, 2000 and through December 31,  | 
2001, new or used automatic vending machines that prepare and  | 
serve hot food and beverages, including coffee, soup, and  | 
other items, and replacement parts for these machines.  | 
Beginning January 1, 2002 and through June 30, 2003, machines  | 
and parts for machines used in commercial, coin-operated  | 
amusement and vending business if a use or occupation tax is  | 
paid on the gross receipts derived from the use of the  | 
commercial, coin-operated amusement and vending machines. This  | 
paragraph is exempt from the provisions of Section 3-55. | 
 (24) Beginning on August 2, 2001 (the effective date of  | 
Public Act 92-227), computers and communications equipment  | 
utilized for any hospital purpose and equipment used in the  | 
diagnosis, analysis, or treatment of hospital patients sold to  | 
a lessor who leases the equipment, under a lease of one year or  | 
longer executed or in effect at the time of the purchase, to a  | 
hospital that has been issued an active tax exemption  | 
identification number by the Department under Section 1g of  | 
the Retailers' Occupation Tax Act. This paragraph is exempt  | 
from the provisions of Section 3-55. | 
 (25) Beginning on August 2, 2001 (the effective date of  | 
Public Act 92-227), personal property sold to a lessor who  | 
 | 
leases the property, under a lease of one year or longer  | 
executed or in effect at the time of the purchase, to a  | 
governmental body that has been issued an active tax exemption  | 
identification number by the Department under Section 1g of  | 
the Retailers' Occupation Tax Act. This paragraph is exempt  | 
from the provisions of Section 3-55. | 
 (26) Beginning on January 1, 2002 and through June 30,  | 
2016, tangible personal property purchased from an Illinois  | 
retailer by a taxpayer engaged in centralized purchasing  | 
activities in Illinois who will, upon receipt of the property  | 
in Illinois, temporarily store the property in Illinois (i)  | 
for the purpose of subsequently transporting it outside this  | 
State for use or consumption thereafter solely outside this  | 
State or (ii) for the purpose of being processed, fabricated,  | 
or manufactured into, attached to, or incorporated into other  | 
tangible personal property to be transported outside this  | 
State and thereafter used or consumed solely outside this  | 
State. The Director of Revenue shall, pursuant to rules  | 
adopted in accordance with the Illinois Administrative  | 
Procedure Act, issue a permit to any taxpayer in good standing  | 
with the Department who is eligible for the exemption under  | 
this paragraph (26). The permit issued under this paragraph  | 
(26) shall authorize the holder, to the extent and in the  | 
manner specified in the rules adopted under this Act, to  | 
purchase tangible personal property from a retailer exempt  | 
from the taxes imposed by this Act. Taxpayers shall maintain  | 
 | 
all necessary books and records to substantiate the use and  | 
consumption of all such tangible personal property outside of  | 
the State of Illinois. | 
 (27) Beginning January 1, 2008, tangible personal property  | 
used in the construction or maintenance of a community water  | 
supply, as defined under Section 3.145 of the Environmental  | 
Protection Act, that is operated by a not-for-profit  | 
corporation that holds a valid water supply permit issued  | 
under Title IV of the Environmental Protection Act. This  | 
paragraph is exempt from the provisions of Section 3-55.  | 
 (28) Tangible personal property sold to a  | 
public-facilities corporation, as described in Section  | 
11-65-10 of the Illinois Municipal Code, for purposes of  | 
constructing or furnishing a municipal convention hall, but  | 
only if the legal title to the municipal convention hall is  | 
transferred to the municipality without any further  | 
consideration by or on behalf of the municipality at the time  | 
of the completion of the municipal convention hall or upon the  | 
retirement or redemption of any bonds or other debt  | 
instruments issued by the public-facilities corporation in  | 
connection with the development of the municipal convention  | 
hall. This exemption includes existing public-facilities  | 
corporations as provided in Section 11-65-25 of the Illinois  | 
Municipal Code. This paragraph is exempt from the provisions  | 
of Section 3-55.  | 
 (29) Beginning January 1, 2010 and continuing through  | 
 | 
December 31, 2029, materials, parts, equipment, components,  | 
and furnishings incorporated into or upon an aircraft as part  | 
of the modification, refurbishment, completion, replacement,  | 
repair, or maintenance of the aircraft. This exemption  | 
includes consumable supplies used in the modification,  | 
refurbishment, completion, replacement, repair, and  | 
maintenance of aircraft. However, until January 1, 2024, this  | 
exemption excludes any materials, parts, equipment,  | 
components, and consumable supplies used in the modification,  | 
replacement, repair, and maintenance of aircraft engines or  | 
power plants, whether such engines or power plants are  | 
installed or uninstalled upon any such aircraft. "Consumable  | 
supplies" include, but are not limited to, adhesive, tape,  | 
sandpaper, general purpose lubricants, cleaning solution,  | 
latex gloves, and protective films.  | 
 Beginning January 1, 2010 and continuing through December  | 
31, 2023, this exemption applies only to the transfer of  | 
qualifying tangible personal property incident to the  | 
modification, refurbishment, completion, replacement, repair,  | 
or maintenance of an aircraft by persons who (i) hold an Air  | 
Agency Certificate and are empowered to operate an approved  | 
repair station by the Federal Aviation Administration, (ii)  | 
have a Class IV Rating, and (iii) conduct operations in  | 
accordance with Part 145 of the Federal Aviation Regulations.  | 
The exemption does not include aircraft operated by a  | 
commercial air carrier providing scheduled passenger air  | 
 | 
service pursuant to authority issued under Part 121 or Part  | 
129 of the Federal Aviation Regulations. From January 1, 2024  | 
through December 31, 2029, this exemption applies only to the  | 
use of qualifying tangible personal property by: (A) persons  | 
who modify, refurbish, complete, repair, replace, or maintain  | 
aircraft and who (i) hold an Air Agency Certificate and are  | 
empowered to operate an approved repair station by the Federal  | 
Aviation Administration, (ii) have a Class IV Rating, and  | 
(iii) conduct operations in accordance with Part 145 of the  | 
Federal Aviation Regulations; and (B) persons who engage in  | 
the modification, replacement, repair, and maintenance of  | 
aircraft engines or power plants without regard to whether or  | 
not those persons meet the qualifications of item (A). | 
 The changes made to this paragraph (29) by Public Act  | 
98-534 are declarative of existing law. It is the intent of the  | 
General Assembly that the exemption under this paragraph (29)  | 
applies continuously from January 1, 2010 through December 31,  | 
2024; however, no claim for credit or refund is allowed for  | 
taxes paid as a result of the disallowance of this exemption on  | 
or after January 1, 2015 and prior to February 5, 2020 (the  | 
effective date of Public Act 101-629). | 
 (30) Beginning January 1, 2017 and through December 31,  | 
2026, menstrual pads, tampons, and menstrual cups.  | 
 (31) Tangible personal property transferred to a purchaser  | 
who is exempt from tax by operation of federal law. This  | 
paragraph is exempt from the provisions of Section 3-55.  | 
 | 
 (32) Qualified tangible personal property used in the  | 
construction or operation of a data center that has been  | 
granted a certificate of exemption by the Department of  | 
Commerce and Economic Opportunity, whether that tangible  | 
personal property is purchased by the owner, operator, or  | 
tenant of the data center or by a contractor or subcontractor  | 
of the owner, operator, or tenant. Data centers that would  | 
have qualified for a certificate of exemption prior to January  | 
1, 2020 had Public Act 101-31 been in effect, may apply for and  | 
obtain an exemption for subsequent purchases of computer  | 
equipment or enabling software purchased or leased to upgrade,  | 
supplement, or replace computer equipment or enabling software  | 
purchased or leased in the original investment that would have  | 
qualified.  | 
 The Department of Commerce and Economic Opportunity shall  | 
grant a certificate of exemption under this item (32) to  | 
qualified data centers as defined by Section 605-1025 of the  | 
Department of Commerce and Economic Opportunity Law of the  | 
Civil Administrative Code of Illinois.  | 
 For the purposes of this item (32):  | 
  "Data center" means a building or a series of  | 
 buildings rehabilitated or constructed to house working  | 
 servers in one physical location or multiple sites within  | 
 the State of Illinois.  | 
  "Qualified tangible personal property" means:  | 
 electrical systems and equipment; climate control and  | 
 | 
 chilling equipment and systems; mechanical systems and  | 
 equipment; monitoring and secure systems; emergency  | 
 generators; hardware; computers; servers; data storage  | 
 devices; network connectivity equipment; racks; cabinets;  | 
 telecommunications cabling infrastructure; raised floor  | 
 systems; peripheral components or systems; software;  | 
 mechanical, electrical, or plumbing systems; battery  | 
 systems; cooling systems and towers; temperature control  | 
 systems; other cabling; and other data center  | 
 infrastructure equipment and systems necessary to operate  | 
 qualified tangible personal property, including fixtures;  | 
 and component parts of any of the foregoing, including  | 
 installation, maintenance, repair, refurbishment, and  | 
 replacement of qualified tangible personal property to  | 
 generate, transform, transmit, distribute, or manage  | 
 electricity necessary to operate qualified tangible  | 
 personal property; and all other tangible personal  | 
 property that is essential to the operations of a computer  | 
 data center. The term "qualified tangible personal  | 
 property" also includes building materials physically  | 
 incorporated into in to the qualifying data center. To  | 
 document the exemption allowed under this Section, the  | 
 retailer must obtain from the purchaser a copy of the  | 
 certificate of eligibility issued by the Department of  | 
 Commerce and Economic Opportunity.  | 
 This item (32) is exempt from the provisions of Section  | 
 | 
3-55.  | 
 (33) Beginning July 1, 2022, breast pumps, breast pump  | 
collection and storage supplies, and breast pump kits. This  | 
item (33) is exempt from the provisions of Section 3-55. As  | 
used in this item (33):  | 
  "Breast pump" means an electrically controlled or  | 
 manually controlled pump device designed or marketed to be  | 
 used to express milk from a human breast during lactation,  | 
 including the pump device and any battery, AC adapter, or  | 
 other power supply unit that is used to power the pump  | 
 device and is packaged and sold with the pump device at the  | 
 time of sale.  | 
  "Breast pump collection and storage supplies" means  | 
 items of tangible personal property designed or marketed  | 
 to be used in conjunction with a breast pump to collect  | 
 milk expressed from a human breast and to store collected  | 
 milk until it is ready for consumption.  | 
  "Breast pump collection and storage supplies"  | 
 includes, but is not limited to: breast shields and breast  | 
 shield connectors; breast pump tubes and tubing adapters;  | 
 breast pump valves and membranes; backflow protectors and  | 
 backflow protector adaptors; bottles and bottle caps  | 
 specific to the operation of the breast pump; and breast  | 
 milk storage bags.  | 
  "Breast pump collection and storage supplies" does not  | 
 include: (1) bottles and bottle caps not specific to the  | 
 | 
 operation of the breast pump; (2) breast pump travel bags  | 
 and other similar carrying accessories, including ice  | 
 packs, labels, and other similar products; (3) breast pump  | 
 cleaning supplies; (4) nursing bras, bra pads, breast  | 
 shells, and other similar products; and (5) creams,  | 
 ointments, and other similar products that relieve  | 
 breastfeeding-related symptoms or conditions of the  | 
 breasts or nipples, unless sold as part of a breast pump  | 
 kit that is pre-packaged by the breast pump manufacturer  | 
 or distributor.  | 
  "Breast pump kit" means a kit that: (1) contains no  | 
 more than a breast pump, breast pump collection and  | 
 storage supplies, a rechargeable battery for operating the  | 
 breast pump, a breastmilk cooler, bottle stands, ice  | 
 packs, and a breast pump carrying case; and (2) is  | 
 pre-packaged as a breast pump kit by the breast pump  | 
 manufacturer or distributor.  | 
 (34) Tangible personal property sold by or on behalf of  | 
the State Treasurer pursuant to the Revised Uniform Unclaimed  | 
Property Act. This item (34) is exempt from the provisions of  | 
Section 3-55. | 
 (35) Beginning on January 1, 2024, tangible personal  | 
property purchased by an active duty member of the armed  | 
forces of the United States who presents valid military  | 
identification and purchases the property using a form of  | 
payment where the federal government is the payor. The member  | 
 | 
of the armed forces must complete, at the point of sale, a form  | 
prescribed by the Department of Revenue documenting that the  | 
transaction is eligible for the exemption under this  | 
paragraph. Retailers must keep the form as documentation of  | 
the exemption in their records for a period of not less than 6  | 
years. "Armed forces of the United States" means the United  | 
States Army, Navy, Air Force, Marine Corps, or Coast Guard.  | 
This paragraph is exempt from the provisions of Section 3-55.  | 
(Source: P.A. 102-16, eff. 6-17-21; 102-700, Article 70,  | 
Section 70-15, eff. 4-19-22; 102-700, Article 75, Section  | 
75-15, eff. 4-19-22; 102-1026, eff. 5-27-22; 103-9, Article 5,  | 
Section 5-15, eff. 6-7-23; 103-9, Article 15, Section 15-15,  | 
eff. 6-7-23; 103-154, eff. 6-30-23; 103-384, eff. 1-1-24;  | 
revised 12-12-23.)
 | 
 (35 ILCS 115/9) (from Ch. 120, par. 439.109) | 
 Sec. 9. Each serviceman required or authorized to collect  | 
the tax herein imposed shall pay to the Department the amount  | 
of such tax at the time when he is required to file his return  | 
for the period during which such tax was collectible, less a  | 
discount of 2.1% prior to January 1, 1990, and 1.75% on and  | 
after January 1, 1990, or $5 per calendar year, whichever is  | 
greater, which is allowed to reimburse the serviceman for  | 
expenses incurred in collecting the tax, keeping records,  | 
preparing and filing returns, remitting the tax, and supplying  | 
data to the Department on request. When determining the  | 
 | 
discount allowed under this Section, servicemen shall include  | 
the amount of tax that would have been due at the 1% rate but  | 
for the 0% rate imposed under Public Act 102-700 this  | 
amendatory Act of the 102nd General Assembly. The discount  | 
under this Section is not allowed for the 1.25% portion of  | 
taxes paid on aviation fuel that is subject to the revenue use  | 
requirements of 49 U.S.C. 47107(b) and 49 U.S.C. 47133. The  | 
discount allowed under this Section is allowed only for  | 
returns that are filed in the manner required by this Act. The  | 
Department may disallow the discount for servicemen whose  | 
certificate of registration is revoked at the time the return  | 
is filed, but only if the Department's decision to revoke the  | 
certificate of registration has become final. | 
 Where such tangible personal property is sold under a  | 
conditional sales contract, or under any other form of sale  | 
wherein the payment of the principal sum, or a part thereof, is  | 
extended beyond the close of the period for which the return is  | 
filed, the serviceman, in collecting the tax may collect, for  | 
each tax return period, only the tax applicable to the part of  | 
the selling price actually received during such tax return  | 
period. | 
 Except as provided hereinafter in this Section, on or  | 
before the twentieth day of each calendar month, such  | 
serviceman shall file a return for the preceding calendar  | 
month in accordance with reasonable rules and regulations to  | 
be promulgated by the Department of Revenue. Such return shall  | 
 | 
be filed on a form prescribed by the Department and shall  | 
contain such information as the Department may reasonably  | 
require. The return shall include the gross receipts which  | 
were received during the preceding calendar month or quarter  | 
on the following items upon which tax would have been due but  | 
for the 0% rate imposed under Public Act 102-700 this  | 
amendatory Act of the 102nd General Assembly: (i) food for  | 
human consumption that is to be consumed off the premises  | 
where it is sold (other than alcoholic beverages, food  | 
consisting of or infused with adult use cannabis, soft drinks,  | 
and food that has been prepared for immediate consumption);  | 
and (ii) food prepared for immediate consumption and  | 
transferred incident to a sale of service subject to this Act  | 
or the Service Use Tax Act by an entity licensed under the  | 
Hospital Licensing Act, the Nursing Home Care Act, the  | 
Assisted Living and Shared Housing Act, the ID/DD Community  | 
Care Act, the MC/DD Act, the Specialized Mental Health  | 
Rehabilitation Act of 2013, or the Child Care Act of 1969, or  | 
an entity that holds a permit issued pursuant to the Life Care  | 
Facilities Act. The return shall also include the amount of  | 
tax that would have been due on the items listed in the  | 
previous sentence but for the 0% rate imposed under Public Act  | 
102-700 this amendatory Act of the 102nd General Assembly. | 
 On and after January 1, 2018, with respect to servicemen  | 
whose annual gross receipts average $20,000 or more, all  | 
returns required to be filed pursuant to this Act shall be  | 
 | 
filed electronically. Servicemen who demonstrate that they do  | 
not have access to the Internet or demonstrate hardship in  | 
filing electronically may petition the Department to waive the  | 
electronic filing requirement.  | 
 The Department may require returns to be filed on a  | 
quarterly basis. If so required, a return for each calendar  | 
quarter shall be filed on or before the twentieth day of the  | 
calendar month following the end of such calendar quarter. The  | 
taxpayer shall also file a return with the Department for each  | 
of the first two months of each calendar quarter, on or before  | 
the twentieth day of the following calendar month, stating: | 
  1. The name of the seller; | 
  2. The address of the principal place of business from  | 
 which he engages in business as a serviceman in this  | 
 State; | 
  3. The total amount of taxable receipts received by  | 
 him during the preceding calendar month, including  | 
 receipts from charge and time sales, but less all  | 
 deductions allowed by law; | 
  4. The amount of credit provided in Section 2d of this  | 
 Act; | 
  5. The amount of tax due; | 
  5-5. The signature of the taxpayer; and | 
  6. Such other reasonable information as the Department  | 
 may require. | 
 Each serviceman required or authorized to collect the tax  | 
 | 
herein imposed on aviation fuel acquired as an incident to the  | 
purchase of a service in this State during the preceding  | 
calendar month shall, instead of reporting and paying tax as  | 
otherwise required by this Section, report and pay such tax on  | 
a separate aviation fuel tax return. The requirements related  | 
to the return shall be as otherwise provided in this Section.  | 
Notwithstanding any other provisions of this Act to the  | 
contrary, servicemen transferring aviation fuel incident to  | 
sales of service shall file all aviation fuel tax returns and  | 
shall make all aviation fuel tax payments by electronic means  | 
in the manner and form required by the Department. For  | 
purposes of this Section, "aviation fuel" means jet fuel and  | 
aviation gasoline.  | 
 If a taxpayer fails to sign a return within 30 days after  | 
the proper notice and demand for signature by the Department,  | 
the return shall be considered valid and any amount shown to be  | 
due on the return shall be deemed assessed. | 
 Notwithstanding any other provision of this Act to the  | 
contrary, servicemen subject to tax on cannabis shall file all  | 
cannabis tax returns and shall make all cannabis tax payments  | 
by electronic means in the manner and form required by the  | 
Department. | 
 Prior to October 1, 2003, and on and after September 1,  | 
2004 a serviceman may accept a Manufacturer's Purchase Credit  | 
certification from a purchaser in satisfaction of Service Use  | 
Tax as provided in Section 3-70 of the Service Use Tax Act if  | 
 | 
the purchaser provides the appropriate documentation as  | 
required by Section 3-70 of the Service Use Tax Act. A  | 
Manufacturer's Purchase Credit certification, accepted prior  | 
to October 1, 2003 or on or after September 1, 2004 by a  | 
serviceman as provided in Section 3-70 of the Service Use Tax  | 
Act, may be used by that serviceman to satisfy Service  | 
Occupation Tax liability in the amount claimed in the  | 
certification, not to exceed 6.25% of the receipts subject to  | 
tax from a qualifying purchase. A Manufacturer's Purchase  | 
Credit reported on any original or amended return filed under  | 
this Act after October 20, 2003 for reporting periods prior to  | 
September 1, 2004 shall be disallowed. Manufacturer's Purchase  | 
Credit reported on annual returns due on or after January 1,  | 
2005 will be disallowed for periods prior to September 1,  | 
2004. No Manufacturer's Purchase Credit may be used after  | 
September 30, 2003 through August 31, 2004 to satisfy any tax  | 
liability imposed under this Act, including any audit  | 
liability. | 
 Beginning on July 1, 2023 and through December 31, 2032, a  | 
serviceman may accept a Sustainable Aviation Fuel Purchase  | 
Credit certification from an air common carrier-purchaser in  | 
satisfaction of Service Use Tax as provided in Section 3-72 of  | 
the Service Use Tax Act if the purchaser provides the  | 
appropriate documentation as required by Section 3-72 of the  | 
Service Use Tax Act. A Sustainable Aviation Fuel Purchase  | 
Credit certification accepted by a serviceman in accordance  | 
 | 
with this paragraph may be used by that serviceman to satisfy  | 
service occupation tax liability (but not in satisfaction of  | 
penalty or interest) in the amount claimed in the  | 
certification, not to exceed 6.25% of the receipts subject to  | 
tax from a sale of aviation fuel. In addition, for a sale of  | 
aviation fuel to qualify to earn the Sustainable Aviation Fuel  | 
Purchase Credit, servicemen must retain in their books and  | 
records a certification from the producer of the aviation fuel  | 
that the aviation fuel sold by the serviceman and for which a  | 
sustainable aviation fuel purchase credit was earned meets the  | 
definition of sustainable aviation fuel under Section 3-72 of  | 
the Service Use Tax Act. The documentation must include detail  | 
sufficient for the Department to determine the number of  | 
gallons of sustainable aviation fuel sold.  | 
 If the serviceman's average monthly tax liability to the  | 
Department does not exceed $200, the Department may authorize  | 
his returns to be filed on a quarter annual basis, with the  | 
return for January, February, and March of a given year being  | 
due by April 20 of such year; with the return for April, May,  | 
and June of a given year being due by July 20 of such year;  | 
with the return for July, August, and September of a given year  | 
being due by October 20 of such year, and with the return for  | 
October, November, and December of a given year being due by  | 
January 20 of the following year. | 
 If the serviceman's average monthly tax liability to the  | 
Department does not exceed $50, the Department may authorize  | 
 | 
his returns to be filed on an annual basis, with the return for  | 
a given year being due by January 20 of the following year. | 
 Such quarter annual and annual returns, as to form and  | 
substance, shall be subject to the same requirements as  | 
monthly returns. | 
 Notwithstanding any other provision in this Act concerning  | 
the time within which a serviceman may file his return, in the  | 
case of any serviceman who ceases to engage in a kind of  | 
business which makes him responsible for filing returns under  | 
this Act, such serviceman shall file a final return under this  | 
Act with the Department not more than one 1 month after  | 
discontinuing such business. | 
 Beginning October 1, 1993, a taxpayer who has an average  | 
monthly tax liability of $150,000 or more shall make all  | 
payments required by rules of the Department by electronic  | 
funds transfer. Beginning October 1, 1994, a taxpayer who has  | 
an average monthly tax liability of $100,000 or more shall  | 
make all payments required by rules of the Department by  | 
electronic funds transfer. Beginning October 1, 1995, a  | 
taxpayer who has an average monthly tax liability of $50,000  | 
or more shall make all payments required by rules of the  | 
Department by electronic funds transfer. Beginning October 1,  | 
2000, a taxpayer who has an annual tax liability of $200,000 or  | 
more shall make all payments required by rules of the  | 
Department by electronic funds transfer. The term "annual tax  | 
liability" shall be the sum of the taxpayer's liabilities  | 
 | 
under this Act, and under all other State and local occupation  | 
and use tax laws administered by the Department, for the  | 
immediately preceding calendar year. The term "average monthly  | 
tax liability" means the sum of the taxpayer's liabilities  | 
under this Act, and under all other State and local occupation  | 
and use tax laws administered by the Department, for the  | 
immediately preceding calendar year divided by 12. Beginning  | 
on October 1, 2002, a taxpayer who has a tax liability in the  | 
amount set forth in subsection (b) of Section 2505-210 of the  | 
Department of Revenue Law shall make all payments required by  | 
rules of the Department by electronic funds transfer. | 
 Before August 1 of each year beginning in 1993, the  | 
Department shall notify all taxpayers required to make  | 
payments by electronic funds transfer. All taxpayers required  | 
to make payments by electronic funds transfer shall make those  | 
payments for a minimum of one year beginning on October 1. | 
 Any taxpayer not required to make payments by electronic  | 
funds transfer may make payments by electronic funds transfer  | 
with the permission of the Department. | 
 All taxpayers required to make payment by electronic funds  | 
transfer and any taxpayers authorized to voluntarily make  | 
payments by electronic funds transfer shall make those  | 
payments in the manner authorized by the Department. | 
 The Department shall adopt such rules as are necessary to  | 
effectuate a program of electronic funds transfer and the  | 
requirements of this Section. | 
 | 
 Where a serviceman collects the tax with respect to the  | 
selling price of tangible personal property which he sells and  | 
the purchaser thereafter returns such tangible personal  | 
property and the serviceman refunds the selling price thereof  | 
to the purchaser, such serviceman shall also refund, to the  | 
purchaser, the tax so collected from the purchaser. When  | 
filing his return for the period in which he refunds such tax  | 
to the purchaser, the serviceman may deduct the amount of the  | 
tax so refunded by him to the purchaser from any other Service  | 
Occupation Tax, Service Use Tax, Retailers' Occupation Tax, or  | 
Use Tax which such serviceman may be required to pay or remit  | 
to the Department, as shown by such return, provided that the  | 
amount of the tax to be deducted shall previously have been  | 
remitted to the Department by such serviceman. If the  | 
serviceman shall not previously have remitted the amount of  | 
such tax to the Department, he shall be entitled to no  | 
deduction hereunder upon refunding such tax to the purchaser. | 
 If experience indicates such action to be practicable, the  | 
Department may prescribe and furnish a combination or joint  | 
return which will enable servicemen, who are required to file  | 
returns hereunder and also under the Retailers' Occupation Tax  | 
Act, the Use Tax Act, or the Service Use Tax Act, to furnish  | 
all the return information required by all said Acts on the one  | 
form. | 
 Where the serviceman has more than one business registered  | 
with the Department under separate registrations hereunder,  | 
 | 
such serviceman shall file separate returns for each  | 
registered business. | 
 Beginning January 1, 1990, each month the Department shall  | 
pay into the Local Government Tax Fund the revenue realized  | 
for the preceding month from the 1% tax imposed under this Act. | 
 Beginning January 1, 1990, each month the Department shall  | 
pay into the County and Mass Transit District Fund 4% of the  | 
revenue realized for the preceding month from the 6.25%  | 
general rate on sales of tangible personal property other than  | 
aviation fuel sold on or after December 1, 2019. This  | 
exception for aviation fuel only applies for so long as the  | 
revenue use requirements of 49 U.S.C. 47107(b) and 49 U.S.C.  | 
47133 are binding on the State. | 
 Beginning August 1, 2000, each month the Department shall  | 
pay into the County and Mass Transit District Fund 20% of the  | 
net revenue realized for the preceding month from the 1.25%  | 
rate on the selling price of motor fuel and gasohol. | 
 Beginning January 1, 1990, each month the Department shall  | 
pay into the Local Government Tax Fund 16% of the revenue  | 
realized for the preceding month from the 6.25% general rate  | 
on transfers of tangible personal property other than aviation  | 
fuel sold on or after December 1, 2019. This exception for  | 
aviation fuel only applies for so long as the revenue use  | 
requirements of 49 U.S.C. 47107(b) and 49 U.S.C. 47133 are  | 
binding on the State. | 
 For aviation fuel sold on or after December 1, 2019, each  | 
 | 
month the Department shall pay into the State Aviation Program  | 
Fund 20% of the net revenue realized for the preceding month  | 
from the 6.25% general rate on the selling price of aviation  | 
fuel, less an amount estimated by the Department to be  | 
required for refunds of the 20% portion of the tax on aviation  | 
fuel under this Act, which amount shall be deposited into the  | 
Aviation Fuel Sales Tax Refund Fund. The Department shall only  | 
pay moneys into the State Aviation Program Fund and the  | 
Aviation Fuel Sales Tax Refund Fund under this Act for so long  | 
as the revenue use requirements of 49 U.S.C. 47107(b) and 49  | 
U.S.C. 47133 are binding on the State.  | 
 Beginning August 1, 2000, each month the Department shall  | 
pay into the Local Government Tax Fund 80% of the net revenue  | 
realized for the preceding month from the 1.25% rate on the  | 
selling price of motor fuel and gasohol. | 
 Beginning October 1, 2009, each month the Department shall  | 
pay into the Capital Projects Fund an amount that is equal to  | 
an amount estimated by the Department to represent 80% of the  | 
net revenue realized for the preceding month from the sale of  | 
candy, grooming and hygiene products, and soft drinks that had  | 
been taxed at a rate of 1% prior to September 1, 2009 but that  | 
are now taxed at 6.25%.  | 
 Beginning July 1, 2013, each month the Department shall  | 
pay into the Underground Storage Tank Fund from the proceeds  | 
collected under this Act, the Use Tax Act, the Service Use Tax  | 
Act, and the Retailers' Occupation Tax Act an amount equal to  | 
 | 
the average monthly deficit in the Underground Storage Tank  | 
Fund during the prior year, as certified annually by the  | 
Illinois Environmental Protection Agency, but the total  | 
payment into the Underground Storage Tank Fund under this Act,  | 
the Use Tax Act, the Service Use Tax Act, and the Retailers'  | 
Occupation Tax Act shall not exceed $18,000,000 in any State  | 
fiscal year. As used in this paragraph, the "average monthly  | 
deficit" shall be equal to the difference between the average  | 
monthly claims for payment by the fund and the average monthly  | 
revenues deposited into the fund, excluding payments made  | 
pursuant to this paragraph.  | 
 Beginning July 1, 2015, of the remainder of the moneys  | 
received by the Department under the Use Tax Act, the Service  | 
Use Tax Act, this Act, and the Retailers' Occupation Tax Act,  | 
each month the Department shall deposit $500,000 into the  | 
State Crime Laboratory Fund.  | 
 Of the remainder of the moneys received by the Department  | 
pursuant to this Act, (a) 1.75% thereof shall be paid into the  | 
Build Illinois Fund and (b) prior to July 1, 1989, 2.2% and on  | 
and after July 1, 1989, 3.8% thereof shall be paid into the  | 
Build Illinois Fund; provided, however, that if in any fiscal  | 
year the sum of (1) the aggregate of 2.2% or 3.8%, as the case  | 
may be, of the moneys received by the Department and required  | 
to be paid into the Build Illinois Fund pursuant to Section 3  | 
of the Retailers' Occupation Tax Act, Section 9 of the Use Tax  | 
Act, Section 9 of the Service Use Tax Act, and Section 9 of the  | 
 | 
Service Occupation Tax Act, such Acts being hereinafter called  | 
the "Tax Acts" and such aggregate of 2.2% or 3.8%, as the case  | 
may be, of moneys being hereinafter called the "Tax Act  | 
Amount", and (2) the amount transferred to the Build Illinois  | 
Fund from the State and Local Sales Tax Reform Fund shall be  | 
less than the Annual Specified Amount (as defined in Section 3  | 
of the Retailers' Occupation Tax Act), an amount equal to the  | 
difference shall be immediately paid into the Build Illinois  | 
Fund from other moneys received by the Department pursuant to  | 
the Tax Acts; and further provided, that if on the last  | 
business day of any month the sum of (1) the Tax Act Amount  | 
required to be deposited into the Build Illinois Account in  | 
the Build Illinois Fund during such month and (2) the amount  | 
transferred during such month to the Build Illinois Fund from  | 
the State and Local Sales Tax Reform Fund shall have been less  | 
than 1/12 of the Annual Specified Amount, an amount equal to  | 
the difference shall be immediately paid into the Build  | 
Illinois Fund from other moneys received by the Department  | 
pursuant to the Tax Acts; and, further provided, that in no  | 
event shall the payments required under the preceding proviso  | 
result in aggregate payments into the Build Illinois Fund  | 
pursuant to this clause (b) for any fiscal year in excess of  | 
the greater of (i) the Tax Act Amount or (ii) the Annual  | 
Specified Amount for such fiscal year; and, further provided,  | 
that the amounts payable into the Build Illinois Fund under  | 
this clause (b) shall be payable only until such time as the  | 
 | 
aggregate amount on deposit under each trust indenture  | 
securing Bonds issued and outstanding pursuant to the Build  | 
Illinois Bond Act is sufficient, taking into account any  | 
future investment income, to fully provide, in accordance with  | 
such indenture, for the defeasance of or the payment of the  | 
principal of, premium, if any, and interest on the Bonds  | 
secured by such indenture and on any Bonds expected to be  | 
issued thereafter and all fees and costs payable with respect  | 
thereto, all as certified by the Director of the Bureau of the  | 
Budget (now Governor's Office of Management and Budget). If on  | 
the last business day of any month in which Bonds are  | 
outstanding pursuant to the Build Illinois Bond Act, the  | 
aggregate of the moneys deposited in the Build Illinois Bond  | 
Account in the Build Illinois Fund in such month shall be less  | 
than the amount required to be transferred in such month from  | 
the Build Illinois Bond Account to the Build Illinois Bond  | 
Retirement and Interest Fund pursuant to Section 13 of the  | 
Build Illinois Bond Act, an amount equal to such deficiency  | 
shall be immediately paid from other moneys received by the  | 
Department pursuant to the Tax Acts to the Build Illinois  | 
Fund; provided, however, that any amounts paid to the Build  | 
Illinois Fund in any fiscal year pursuant to this sentence  | 
shall be deemed to constitute payments pursuant to clause (b)  | 
of the preceding sentence and shall reduce the amount  | 
otherwise payable for such fiscal year pursuant to clause (b)  | 
of the preceding sentence. The moneys received by the  | 
 | 
Department pursuant to this Act and required to be deposited  | 
into the Build Illinois Fund are subject to the pledge, claim  | 
and charge set forth in Section 12 of the Build Illinois Bond  | 
Act. | 
 Subject to payment of amounts into the Build Illinois Fund  | 
as provided in the preceding paragraph or in any amendment  | 
thereto hereafter enacted, the following specified monthly  | 
installment of the amount requested in the certificate of the  | 
Chairman of the Metropolitan Pier and Exposition Authority  | 
provided under Section 8.25f of the State Finance Act, but not  | 
in excess of the sums designated as "Total Deposit", shall be  | 
deposited in the aggregate from collections under Section 9 of  | 
the Use Tax Act, Section 9 of the Service Use Tax Act, Section  | 
9 of the Service Occupation Tax Act, and Section 3 of the  | 
Retailers' Occupation Tax Act into the McCormick Place  | 
Expansion Project Fund in the specified fiscal years.
 | 
|
 Fiscal Year |  | Total Deposit |  |
 1993 |  |          $0 |  |
 1994 |  |  53,000,000 |  |
 1995 |  |  58,000,000 |  |
 1996 |  |  61,000,000 |  |
 1997 |  |  64,000,000 |  |
 1998 |  |  68,000,000 |  |
 1999 |  |  71,000,000 |  |
 2000 |  |  75,000,000 |  |
 
  | 
 | 
2001 |  |  80,000,000 |  |
 2002 |  |  93,000,000 |  |
 2003 |  |  99,000,000 |  |
 2004 |  | 103,000,000 |  |
 2005 |  | 108,000,000 |  |
 2006 |  | 113,000,000 |  |
 2007 |  | 119,000,000 |  |
 2008 |  | 126,000,000 |  |
 2009 |  | 132,000,000 |  |
 2010 |  | 139,000,000 |  |
 2011 |  | 146,000,000 |  |
 2012 |  | 153,000,000 |  |
 2013 |  | 161,000,000 |  |
 2014 |  | 170,000,000 |  |
 2015 |  | 179,000,000 |  |
 2016 |  | 189,000,000 |  |
 2017 |  | 199,000,000 |  |
 2018 |  | 210,000,000 |  |
 2019 |  | 221,000,000 |  |
 2020 |  | 233,000,000 |  |
 2021 |  | 300,000,000  |  |
 2022 |  | 300,000,000 |  |
 2023 |  | 300,000,000 |  |
 2024  |  | 300,000,000 |  |
 2025  |  | 300,000,000 |  |
 2026  |  | 300,000,000 |  |
 
  | 
 | 
2027  |  | 375,000,000 |  |
 2028  |  | 375,000,000 |  |
 2029  |  | 375,000,000 |  |
 2030  |  | 375,000,000 |  |
 2031  |  | 375,000,000 |  |
 2032  |  | 375,000,000 |  |
 2033  |  | 375,000,000 |  |
 2034 |  | 375,000,000 |  |
 2035 |  | 375,000,000 |  |
 2036 |  | 450,000,000 |  |
 and  |  |  |   |
 each fiscal year |  |  |   |
 thereafter that bonds |  |  |   |
 are outstanding under |  |  |   |
 Section 13.2 of the |  |  |   |
 Metropolitan Pier and |  |  |   |
 Exposition Authority Act, |  |  |   |
 but not after fiscal year 2060. |  |  |  
  | 
 Beginning July 20, 1993 and in each month of each fiscal  | 
year thereafter, one-eighth of the amount requested in the  | 
certificate of the Chairman of the Metropolitan Pier and  | 
Exposition Authority for that fiscal year, less the amount  | 
deposited into the McCormick Place Expansion Project Fund by  | 
the State Treasurer in the respective month under subsection  | 
(g) of Section 13 of the Metropolitan Pier and Exposition  | 
Authority Act, plus cumulative deficiencies in the deposits  | 
 | 
required under this Section for previous months and years,  | 
shall be deposited into the McCormick Place Expansion Project  | 
Fund, until the full amount requested for the fiscal year, but  | 
not in excess of the amount specified above as "Total  | 
Deposit", has been deposited. | 
 Subject to payment of amounts into the Capital Projects  | 
Fund, the Build Illinois Fund, and the McCormick Place  | 
Expansion Project Fund pursuant to the preceding paragraphs or  | 
in any amendments thereto hereafter enacted, for aviation fuel  | 
sold on or after December 1, 2019, the Department shall each  | 
month deposit into the Aviation Fuel Sales Tax Refund Fund an  | 
amount estimated by the Department to be required for refunds  | 
of the 80% portion of the tax on aviation fuel under this Act.  | 
The Department shall only deposit moneys into the Aviation  | 
Fuel Sales Tax Refund Fund under this paragraph for so long as  | 
the revenue use requirements of 49 U.S.C. 47107(b) and 49  | 
U.S.C. 47133 are binding on the State.  | 
 Subject to payment of amounts into the Build Illinois Fund  | 
and the McCormick Place Expansion Project Fund pursuant to the  | 
preceding paragraphs or in any amendments thereto hereafter  | 
enacted, beginning July 1, 1993 and ending on September 30,  | 
2013, the Department shall each month pay into the Illinois  | 
Tax Increment Fund 0.27% of 80% of the net revenue realized for  | 
the preceding month from the 6.25% general rate on the selling  | 
price of tangible personal property. | 
 Subject to payment of amounts into the Build Illinois  | 
 | 
Fund, the McCormick Place Expansion Project Fund, and the  | 
Illinois Tax Increment Fund pursuant to the preceding  | 
paragraphs or in any amendments to this Section hereafter  | 
enacted, beginning on the first day of the first calendar  | 
month to occur on or after August 26, 2014 (the effective date  | 
of Public Act 98-1098), each month, from the collections made  | 
under Section 9 of the Use Tax Act, Section 9 of the Service  | 
Use Tax Act, Section 9 of the Service Occupation Tax Act, and  | 
Section 3 of the Retailers' Occupation Tax Act, the Department  | 
shall pay into the Tax Compliance and Administration Fund, to  | 
be used, subject to appropriation, to fund additional auditors  | 
and compliance personnel at the Department of Revenue, an  | 
amount equal to 1/12 of 5% of 80% of the cash receipts  | 
collected during the preceding fiscal year by the Audit Bureau  | 
of the Department under the Use Tax Act, the Service Use Tax  | 
Act, the Service Occupation Tax Act, the Retailers' Occupation  | 
Tax Act, and associated local occupation and use taxes  | 
administered by the Department.  | 
 Subject to payments of amounts into the Build Illinois  | 
Fund, the McCormick Place Expansion Project Fund, the Illinois  | 
Tax Increment Fund, and the Tax Compliance and Administration  | 
Fund as provided in this Section, beginning on July 1, 2018 the  | 
Department shall pay each month into the Downstate Public  | 
Transportation Fund the moneys required to be so paid under  | 
Section 2-3 of the Downstate Public Transportation Act.  | 
 Subject to successful execution and delivery of a  | 
 | 
public-private agreement between the public agency and private  | 
entity and completion of the civic build, beginning on July 1,  | 
2023, of the remainder of the moneys received by the  | 
Department under the Use Tax Act, the Service Use Tax Act, the  | 
Service Occupation Tax Act, and this Act, the Department shall  | 
deposit the following specified deposits in the aggregate from  | 
collections under the Use Tax Act, the Service Use Tax Act, the  | 
Service Occupation Tax Act, and the Retailers' Occupation Tax  | 
Act, as required under Section 8.25g of the State Finance Act  | 
for distribution consistent with the Public-Private  | 
Partnership for Civic and Transit Infrastructure Project Act.  | 
The moneys received by the Department pursuant to this Act and  | 
required to be deposited into the Civic and Transit  | 
Infrastructure Fund are subject to the pledge, claim and  | 
charge set forth in Section 25-55 of the Public-Private  | 
Partnership for Civic and Transit Infrastructure Project Act.  | 
As used in this paragraph, "civic build", "private entity",  | 
"public-private agreement", and "public agency" have the  | 
meanings provided in Section 25-10 of the Public-Private  | 
Partnership for Civic and Transit Infrastructure Project Act. | 
  Fiscal Year............................Total Deposit  | 
  2024....................................$200,000,000  | 
  2025....................................$206,000,000  | 
  2026....................................$212,200,000  | 
  2027....................................$218,500,000  | 
  2028....................................$225,100,000  | 
 | 
  2029....................................$288,700,000  | 
  2030....................................$298,900,000  | 
  2031....................................$309,300,000  | 
  2032....................................$320,100,000  | 
  2033....................................$331,200,000  | 
  2034....................................$341,200,000  | 
  2035....................................$351,400,000  | 
  2036....................................$361,900,000  | 
  2037....................................$372,800,000  | 
  2038....................................$384,000,000  | 
  2039....................................$395,500,000  | 
  2040....................................$407,400,000  | 
  2041....................................$419,600,000  | 
  2042....................................$432,200,000  | 
  2043....................................$445,100,000  | 
 Beginning July 1, 2021 and until July 1, 2022, subject to  | 
the payment of amounts into the County and Mass Transit  | 
District Fund, the Local Government Tax Fund, the Build  | 
Illinois Fund, the McCormick Place Expansion Project Fund, the  | 
Illinois Tax Increment Fund, and the Tax Compliance and  | 
Administration Fund as provided in this Section, the  | 
Department shall pay each month into the Road Fund the amount  | 
estimated to represent 16% of the net revenue realized from  | 
the taxes imposed on motor fuel and gasohol. Beginning July 1,  | 
2022 and until July 1, 2023, subject to the payment of amounts  | 
into the County and Mass Transit District Fund, the Local  | 
 | 
Government Tax Fund, the Build Illinois Fund, the McCormick  | 
Place Expansion Project Fund, the Illinois Tax Increment Fund,  | 
and the Tax Compliance and Administration Fund as provided in  | 
this Section, the Department shall pay each month into the  | 
Road Fund the amount estimated to represent 32% of the net  | 
revenue realized from the taxes imposed on motor fuel and  | 
gasohol. Beginning July 1, 2023 and until July 1, 2024,  | 
subject to the payment of amounts into the County and Mass  | 
Transit District Fund, the Local Government Tax Fund, the  | 
Build Illinois Fund, the McCormick Place Expansion Project  | 
Fund, the Illinois Tax Increment Fund, and the Tax Compliance  | 
and Administration Fund as provided in this Section, the  | 
Department shall pay each month into the Road Fund the amount  | 
estimated to represent 48% of the net revenue realized from  | 
the taxes imposed on motor fuel and gasohol. Beginning July 1,  | 
2024 and until July 1, 2025, subject to the payment of amounts  | 
into the County and Mass Transit District Fund, the Local  | 
Government Tax Fund, the Build Illinois Fund, the McCormick  | 
Place Expansion Project Fund, the Illinois Tax Increment Fund,  | 
and the Tax Compliance and Administration Fund as provided in  | 
this Section, the Department shall pay each month into the  | 
Road Fund the amount estimated to represent 64% of the net  | 
revenue realized from the taxes imposed on motor fuel and  | 
gasohol. Beginning on July 1, 2025, subject to the payment of  | 
amounts into the County and Mass Transit District Fund, the  | 
Local Government Tax Fund, the Build Illinois Fund, the  | 
 | 
McCormick Place Expansion Project Fund, the Illinois Tax  | 
Increment Fund, and the Tax Compliance and Administration Fund  | 
as provided in this Section, the Department shall pay each  | 
month into the Road Fund the amount estimated to represent 80%  | 
of the net revenue realized from the taxes imposed on motor  | 
fuel and gasohol. As used in this paragraph "motor fuel" has  | 
the meaning given to that term in Section 1.1 of the Motor Fuel  | 
Tax Law, and "gasohol" has the meaning given to that term in  | 
Section 3-40 of the Use Tax Act. | 
 Of the remainder of the moneys received by the Department  | 
pursuant to this Act, 75% shall be paid into the General  | 
Revenue Fund of the State treasury Treasury and 25% shall be  | 
reserved in a special account and used only for the transfer to  | 
the Common School Fund as part of the monthly transfer from the  | 
General Revenue Fund in accordance with Section 8a of the  | 
State Finance Act. | 
 The Department may, upon separate written notice to a  | 
taxpayer, require the taxpayer to prepare and file with the  | 
Department on a form prescribed by the Department within not  | 
less than 60 days after receipt of the notice an annual  | 
information return for the tax year specified in the notice.  | 
Such annual return to the Department shall include a statement  | 
of gross receipts as shown by the taxpayer's last federal  | 
Federal income tax return. If the total receipts of the  | 
business as reported in the federal Federal income tax return  | 
do not agree with the gross receipts reported to the  | 
 | 
Department of Revenue for the same period, the taxpayer shall  | 
attach to his annual return a schedule showing a  | 
reconciliation of the 2 amounts and the reasons for the  | 
difference. The taxpayer's annual return to the Department  | 
shall also disclose the cost of goods sold by the taxpayer  | 
during the year covered by such return, opening and closing  | 
inventories of such goods for such year, cost of goods used  | 
from stock or taken from stock and given away by the taxpayer  | 
during such year, pay roll information of the taxpayer's  | 
business during such year and any additional reasonable  | 
information which the Department deems would be helpful in  | 
determining the accuracy of the monthly, quarterly or annual  | 
returns filed by such taxpayer as hereinbefore provided for in  | 
this Section. | 
 If the annual information return required by this Section  | 
is not filed when and as required, the taxpayer shall be liable  | 
as follows: | 
  (i) Until January 1, 1994, the taxpayer shall be  | 
 liable for a penalty equal to 1/6 of 1% of the tax due from  | 
 such taxpayer under this Act during the period to be  | 
 covered by the annual return for each month or fraction of  | 
 a month until such return is filed as required, the  | 
 penalty to be assessed and collected in the same manner as  | 
 any other penalty provided for in this Act. | 
  (ii) On and after January 1, 1994, the taxpayer shall  | 
 be liable for a penalty as described in Section 3-4 of the  | 
 | 
 Uniform Penalty and Interest Act. | 
 The chief executive officer, proprietor, owner, or highest  | 
ranking manager shall sign the annual return to certify the  | 
accuracy of the information contained therein. Any person who  | 
willfully signs the annual return containing false or  | 
inaccurate information shall be guilty of perjury and punished  | 
accordingly. The annual return form prescribed by the  | 
Department shall include a warning that the person signing the  | 
return may be liable for perjury. | 
 The foregoing portion of this Section concerning the  | 
filing of an annual information return shall not apply to a  | 
serviceman who is not required to file an income tax return  | 
with the United States Government. | 
 As soon as possible after the first day of each month, upon  | 
certification of the Department of Revenue, the Comptroller  | 
shall order transferred and the Treasurer shall transfer from  | 
the General Revenue Fund to the Motor Fuel Tax Fund an amount  | 
equal to 1.7% of 80% of the net revenue realized under this Act  | 
for the second preceding month. Beginning April 1, 2000, this  | 
transfer is no longer required and shall not be made. | 
 Net revenue realized for a month shall be the revenue  | 
collected by the State pursuant to this Act, less the amount  | 
paid out during that month as refunds to taxpayers for  | 
overpayment of liability. | 
 For greater simplicity of administration, it shall be  | 
permissible for manufacturers, importers and wholesalers whose  | 
 | 
products are sold by numerous servicemen in Illinois, and who  | 
wish to do so, to assume the responsibility for accounting and  | 
paying to the Department all tax accruing under this Act with  | 
respect to such sales, if the servicemen who are affected do  | 
not make written objection to the Department to this  | 
arrangement. | 
(Source: P.A. 102-700, eff. 4-19-22; 103-9, eff. 6-7-23;  | 
103-363, eff. 7-28-23; revised 9-25-23.)
 | 
 (35 ILCS 115/12) (from Ch. 120, par. 439.112) | 
 Sec. 12. All of the provisions of Sections 1d, 1e, 1f, 1i,  | 
1j, 1j.1, 1k, 1m, 1n, 1o, 2-6, 2-12, 2-54, 2a, 2b, 2c, 3  | 
(except as to the disposition by the Department of the tax  | 
collected under this Act), 4 (except that the time limitation  | 
provisions shall run from the date when the tax is due rather  | 
than from the date when gross receipts are received), 5  | 
(except that the time limitation provisions on the issuance of  | 
notices of tax liability shall run from the date when the tax  | 
is due rather than from the date when gross receipts are  | 
received), 5a, 5b, 5c, 5d, 5e, 5f, 5g, 5j, 5k, 5l, 5m, 5n, 6d,  | 
7, 8, 9, 10, 11, and 12 of the "Retailers' Occupation Tax Act"  | 
which are not inconsistent with this Act, and Section 3-7 of  | 
the Uniform Penalty and Interest Act shall apply, as far as  | 
practicable, to the subject matter of this Act to the same  | 
extent as if such provisions were included herein. | 
(Source: P.A. 102-700, eff. 4-19-22; 103-9, eff. 6-7-23;  | 
 | 
revised 9-26-23.)
 | 
 Section 205. The Retailers' Occupation Tax Act is amended  | 
by changing Sections 2-5 and 3 as follows:
 | 
 (35 ILCS 120/2-5) | 
 Sec. 2-5. Exemptions. Gross receipts from proceeds from  | 
the sale of the following tangible personal property are  | 
exempt from the tax imposed by this Act: | 
  (1) Farm chemicals. | 
  (2) Farm machinery and equipment, both new and used,  | 
 including that manufactured on special order, certified by  | 
 the purchaser to be used primarily for production  | 
 agriculture or State or federal agricultural programs,  | 
 including individual replacement parts for the machinery  | 
 and equipment, including machinery and equipment purchased  | 
 for lease, and including implements of husbandry defined  | 
 in Section 1-130 of the Illinois Vehicle Code, farm  | 
 machinery and agricultural chemical and fertilizer  | 
 spreaders, and nurse wagons required to be registered  | 
 under Section 3-809 of the Illinois Vehicle Code, but  | 
 excluding other motor vehicles required to be registered  | 
 under the Illinois Vehicle Code. Horticultural polyhouses  | 
 or hoop houses used for propagating, growing, or  | 
 overwintering plants shall be considered farm machinery  | 
 and equipment under this item (2). Agricultural chemical  | 
 | 
 tender tanks and dry boxes shall include units sold  | 
 separately from a motor vehicle required to be licensed  | 
 and units sold mounted on a motor vehicle required to be  | 
 licensed, if the selling price of the tender is separately  | 
 stated. | 
  Farm machinery and equipment shall include precision  | 
 farming equipment that is installed or purchased to be  | 
 installed on farm machinery and equipment including, but  | 
 not limited to, tractors, harvesters, sprayers, planters,  | 
 seeders, or spreaders. Precision farming equipment  | 
 includes, but is not limited to, soil testing sensors,  | 
 computers, monitors, software, global positioning and  | 
 mapping systems, and other such equipment. | 
  Farm machinery and equipment also includes computers,  | 
 sensors, software, and related equipment used primarily in  | 
 the computer-assisted operation of production agriculture  | 
 facilities, equipment, and activities such as, but not  | 
 limited to, the collection, monitoring, and correlation of  | 
 animal and crop data for the purpose of formulating animal  | 
 diets and agricultural chemicals.  | 
  Beginning on January 1, 2024, farm machinery and  | 
 equipment also includes electrical power generation  | 
 equipment used primarily for production agriculture.  | 
  This item (2) is exempt from the provisions of Section  | 
 2-70. | 
  (3) Until July 1, 2003, distillation machinery and  | 
 | 
 equipment, sold as a unit or kit, assembled or installed  | 
 by the retailer, certified by the user to be used only for  | 
 the production of ethyl alcohol that will be used for  | 
 consumption as motor fuel or as a component of motor fuel  | 
 for the personal use of the user, and not subject to sale  | 
 or resale. | 
  (4) Until July 1, 2003 and beginning again September  | 
 1, 2004 through August 30, 2014, graphic arts machinery  | 
 and equipment, including repair and replacement parts,  | 
 both new and used, and including that manufactured on  | 
 special order or purchased for lease, certified by the  | 
 purchaser to be used primarily for graphic arts  | 
 production. Equipment includes chemicals or chemicals  | 
 acting as catalysts but only if the chemicals or chemicals  | 
 acting as catalysts effect a direct and immediate change  | 
 upon a graphic arts product. Beginning on July 1, 2017,  | 
 graphic arts machinery and equipment is included in the  | 
 manufacturing and assembling machinery and equipment  | 
 exemption under paragraph (14). | 
  (5) A motor vehicle that is used for automobile  | 
 renting, as defined in the Automobile Renting Occupation  | 
 and Use Tax Act. This paragraph is exempt from the  | 
 provisions of Section 2-70. | 
  (6) Personal property sold by a teacher-sponsored  | 
 student organization affiliated with an elementary or  | 
 secondary school located in Illinois. | 
 | 
  (7) Until July 1, 2003, proceeds of that portion of  | 
 the selling price of a passenger car the sale of which is  | 
 subject to the Replacement Vehicle Tax. | 
  (8) Personal property sold to an Illinois county fair  | 
 association for use in conducting, operating, or promoting  | 
 the county fair. | 
  (9) Personal property sold to a not-for-profit arts or  | 
 cultural organization that establishes, by proof required  | 
 by the Department by rule, that it has received an  | 
 exemption under Section 501(c)(3) of the Internal Revenue  | 
 Code and that is organized and operated primarily for the  | 
 presentation or support of arts or cultural programming,  | 
 activities, or services. These organizations include, but  | 
 are not limited to, music and dramatic arts organizations  | 
 such as symphony orchestras and theatrical groups, arts  | 
 and cultural service organizations, local arts councils,  | 
 visual arts organizations, and media arts organizations.  | 
 On and after July 1, 2001 (the effective date of Public Act  | 
 92-35), however, an entity otherwise eligible for this  | 
 exemption shall not make tax-free purchases unless it has  | 
 an active identification number issued by the Department. | 
  (10) Personal property sold by a corporation, society,  | 
 association, foundation, institution, or organization,  | 
 other than a limited liability company, that is organized  | 
 and operated as a not-for-profit service enterprise for  | 
 the benefit of persons 65 years of age or older if the  | 
 | 
 personal property was not purchased by the enterprise for  | 
 the purpose of resale by the enterprise. | 
  (11) Except as otherwise provided in this Section,  | 
 personal property sold to a governmental body, to a  | 
 corporation, society, association, foundation, or  | 
 institution organized and operated exclusively for  | 
 charitable, religious, or educational purposes, or to a  | 
 not-for-profit corporation, society, association,  | 
 foundation, institution, or organization that has no  | 
 compensated officers or employees and that is organized  | 
 and operated primarily for the recreation of persons 55  | 
 years of age or older. A limited liability company may  | 
 qualify for the exemption under this paragraph only if the  | 
 limited liability company is organized and operated  | 
 exclusively for educational purposes. On and after July 1,  | 
 1987, however, no entity otherwise eligible for this  | 
 exemption shall make tax-free purchases unless it has an  | 
 active identification number issued by the Department. | 
  (12) (Blank). | 
  (12-5) On and after July 1, 2003 and through June 30,  | 
 2004, motor vehicles of the second division with a gross  | 
 vehicle weight in excess of 8,000 pounds that are subject  | 
 to the commercial distribution fee imposed under Section  | 
 3-815.1 of the Illinois Vehicle Code. Beginning on July 1,  | 
 2004 and through June 30, 2005, the use in this State of  | 
 motor vehicles of the second division: (i) with a gross  | 
 | 
 vehicle weight rating in excess of 8,000 pounds; (ii) that  | 
 are subject to the commercial distribution fee imposed  | 
 under Section 3-815.1 of the Illinois Vehicle Code; and  | 
 (iii) that are primarily used for commercial purposes.  | 
 Through June 30, 2005, this exemption applies to repair  | 
 and replacement parts added after the initial purchase of  | 
 such a motor vehicle if that motor vehicle is used in a  | 
 manner that would qualify for the rolling stock exemption  | 
 otherwise provided for in this Act. For purposes of this  | 
 paragraph, "used for commercial purposes" means the  | 
 transportation of persons or property in furtherance of  | 
 any commercial or industrial enterprise whether for-hire  | 
 or not.  | 
  (13) Proceeds from sales to owners, lessors, or  | 
 shippers of tangible personal property that is utilized by  | 
 interstate carriers for hire for use as rolling stock  | 
 moving in interstate commerce and equipment operated by a  | 
 telecommunications provider, licensed as a common carrier  | 
 by the Federal Communications Commission, which is  | 
 permanently installed in or affixed to aircraft moving in  | 
 interstate commerce. | 
  (14) Machinery and equipment that will be used by the  | 
 purchaser, or a lessee of the purchaser, primarily in the  | 
 process of manufacturing or assembling tangible personal  | 
 property for wholesale or retail sale or lease, whether  | 
 the sale or lease is made directly by the manufacturer or  | 
 | 
 by some other person, whether the materials used in the  | 
 process are owned by the manufacturer or some other  | 
 person, or whether the sale or lease is made apart from or  | 
 as an incident to the seller's engaging in the service  | 
 occupation of producing machines, tools, dies, jigs,  | 
 patterns, gauges, or other similar items of no commercial  | 
 value on special order for a particular purchaser. The  | 
 exemption provided by this paragraph (14) does not include  | 
 machinery and equipment used in (i) the generation of  | 
 electricity for wholesale or retail sale; (ii) the  | 
 generation or treatment of natural or artificial gas for  | 
 wholesale or retail sale that is delivered to customers  | 
 through pipes, pipelines, or mains; or (iii) the treatment  | 
 of water for wholesale or retail sale that is delivered to  | 
 customers through pipes, pipelines, or mains. The  | 
 provisions of Public Act 98-583 are declaratory of  | 
 existing law as to the meaning and scope of this  | 
 exemption. Beginning on July 1, 2017, the exemption  | 
 provided by this paragraph (14) includes, but is not  | 
 limited to, graphic arts machinery and equipment, as  | 
 defined in paragraph (4) of this Section. | 
  (15) Proceeds of mandatory service charges separately  | 
 stated on customers' bills for purchase and consumption of  | 
 food and beverages, to the extent that the proceeds of the  | 
 service charge are in fact turned over as tips or as a  | 
 substitute for tips to the employees who participate  | 
 | 
 directly in preparing, serving, hosting or cleaning up the  | 
 food or beverage function with respect to which the  | 
 service charge is imposed.  | 
  (16) Tangible personal property sold to a purchaser if  | 
 the purchaser is exempt from use tax by operation of  | 
 federal law. This paragraph is exempt from the provisions  | 
 of Section 2-70.  | 
  (17) Tangible personal property sold to a common  | 
 carrier by rail or motor that receives the physical  | 
 possession of the property in Illinois and that transports  | 
 the property, or shares with another common carrier in the  | 
 transportation of the property, out of Illinois on a  | 
 standard uniform bill of lading showing the seller of the  | 
 property as the shipper or consignor of the property to a  | 
 destination outside Illinois, for use outside Illinois. | 
  (18) Legal tender, currency, medallions, or gold or  | 
 silver coinage issued by the State of Illinois, the  | 
 government of the United States of America, or the  | 
 government of any foreign country, and bullion. | 
  (19) Until July 1, 2003, oil field exploration,  | 
 drilling, and production equipment, including (i) rigs and  | 
 parts of rigs, rotary rigs, cable tool rigs, and workover  | 
 rigs, (ii) pipe and tubular goods, including casing and  | 
 drill strings, (iii) pumps and pump-jack units, (iv)  | 
 storage tanks and flow lines, (v) any individual  | 
 replacement part for oil field exploration, drilling, and  | 
 | 
 production equipment, and (vi) machinery and equipment  | 
 purchased for lease; but excluding motor vehicles required  | 
 to be registered under the Illinois Vehicle Code. | 
  (20) Photoprocessing machinery and equipment,  | 
 including repair and replacement parts, both new and used,  | 
 including that manufactured on special order, certified by  | 
 the purchaser to be used primarily for photoprocessing,  | 
 and including photoprocessing machinery and equipment  | 
 purchased for lease. | 
  (21) Until July 1, 2028, coal and aggregate  | 
 exploration, mining, off-highway hauling, processing,  | 
 maintenance, and reclamation equipment, including  | 
 replacement parts and equipment, and including equipment  | 
 purchased for lease, but excluding motor vehicles required  | 
 to be registered under the Illinois Vehicle Code. The  | 
 changes made to this Section by Public Act 97-767 apply on  | 
 and after July 1, 2003, but no claim for credit or refund  | 
 is allowed on or after August 16, 2013 (the effective date  | 
 of Public Act 98-456) for such taxes paid during the  | 
 period beginning July 1, 2003 and ending on August 16,  | 
 2013 (the effective date of Public Act 98-456). | 
  (22) Until June 30, 2013, fuel and petroleum products  | 
 sold to or used by an air carrier, certified by the carrier  | 
 to be used for consumption, shipment, or storage in the  | 
 conduct of its business as an air common carrier, for a  | 
 flight destined for or returning from a location or  | 
 | 
 locations outside the United States without regard to  | 
 previous or subsequent domestic stopovers. | 
  Beginning July 1, 2013, fuel and petroleum products  | 
 sold to or used by an air carrier, certified by the carrier  | 
 to be used for consumption, shipment, or storage in the  | 
 conduct of its business as an air common carrier, for a  | 
 flight that (i) is engaged in foreign trade or is engaged  | 
 in trade between the United States and any of its  | 
 possessions and (ii) transports at least one individual or  | 
 package for hire from the city of origination to the city  | 
 of final destination on the same aircraft, without regard  | 
 to a change in the flight number of that aircraft.  | 
  (23) A transaction in which the purchase order is  | 
 received by a florist who is located outside Illinois, but  | 
 who has a florist located in Illinois deliver the property  | 
 to the purchaser or the purchaser's donee in Illinois. | 
  (24) Fuel consumed or used in the operation of ships,  | 
 barges, or vessels that are used primarily in or for the  | 
 transportation of property or the conveyance of persons  | 
 for hire on rivers bordering on this State if the fuel is  | 
 delivered by the seller to the purchaser's barge, ship, or  | 
 vessel while it is afloat upon that bordering river. | 
  (25) Except as provided in item (25-5) of this  | 
 Section, a motor vehicle sold in this State to a  | 
 nonresident even though the motor vehicle is delivered to  | 
 the nonresident in this State, if the motor vehicle is not  | 
 | 
 to be titled in this State, and if a drive-away permit is  | 
 issued to the motor vehicle as provided in Section 3-603  | 
 of the Illinois Vehicle Code or if the nonresident  | 
 purchaser has vehicle registration plates to transfer to  | 
 the motor vehicle upon returning to his or her home state.  | 
 The issuance of the drive-away permit or having the  | 
 out-of-state registration plates to be transferred is  | 
 prima facie evidence that the motor vehicle will not be  | 
 titled in this State. | 
  (25-5) The exemption under item (25) does not apply if  | 
 the state in which the motor vehicle will be titled does  | 
 not allow a reciprocal exemption for a motor vehicle sold  | 
 and delivered in that state to an Illinois resident but  | 
 titled in Illinois. The tax collected under this Act on  | 
 the sale of a motor vehicle in this State to a resident of  | 
 another state that does not allow a reciprocal exemption  | 
 shall be imposed at a rate equal to the state's rate of tax  | 
 on taxable property in the state in which the purchaser is  | 
 a resident, except that the tax shall not exceed the tax  | 
 that would otherwise be imposed under this Act. At the  | 
 time of the sale, the purchaser shall execute a statement,  | 
 signed under penalty of perjury, of his or her intent to  | 
 title the vehicle in the state in which the purchaser is a  | 
 resident within 30 days after the sale and of the fact of  | 
 the payment to the State of Illinois of tax in an amount  | 
 equivalent to the state's rate of tax on taxable property  | 
 | 
 in his or her state of residence and shall submit the  | 
 statement to the appropriate tax collection agency in his  | 
 or her state of residence. In addition, the retailer must  | 
 retain a signed copy of the statement in his or her  | 
 records. Nothing in this item shall be construed to  | 
 require the removal of the vehicle from this state  | 
 following the filing of an intent to title the vehicle in  | 
 the purchaser's state of residence if the purchaser titles  | 
 the vehicle in his or her state of residence within 30 days  | 
 after the date of sale. The tax collected under this Act in  | 
 accordance with this item (25-5) shall be proportionately  | 
 distributed as if the tax were collected at the 6.25%  | 
 general rate imposed under this Act.  | 
  (25-7) Beginning on July 1, 2007, no tax is imposed  | 
 under this Act on the sale of an aircraft, as defined in  | 
 Section 3 of the Illinois Aeronautics Act, if all of the  | 
 following conditions are met: | 
   (1) the aircraft leaves this State within 15 days  | 
 after the later of either the issuance of the final  | 
 billing for the sale of the aircraft, or the  | 
 authorized approval for return to service, completion  | 
 of the maintenance record entry, and completion of the  | 
 test flight and ground test for inspection, as  | 
 required by 14 CFR 91.407; | 
   (2) the aircraft is not based or registered in  | 
 this State after the sale of the aircraft; and | 
 | 
   (3) the seller retains in his or her books and  | 
 records and provides to the Department a signed and  | 
 dated certification from the purchaser, on a form  | 
 prescribed by the Department, certifying that the  | 
 requirements of this item (25-7) are met. The  | 
 certificate must also include the name and address of  | 
 the purchaser, the address of the location where the  | 
 aircraft is to be titled or registered, the address of  | 
 the primary physical location of the aircraft, and  | 
 other information that the Department may reasonably  | 
 require. | 
  For purposes of this item (25-7): | 
  "Based in this State" means hangared, stored, or  | 
 otherwise used, excluding post-sale customizations as  | 
 defined in this Section, for 10 or more days in each  | 
 12-month period immediately following the date of the sale  | 
 of the aircraft. | 
  "Registered in this State" means an aircraft  | 
 registered with the Department of Transportation,  | 
 Aeronautics Division, or titled or registered with the  | 
 Federal Aviation Administration to an address located in  | 
 this State. | 
  This paragraph (25-7) is exempt from the provisions of  | 
 Section 2-70.  | 
  (26) Semen used for artificial insemination of  | 
 livestock for direct agricultural production. | 
 | 
  (27) Horses, or interests in horses, registered with  | 
 and meeting the requirements of any of the Arabian Horse  | 
 Club Registry of America, Appaloosa Horse Club, American  | 
 Quarter Horse Association, United States Trotting  | 
 Association, or Jockey Club, as appropriate, used for  | 
 purposes of breeding or racing for prizes. This item (27)  | 
 is exempt from the provisions of Section 2-70, and the  | 
 exemption provided for under this item (27) applies for  | 
 all periods beginning May 30, 1995, but no claim for  | 
 credit or refund is allowed on or after January 1, 2008  | 
 (the effective date of Public Act 95-88) for such taxes  | 
 paid during the period beginning May 30, 2000 and ending  | 
 on January 1, 2008 (the effective date of Public Act  | 
 95-88). | 
  (28) Computers and communications equipment utilized  | 
 for any hospital purpose and equipment used in the  | 
 diagnosis, analysis, or treatment of hospital patients  | 
 sold to a lessor who leases the equipment, under a lease of  | 
 one year or longer executed or in effect at the time of the  | 
 purchase, to a hospital that has been issued an active tax  | 
 exemption identification number by the Department under  | 
 Section 1g of this Act. | 
  (29) Personal property sold to a lessor who leases the  | 
 property, under a lease of one year or longer executed or  | 
 in effect at the time of the purchase, to a governmental  | 
 body that has been issued an active tax exemption  | 
 | 
 identification number by the Department under Section 1g  | 
 of this Act. | 
  (30) Beginning with taxable years ending on or after  | 
 December 31, 1995 and ending with taxable years ending on  | 
 or before December 31, 2004, personal property that is  | 
 donated for disaster relief to be used in a State or  | 
 federally declared disaster area in Illinois or bordering  | 
 Illinois by a manufacturer or retailer that is registered  | 
 in this State to a corporation, society, association,  | 
 foundation, or institution that has been issued a sales  | 
 tax exemption identification number by the Department that  | 
 assists victims of the disaster who reside within the  | 
 declared disaster area. | 
  (31) Beginning with taxable years ending on or after  | 
 December 31, 1995 and ending with taxable years ending on  | 
 or before December 31, 2004, personal property that is  | 
 used in the performance of infrastructure repairs in this  | 
 State, including, but not limited to, municipal roads and  | 
 streets, access roads, bridges, sidewalks, waste disposal  | 
 systems, water and sewer line extensions, water  | 
 distribution and purification facilities, storm water  | 
 drainage and retention facilities, and sewage treatment  | 
 facilities, resulting from a State or federally declared  | 
 disaster in Illinois or bordering Illinois when such  | 
 repairs are initiated on facilities located in the  | 
 declared disaster area within 6 months after the disaster. | 
 | 
  (32) Beginning July 1, 1999, game or game birds sold  | 
 at a "game breeding and hunting preserve area" as that  | 
 term is used in the Wildlife Code. This paragraph is  | 
 exempt from the provisions of Section 2-70. | 
  (33) A motor vehicle, as that term is defined in  | 
 Section 1-146 of the Illinois Vehicle Code, that is  | 
 donated to a corporation, limited liability company,  | 
 society, association, foundation, or institution that is  | 
 determined by the Department to be organized and operated  | 
 exclusively for educational purposes. For purposes of this  | 
 exemption, "a corporation, limited liability company,  | 
 society, association, foundation, or institution organized  | 
 and operated exclusively for educational purposes" means  | 
 all tax-supported public schools, private schools that  | 
 offer systematic instruction in useful branches of  | 
 learning by methods common to public schools and that  | 
 compare favorably in their scope and intensity with the  | 
 course of study presented in tax-supported schools, and  | 
 vocational or technical schools or institutes organized  | 
 and operated exclusively to provide a course of study of  | 
 not less than 6 weeks duration and designed to prepare  | 
 individuals to follow a trade or to pursue a manual,  | 
 technical, mechanical, industrial, business, or commercial  | 
 occupation. | 
  (34) Beginning January 1, 2000, personal property,  | 
 including food, purchased through fundraising events for  | 
 | 
 the benefit of a public or private elementary or secondary  | 
 school, a group of those schools, or one or more school  | 
 districts if the events are sponsored by an entity  | 
 recognized by the school district that consists primarily  | 
 of volunteers and includes parents and teachers of the  | 
 school children. This paragraph does not apply to  | 
 fundraising events (i) for the benefit of private home  | 
 instruction or (ii) for which the fundraising entity  | 
 purchases the personal property sold at the events from  | 
 another individual or entity that sold the property for  | 
 the purpose of resale by the fundraising entity and that  | 
 profits from the sale to the fundraising entity. This  | 
 paragraph is exempt from the provisions of Section 2-70. | 
  (35) Beginning January 1, 2000 and through December  | 
 31, 2001, new or used automatic vending machines that  | 
 prepare and serve hot food and beverages, including  | 
 coffee, soup, and other items, and replacement parts for  | 
 these machines. Beginning January 1, 2002 and through June  | 
 30, 2003, machines and parts for machines used in  | 
 commercial, coin-operated amusement and vending business  | 
 if a use or occupation tax is paid on the gross receipts  | 
 derived from the use of the commercial, coin-operated  | 
 amusement and vending machines. This paragraph is exempt  | 
 from the provisions of Section 2-70. | 
  (35-5) Beginning August 23, 2001 and through June 30,  | 
 2016, food for human consumption that is to be consumed  | 
 | 
 off the premises where it is sold (other than alcoholic  | 
 beverages, soft drinks, and food that has been prepared  | 
 for immediate consumption) and prescription and  | 
 nonprescription medicines, drugs, medical appliances, and  | 
 insulin, urine testing materials, syringes, and needles  | 
 used by diabetics, for human use, when purchased for use  | 
 by a person receiving medical assistance under Article V  | 
 of the Illinois Public Aid Code who resides in a licensed  | 
 long-term care facility, as defined in the Nursing Home  | 
 Care Act, or a licensed facility as defined in the ID/DD  | 
 Community Care Act, the MC/DD Act, or the Specialized  | 
 Mental Health Rehabilitation Act of 2013. | 
  (36) Beginning August 2, 2001, computers and  | 
 communications equipment utilized for any hospital purpose  | 
 and equipment used in the diagnosis, analysis, or  | 
 treatment of hospital patients sold to a lessor who leases  | 
 the equipment, under a lease of one year or longer  | 
 executed or in effect at the time of the purchase, to a  | 
 hospital that has been issued an active tax exemption  | 
 identification number by the Department under Section 1g  | 
 of this Act. This paragraph is exempt from the provisions  | 
 of Section 2-70. | 
  (37) Beginning August 2, 2001, personal property sold  | 
 to a lessor who leases the property, under a lease of one  | 
 year or longer executed or in effect at the time of the  | 
 purchase, to a governmental body that has been issued an  | 
 | 
 active tax exemption identification number by the  | 
 Department under Section 1g of this Act. This paragraph is  | 
 exempt from the provisions of Section 2-70. | 
  (38) Beginning on January 1, 2002 and through June 30,  | 
 2016, tangible personal property purchased from an  | 
 Illinois retailer by a taxpayer engaged in centralized  | 
 purchasing activities in Illinois who will, upon receipt  | 
 of the property in Illinois, temporarily store the  | 
 property in Illinois (i) for the purpose of subsequently  | 
 transporting it outside this State for use or consumption  | 
 thereafter solely outside this State or (ii) for the  | 
 purpose of being processed, fabricated, or manufactured  | 
 into, attached to, or incorporated into other tangible  | 
 personal property to be transported outside this State and  | 
 thereafter used or consumed solely outside this State. The  | 
 Director of Revenue shall, pursuant to rules adopted in  | 
 accordance with the Illinois Administrative Procedure Act,  | 
 issue a permit to any taxpayer in good standing with the  | 
 Department who is eligible for the exemption under this  | 
 paragraph (38). The permit issued under this paragraph  | 
 (38) shall authorize the holder, to the extent and in the  | 
 manner specified in the rules adopted under this Act, to  | 
 purchase tangible personal property from a retailer exempt  | 
 from the taxes imposed by this Act. Taxpayers shall  | 
 maintain all necessary books and records to substantiate  | 
 the use and consumption of all such tangible personal  | 
 | 
 property outside of the State of Illinois. | 
  (39) Beginning January 1, 2008, tangible personal  | 
 property used in the construction or maintenance of a  | 
 community water supply, as defined under Section 3.145 of  | 
 the Environmental Protection Act, that is operated by a  | 
 not-for-profit corporation that holds a valid water supply  | 
 permit issued under Title IV of the Environmental  | 
 Protection Act. This paragraph is exempt from the  | 
 provisions of Section 2-70.  | 
  (40) Beginning January 1, 2010 and continuing through  | 
 December 31, 2029, materials, parts, equipment,  | 
 components, and furnishings incorporated into or upon an  | 
 aircraft as part of the modification, refurbishment,  | 
 completion, replacement, repair, or maintenance of the  | 
 aircraft. This exemption includes consumable supplies used  | 
 in the modification, refurbishment, completion,  | 
 replacement, repair, and maintenance of aircraft. However,  | 
 until January 1, 2024, this exemption excludes any  | 
 materials, parts, equipment, components, and consumable  | 
 supplies used in the modification, replacement, repair,  | 
 and maintenance of aircraft engines or power plants,  | 
 whether such engines or power plants are installed or  | 
 uninstalled upon any such aircraft. "Consumable supplies"  | 
 include, but are not limited to, adhesive, tape,  | 
 sandpaper, general purpose lubricants, cleaning solution,  | 
 latex gloves, and protective films.  | 
 | 
  Beginning January 1, 2010 and continuing through  | 
 December 31, 2023, this exemption applies only to the sale  | 
 of qualifying tangible personal property to persons who  | 
 modify, refurbish, complete, replace, or maintain an  | 
 aircraft and who (i) hold an Air Agency Certificate and  | 
 are empowered to operate an approved repair station by the  | 
 Federal Aviation Administration, (ii) have a Class IV  | 
 Rating, and (iii) conduct operations in accordance with  | 
 Part 145 of the Federal Aviation Regulations. The  | 
 exemption does not include aircraft operated by a  | 
 commercial air carrier providing scheduled passenger air  | 
 service pursuant to authority issued under Part 121 or  | 
 Part 129 of the Federal Aviation Regulations. From January  | 
 1, 2024 through December 31, 2029, this exemption applies  | 
 only to the use of qualifying tangible personal property  | 
 by: (A) persons who modify, refurbish, complete, repair,  | 
 replace, or maintain aircraft and who (i) hold an Air  | 
 Agency Certificate and are empowered to operate an  | 
 approved repair station by the Federal Aviation  | 
 Administration, (ii) have a Class IV Rating, and (iii)  | 
 conduct operations in accordance with Part 145 of the  | 
 Federal Aviation Regulations; and (B) persons who engage  | 
 in the modification, replacement, repair, and maintenance  | 
 of aircraft engines or power plants without regard to  | 
 whether or not those persons meet the qualifications of  | 
 item (A). | 
 | 
  The changes made to this paragraph (40) by Public Act  | 
 98-534 are declarative of existing law. It is the intent  | 
 of the General Assembly that the exemption under this  | 
 paragraph (40) applies continuously from January 1, 2010  | 
 through December 31, 2024; however, no claim for credit or  | 
 refund is allowed for taxes paid as a result of the  | 
 disallowance of this exemption on or after January 1, 2015  | 
 and prior to February 5, 2020 (the effective date of  | 
 Public Act 101-629). | 
  (41) Tangible personal property sold to a  | 
 public-facilities corporation, as described in Section  | 
 11-65-10 of the Illinois Municipal Code, for purposes of  | 
 constructing or furnishing a municipal convention hall,  | 
 but only if the legal title to the municipal convention  | 
 hall is transferred to the municipality without any  | 
 further consideration by or on behalf of the municipality  | 
 at the time of the completion of the municipal convention  | 
 hall or upon the retirement or redemption of any bonds or  | 
 other debt instruments issued by the public-facilities  | 
 corporation in connection with the development of the  | 
 municipal convention hall. This exemption includes  | 
 existing public-facilities corporations as provided in  | 
 Section 11-65-25 of the Illinois Municipal Code. This  | 
 paragraph is exempt from the provisions of Section 2-70.  | 
  (42) Beginning January 1, 2017 and through December  | 
 31, 2026, menstrual pads, tampons, and menstrual cups.  | 
 | 
  (43) Merchandise that is subject to the Rental  | 
 Purchase Agreement Occupation and Use Tax. The purchaser  | 
 must certify that the item is purchased to be rented  | 
 subject to a rental-purchase rental purchase agreement, as  | 
 defined in the Rental-Purchase Rental Purchase Agreement  | 
 Act, and provide proof of registration under the Rental  | 
 Purchase Agreement Occupation and Use Tax Act. This  | 
 paragraph is exempt from the provisions of Section 2-70. | 
  (44) Qualified tangible personal property used in the  | 
 construction or operation of a data center that has been  | 
 granted a certificate of exemption by the Department of  | 
 Commerce and Economic Opportunity, whether that tangible  | 
 personal property is purchased by the owner, operator, or  | 
 tenant of the data center or by a contractor or  | 
 subcontractor of the owner, operator, or tenant. Data  | 
 centers that would have qualified for a certificate of  | 
 exemption prior to January 1, 2020 had Public Act 101-31  | 
 been in effect, may apply for and obtain an exemption for  | 
 subsequent purchases of computer equipment or enabling  | 
 software purchased or leased to upgrade, supplement, or  | 
 replace computer equipment or enabling software purchased  | 
 or leased in the original investment that would have  | 
 qualified.  | 
  The Department of Commerce and Economic Opportunity  | 
 shall grant a certificate of exemption under this item  | 
 (44) to qualified data centers as defined by Section  | 
 | 
 605-1025 of the Department of Commerce and Economic  | 
 Opportunity Law of the Civil Administrative Code of  | 
 Illinois.  | 
  For the purposes of this item (44):  | 
   "Data center" means a building or a series of  | 
 buildings rehabilitated or constructed to house  | 
 working servers in one physical location or multiple  | 
 sites within the State of Illinois.  | 
   "Qualified tangible personal property" means:  | 
 electrical systems and equipment; climate control and  | 
 chilling equipment and systems; mechanical systems and  | 
 equipment; monitoring and secure systems; emergency  | 
 generators; hardware; computers; servers; data storage  | 
 devices; network connectivity equipment; racks;  | 
 cabinets; telecommunications cabling infrastructure;  | 
 raised floor systems; peripheral components or  | 
 systems; software; mechanical, electrical, or plumbing  | 
 systems; battery systems; cooling systems and towers;  | 
 temperature control systems; other cabling; and other  | 
 data center infrastructure equipment and systems  | 
 necessary to operate qualified tangible personal  | 
 property, including fixtures; and component parts of  | 
 any of the foregoing, including installation,  | 
 maintenance, repair, refurbishment, and replacement of  | 
 qualified tangible personal property to generate,  | 
 transform, transmit, distribute, or manage electricity  | 
 | 
 necessary to operate qualified tangible personal  | 
 property; and all other tangible personal property  | 
 that is essential to the operations of a computer data  | 
 center. The term "qualified tangible personal  | 
 property" also includes building materials physically  | 
 incorporated into the qualifying data center. To  | 
 document the exemption allowed under this Section, the  | 
 retailer must obtain from the purchaser a copy of the  | 
 certificate of eligibility issued by the Department of  | 
 Commerce and Economic Opportunity.  | 
  This item (44) is exempt from the provisions of  | 
 Section 2-70.  | 
  (45) Beginning January 1, 2020 and through December  | 
 31, 2020, sales of tangible personal property made by a  | 
 marketplace seller over a marketplace for which tax is due  | 
 under this Act but for which use tax has been collected and  | 
 remitted to the Department by a marketplace facilitator  | 
 under Section 2d of the Use Tax Act are exempt from tax  | 
 under this Act. A marketplace seller claiming this  | 
 exemption shall maintain books and records demonstrating  | 
 that the use tax on such sales has been collected and  | 
 remitted by a marketplace facilitator. Marketplace sellers  | 
 that have properly remitted tax under this Act on such  | 
 sales may file a claim for credit as provided in Section 6  | 
 of this Act. No claim is allowed, however, for such taxes  | 
 for which a credit or refund has been issued to the  | 
 | 
 marketplace facilitator under the Use Tax Act, or for  | 
 which the marketplace facilitator has filed a claim for  | 
 credit or refund under the Use Tax Act.  | 
  (46) Beginning July 1, 2022, breast pumps, breast pump  | 
 collection and storage supplies, and breast pump kits.  | 
 This item (46) is exempt from the provisions of Section  | 
 2-70. As used in this item (46):  | 
  "Breast pump" means an electrically controlled or  | 
 manually controlled pump device designed or marketed to be  | 
 used to express milk from a human breast during lactation,  | 
 including the pump device and any battery, AC adapter, or  | 
 other power supply unit that is used to power the pump  | 
 device and is packaged and sold with the pump device at the  | 
 time of sale.  | 
  "Breast pump collection and storage supplies" means  | 
 items of tangible personal property designed or marketed  | 
 to be used in conjunction with a breast pump to collect  | 
 milk expressed from a human breast and to store collected  | 
 milk until it is ready for consumption.  | 
  "Breast pump collection and storage supplies"  | 
 includes, but is not limited to: breast shields and breast  | 
 shield connectors; breast pump tubes and tubing adapters;  | 
 breast pump valves and membranes; backflow protectors and  | 
 backflow protector adaptors; bottles and bottle caps  | 
 specific to the operation of the breast pump; and breast  | 
 milk storage bags.  | 
 | 
  "Breast pump collection and storage supplies" does not  | 
 include: (1) bottles and bottle caps not specific to the  | 
 operation of the breast pump; (2) breast pump travel bags  | 
 and other similar carrying accessories, including ice  | 
 packs, labels, and other similar products; (3) breast pump  | 
 cleaning supplies; (4) nursing bras, bra pads, breast  | 
 shells, and other similar products; and (5) creams,  | 
 ointments, and other similar products that relieve  | 
 breastfeeding-related symptoms or conditions of the  | 
 breasts or nipples, unless sold as part of a breast pump  | 
 kit that is pre-packaged by the breast pump manufacturer  | 
 or distributor.  | 
  "Breast pump kit" means a kit that: (1) contains no  | 
 more than a breast pump, breast pump collection and  | 
 storage supplies, a rechargeable battery for operating the  | 
 breast pump, a breastmilk cooler, bottle stands, ice  | 
 packs, and a breast pump carrying case; and (2) is  | 
 pre-packaged as a breast pump kit by the breast pump  | 
 manufacturer or distributor.  | 
  (47) Tangible personal property sold by or on behalf  | 
 of the State Treasurer pursuant to the Revised Uniform  | 
 Unclaimed Property Act. This item (47) is exempt from the  | 
 provisions of Section 2-70.  | 
  (48) Beginning on January 1, 2024, tangible personal  | 
 property purchased by an active duty member of the armed  | 
 forces of the United States who presents valid military  | 
 | 
 identification and purchases the property using a form of  | 
 payment where the federal government is the payor. The  | 
 member of the armed forces must complete, at the point of  | 
 sale, a form prescribed by the Department of Revenue  | 
 documenting that the transaction is eligible for the  | 
 exemption under this paragraph. Retailers must keep the  | 
 form as documentation of the exemption in their records  | 
 for a period of not less than 6 years. "Armed forces of the  | 
 United States" means the United States Army, Navy, Air  | 
 Force, Marine Corps, or Coast Guard. This paragraph is  | 
 exempt from the provisions of Section 2-70.  | 
(Source: P.A. 102-16, eff. 6-17-21; 102-634, eff. 8-27-21;  | 
102-700, Article 70, Section 70-20, eff. 4-19-22; 102-700,  | 
Article 75, Section 75-20, eff. 4-19-22; 102-813, eff.  | 
5-13-22; 102-1026, eff. 5-27-22; 103-9, Article 5, Section  | 
5-20, eff. 6-7-23; 103-9, Article 15, Section 15-20, eff.  | 
6-7-23; 103-154, eff. 6-30-23; 103-384, eff. 1-1-24; revised  | 
12-12-23.)
 | 
 (35 ILCS 120/3) (from Ch. 120, par. 442) | 
 Sec. 3. Except as provided in this Section, on or before  | 
the twentieth day of each calendar month, every person engaged  | 
in the business of selling tangible personal property at  | 
retail in this State during the preceding calendar month shall  | 
file a return with the Department, stating: | 
  1. The name of the seller; | 
 | 
  2. His residence address and the address of his  | 
 principal place of business and the address of the  | 
 principal place of business (if that is a different  | 
 address) from which he engages in the business of selling  | 
 tangible personal property at retail in this State; | 
  3. Total amount of receipts received by him during the  | 
 preceding calendar month or quarter, as the case may be,  | 
 from sales of tangible personal property, and from  | 
 services furnished, by him during such preceding calendar  | 
 month or quarter; | 
  4. Total amount received by him during the preceding  | 
 calendar month or quarter on charge and time sales of  | 
 tangible personal property, and from services furnished,  | 
 by him prior to the month or quarter for which the return  | 
 is filed; | 
  5. Deductions allowed by law; | 
  6. Gross receipts which were received by him during  | 
 the preceding calendar month or quarter and upon the basis  | 
 of which the tax is imposed, including gross receipts on  | 
 food for human consumption that is to be consumed off the  | 
 premises where it is sold (other than alcoholic beverages,  | 
 food consisting of or infused with adult use cannabis,  | 
 soft drinks, and food that has been prepared for immediate  | 
 consumption) which were received during the preceding  | 
 calendar month or quarter and upon which tax would have  | 
 been due but for the 0% rate imposed under Public Act  | 
 | 
 102-700; | 
  7. The amount of credit provided in Section 2d of this  | 
 Act; | 
  8. The amount of tax due, including the amount of tax  | 
 that would have been due on food for human consumption  | 
 that is to be consumed off the premises where it is sold  | 
 (other than alcoholic beverages, food consisting of or  | 
 infused with adult use cannabis, soft drinks, and food  | 
 that has been prepared for immediate consumption) but for  | 
 the 0% rate imposed under Public Act 102-700; | 
  9. The signature of the taxpayer; and | 
  10. Such other reasonable information as the  | 
 Department may require. | 
 On and after January 1, 2018, except for returns required  | 
to be filed prior to January 1, 2023 for motor vehicles,  | 
watercraft, aircraft, and trailers that are required to be  | 
registered with an agency of this State, with respect to  | 
retailers whose annual gross receipts average $20,000 or more,  | 
all returns required to be filed pursuant to this Act shall be  | 
filed electronically. On and after January 1, 2023, with  | 
respect to retailers whose annual gross receipts average  | 
$20,000 or more, all returns required to be filed pursuant to  | 
this Act, including, but not limited to, returns for motor  | 
vehicles, watercraft, aircraft, and trailers that are required  | 
to be registered with an agency of this State, shall be filed  | 
electronically. Retailers who demonstrate that they do not  | 
 | 
have access to the Internet or demonstrate hardship in filing  | 
electronically may petition the Department to waive the  | 
electronic filing requirement.  | 
 If a taxpayer fails to sign a return within 30 days after  | 
the proper notice and demand for signature by the Department,  | 
the return shall be considered valid and any amount shown to be  | 
due on the return shall be deemed assessed. | 
 Each return shall be accompanied by the statement of  | 
prepaid tax issued pursuant to Section 2e for which credit is  | 
claimed. | 
 Prior to October 1, 2003, and on and after September 1,  | 
2004, a retailer may accept a Manufacturer's Purchase Credit  | 
certification from a purchaser in satisfaction of Use Tax as  | 
provided in Section 3-85 of the Use Tax Act if the purchaser  | 
provides the appropriate documentation as required by Section  | 
3-85 of the Use Tax Act. A Manufacturer's Purchase Credit  | 
certification, accepted by a retailer prior to October 1, 2003  | 
and on and after September 1, 2004 as provided in Section 3-85  | 
of the Use Tax Act, may be used by that retailer to satisfy  | 
Retailers' Occupation Tax liability in the amount claimed in  | 
the certification, not to exceed 6.25% of the receipts subject  | 
to tax from a qualifying purchase. A Manufacturer's Purchase  | 
Credit reported on any original or amended return filed under  | 
this Act after October 20, 2003 for reporting periods prior to  | 
September 1, 2004 shall be disallowed. Manufacturer's Purchase  | 
Credit reported on annual returns due on or after January 1,  | 
 | 
2005 will be disallowed for periods prior to September 1,  | 
2004. No Manufacturer's Purchase Credit may be used after  | 
September 30, 2003 through August 31, 2004 to satisfy any tax  | 
liability imposed under this Act, including any audit  | 
liability. | 
 Beginning on July 1, 2023 and through December 31, 2032, a  | 
retailer may accept a Sustainable Aviation Fuel Purchase  | 
Credit certification from an air common carrier-purchaser in  | 
satisfaction of Use Tax on aviation fuel as provided in  | 
Section 3-87 of the Use Tax Act if the purchaser provides the  | 
appropriate documentation as required by Section 3-87 of the  | 
Use Tax Act. A Sustainable Aviation Fuel Purchase Credit  | 
certification accepted by a retailer in accordance with this  | 
paragraph may be used by that retailer to satisfy Retailers'  | 
Occupation Tax liability (but not in satisfaction of penalty  | 
or interest) in the amount claimed in the certification, not  | 
to exceed 6.25% of the receipts subject to tax from a sale of  | 
aviation fuel. In addition, for a sale of aviation fuel to  | 
qualify to earn the Sustainable Aviation Fuel Purchase Credit,  | 
retailers must retain in their books and records a  | 
certification from the producer of the aviation fuel that the  | 
aviation fuel sold by the retailer and for which a sustainable  | 
aviation fuel purchase credit was earned meets the definition  | 
of sustainable aviation fuel under Section 3-87 of the Use Tax  | 
Act. The documentation must include detail sufficient for the  | 
Department to determine the number of gallons of sustainable  | 
 | 
aviation fuel sold.  | 
 The Department may require returns to be filed on a  | 
quarterly basis. If so required, a return for each calendar  | 
quarter shall be filed on or before the twentieth day of the  | 
calendar month following the end of such calendar quarter. The  | 
taxpayer shall also file a return with the Department for each  | 
of the first 2 two months of each calendar quarter, on or  | 
before the twentieth day of the following calendar month,  | 
stating: | 
  1. The name of the seller; | 
  2. The address of the principal place of business from  | 
 which he engages in the business of selling tangible  | 
 personal property at retail in this State; | 
  3. The total amount of taxable receipts received by  | 
 him during the preceding calendar month from sales of  | 
 tangible personal property by him during such preceding  | 
 calendar month, including receipts from charge and time  | 
 sales, but less all deductions allowed by law; | 
  4. The amount of credit provided in Section 2d of this  | 
 Act; | 
  5. The amount of tax due; and | 
  6. Such other reasonable information as the Department  | 
 may require. | 
 Every person engaged in the business of selling aviation  | 
fuel at retail in this State during the preceding calendar  | 
month shall, instead of reporting and paying tax as otherwise  | 
 | 
required by this Section, report and pay such tax on a separate  | 
aviation fuel tax return. The requirements related to the  | 
return shall be as otherwise provided in this Section.  | 
Notwithstanding any other provisions of this Act to the  | 
contrary, retailers selling aviation fuel shall file all  | 
aviation fuel tax returns and shall make all aviation fuel tax  | 
payments by electronic means in the manner and form required  | 
by the Department. For purposes of this Section, "aviation  | 
fuel" means jet fuel and aviation gasoline.  | 
 Beginning on October 1, 2003, any person who is not a  | 
licensed distributor, importing distributor, or manufacturer,  | 
as defined in the Liquor Control Act of 1934, but is engaged in  | 
the business of selling, at retail, alcoholic liquor shall  | 
file a statement with the Department of Revenue, in a format  | 
and at a time prescribed by the Department, showing the total  | 
amount paid for alcoholic liquor purchased during the  | 
preceding month and such other information as is reasonably  | 
required by the Department. The Department may adopt rules to  | 
require that this statement be filed in an electronic or  | 
telephonic format. Such rules may provide for exceptions from  | 
the filing requirements of this paragraph. For the purposes of  | 
this paragraph, the term "alcoholic liquor" shall have the  | 
meaning prescribed in the Liquor Control Act of 1934. | 
 Beginning on October 1, 2003, every distributor, importing  | 
distributor, and manufacturer of alcoholic liquor as defined  | 
in the Liquor Control Act of 1934, shall file a statement with  | 
 | 
the Department of Revenue, no later than the 10th day of the  | 
month for the preceding month during which transactions  | 
occurred, by electronic means, showing the total amount of  | 
gross receipts from the sale of alcoholic liquor sold or  | 
distributed during the preceding month to purchasers;  | 
identifying the purchaser to whom it was sold or distributed;  | 
the purchaser's tax registration number; and such other  | 
information reasonably required by the Department. A  | 
distributor, importing distributor, or manufacturer of  | 
alcoholic liquor must personally deliver, mail, or provide by  | 
electronic means to each retailer listed on the monthly  | 
statement a report containing a cumulative total of that  | 
distributor's, importing distributor's, or manufacturer's  | 
total sales of alcoholic liquor to that retailer no later than  | 
the 10th day of the month for the preceding month during which  | 
the transaction occurred. The distributor, importing  | 
distributor, or manufacturer shall notify the retailer as to  | 
the method by which the distributor, importing distributor, or  | 
manufacturer will provide the sales information. If the  | 
retailer is unable to receive the sales information by  | 
electronic means, the distributor, importing distributor, or  | 
manufacturer shall furnish the sales information by personal  | 
delivery or by mail. For purposes of this paragraph, the term  | 
"electronic means" includes, but is not limited to, the use of  | 
a secure Internet website, e-mail, or facsimile. | 
 If a total amount of less than $1 is payable, refundable or  | 
 | 
creditable, such amount shall be disregarded if it is less  | 
than 50 cents and shall be increased to $1 if it is 50 cents or  | 
more. | 
 Notwithstanding any other provision of this Act to the  | 
contrary, retailers subject to tax on cannabis shall file all  | 
cannabis tax returns and shall make all cannabis tax payments  | 
by electronic means in the manner and form required by the  | 
Department. | 
 Beginning October 1, 1993, a taxpayer who has an average  | 
monthly tax liability of $150,000 or more shall make all  | 
payments required by rules of the Department by electronic  | 
funds transfer. Beginning October 1, 1994, a taxpayer who has  | 
an average monthly tax liability of $100,000 or more shall  | 
make all payments required by rules of the Department by  | 
electronic funds transfer. Beginning October 1, 1995, a  | 
taxpayer who has an average monthly tax liability of $50,000  | 
or more shall make all payments required by rules of the  | 
Department by electronic funds transfer. Beginning October 1,  | 
2000, a taxpayer who has an annual tax liability of $200,000 or  | 
more shall make all payments required by rules of the  | 
Department by electronic funds transfer. The term "annual tax  | 
liability" shall be the sum of the taxpayer's liabilities  | 
under this Act, and under all other State and local occupation  | 
and use tax laws administered by the Department, for the  | 
immediately preceding calendar year. The term "average monthly  | 
tax liability" shall be the sum of the taxpayer's liabilities  | 
 | 
under this Act, and under all other State and local occupation  | 
and use tax laws administered by the Department, for the  | 
immediately preceding calendar year divided by 12. Beginning  | 
on October 1, 2002, a taxpayer who has a tax liability in the  | 
amount set forth in subsection (b) of Section 2505-210 of the  | 
Department of Revenue Law shall make all payments required by  | 
rules of the Department by electronic funds transfer. | 
 Before August 1 of each year beginning in 1993, the  | 
Department shall notify all taxpayers required to make  | 
payments by electronic funds transfer. All taxpayers required  | 
to make payments by electronic funds transfer shall make those  | 
payments for a minimum of one year beginning on October 1. | 
 Any taxpayer not required to make payments by electronic  | 
funds transfer may make payments by electronic funds transfer  | 
with the permission of the Department. | 
 All taxpayers required to make payment by electronic funds  | 
transfer and any taxpayers authorized to voluntarily make  | 
payments by electronic funds transfer shall make those  | 
payments in the manner authorized by the Department. | 
 The Department shall adopt such rules as are necessary to  | 
effectuate a program of electronic funds transfer and the  | 
requirements of this Section. | 
 Any amount which is required to be shown or reported on any  | 
return or other document under this Act shall, if such amount  | 
is not a whole-dollar amount, be increased to the nearest  | 
whole-dollar amount in any case where the fractional part of a  | 
 | 
dollar is 50 cents or more, and decreased to the nearest  | 
whole-dollar amount where the fractional part of a dollar is  | 
less than 50 cents. | 
 If the retailer is otherwise required to file a monthly  | 
return and if the retailer's average monthly tax liability to  | 
the Department does not exceed $200, the Department may  | 
authorize his returns to be filed on a quarter annual basis,  | 
with the return for January, February, and March of a given  | 
year being due by April 20 of such year; with the return for  | 
April, May, and June of a given year being due by July 20 of  | 
such year; with the return for July, August, and September of a  | 
given year being due by October 20 of such year, and with the  | 
return for October, November, and December of a given year  | 
being due by January 20 of the following year. | 
 If the retailer is otherwise required to file a monthly or  | 
quarterly return and if the retailer's average monthly tax  | 
liability with the Department does not exceed $50, the  | 
Department may authorize his returns to be filed on an annual  | 
basis, with the return for a given year being due by January 20  | 
of the following year. | 
 Such quarter annual and annual returns, as to form and  | 
substance, shall be subject to the same requirements as  | 
monthly returns. | 
 Notwithstanding any other provision in this Act concerning  | 
the time within which a retailer may file his return, in the  | 
case of any retailer who ceases to engage in a kind of business  | 
 | 
which makes him responsible for filing returns under this Act,  | 
such retailer shall file a final return under this Act with the  | 
Department not more than one month after discontinuing such  | 
business. | 
 Where the same person has more than one business  | 
registered with the Department under separate registrations  | 
under this Act, such person may not file each return that is  | 
due as a single return covering all such registered  | 
businesses, but shall file separate returns for each such  | 
registered business. | 
 In addition, with respect to motor vehicles, watercraft,  | 
aircraft, and trailers that are required to be registered with  | 
an agency of this State, except as otherwise provided in this  | 
Section, every retailer selling this kind of tangible personal  | 
property shall file, with the Department, upon a form to be  | 
prescribed and supplied by the Department, a separate return  | 
for each such item of tangible personal property which the  | 
retailer sells, except that if, in the same transaction, (i) a  | 
retailer of aircraft, watercraft, motor vehicles, or trailers  | 
transfers more than one aircraft, watercraft, motor vehicle,  | 
or trailer to another aircraft, watercraft, motor vehicle  | 
retailer, or trailer retailer for the purpose of resale or  | 
(ii) a retailer of aircraft, watercraft, motor vehicles, or  | 
trailers transfers more than one aircraft, watercraft, motor  | 
vehicle, or trailer to a purchaser for use as a qualifying  | 
rolling stock as provided in Section 2-5 of this Act, then that  | 
 | 
seller may report the transfer of all aircraft, watercraft,  | 
motor vehicles, or trailers involved in that transaction to  | 
the Department on the same uniform invoice-transaction  | 
reporting return form. For purposes of this Section,  | 
"watercraft" means a Class 2, Class 3, or Class 4 watercraft as  | 
defined in Section 3-2 of the Boat Registration and Safety  | 
Act, a personal watercraft, or any boat equipped with an  | 
inboard motor. | 
 In addition, with respect to motor vehicles, watercraft,  | 
aircraft, and trailers that are required to be registered with  | 
an agency of this State, every person who is engaged in the  | 
business of leasing or renting such items and who, in  | 
connection with such business, sells any such item to a  | 
retailer for the purpose of resale is, notwithstanding any  | 
other provision of this Section to the contrary, authorized to  | 
meet the return-filing requirement of this Act by reporting  | 
the transfer of all the aircraft, watercraft, motor vehicles,  | 
or trailers transferred for resale during a month to the  | 
Department on the same uniform invoice-transaction reporting  | 
return form on or before the 20th of the month following the  | 
month in which the transfer takes place. Notwithstanding any  | 
other provision of this Act to the contrary, all returns filed  | 
under this paragraph must be filed by electronic means in the  | 
manner and form as required by the Department.  | 
 Any retailer who sells only motor vehicles, watercraft,  | 
aircraft, or trailers that are required to be registered with  | 
 | 
an agency of this State, so that all retailers' occupation tax  | 
liability is required to be reported, and is reported, on such  | 
transaction reporting returns and who is not otherwise  | 
required to file monthly or quarterly returns, need not file  | 
monthly or quarterly returns. However, those retailers shall  | 
be required to file returns on an annual basis. | 
 The transaction reporting return, in the case of motor  | 
vehicles or trailers that are required to be registered with  | 
an agency of this State, shall be the same document as the  | 
Uniform Invoice referred to in Section 5-402 of the Illinois  | 
Vehicle Code and must show the name and address of the seller;  | 
the name and address of the purchaser; the amount of the  | 
selling price including the amount allowed by the retailer for  | 
traded-in property, if any; the amount allowed by the retailer  | 
for the traded-in tangible personal property, if any, to the  | 
extent to which Section 1 of this Act allows an exemption for  | 
the value of traded-in property; the balance payable after  | 
deducting such trade-in allowance from the total selling  | 
price; the amount of tax due from the retailer with respect to  | 
such transaction; the amount of tax collected from the  | 
purchaser by the retailer on such transaction (or satisfactory  | 
evidence that such tax is not due in that particular instance,  | 
if that is claimed to be the fact); the place and date of the  | 
sale; a sufficient identification of the property sold; such  | 
other information as is required in Section 5-402 of the  | 
Illinois Vehicle Code, and such other information as the  | 
 | 
Department may reasonably require. | 
 The transaction reporting return in the case of watercraft  | 
or aircraft must show the name and address of the seller; the  | 
name and address of the purchaser; the amount of the selling  | 
price including the amount allowed by the retailer for  | 
traded-in property, if any; the amount allowed by the retailer  | 
for the traded-in tangible personal property, if any, to the  | 
extent to which Section 1 of this Act allows an exemption for  | 
the value of traded-in property; the balance payable after  | 
deducting such trade-in allowance from the total selling  | 
price; the amount of tax due from the retailer with respect to  | 
such transaction; the amount of tax collected from the  | 
purchaser by the retailer on such transaction (or satisfactory  | 
evidence that such tax is not due in that particular instance,  | 
if that is claimed to be the fact); the place and date of the  | 
sale, a sufficient identification of the property sold, and  | 
such other information as the Department may reasonably  | 
require. | 
 Such transaction reporting return shall be filed not later  | 
than 20 days after the day of delivery of the item that is  | 
being sold, but may be filed by the retailer at any time sooner  | 
than that if he chooses to do so. The transaction reporting  | 
return and tax remittance or proof of exemption from the  | 
Illinois use tax may be transmitted to the Department by way of  | 
the State agency with which, or State officer with whom the  | 
tangible personal property must be titled or registered (if  | 
 | 
titling or registration is required) if the Department and  | 
such agency or State officer determine that this procedure  | 
will expedite the processing of applications for title or  | 
registration. | 
 With each such transaction reporting return, the retailer  | 
shall remit the proper amount of tax due (or shall submit  | 
satisfactory evidence that the sale is not taxable if that is  | 
the case), to the Department or its agents, whereupon the  | 
Department shall issue, in the purchaser's name, a use tax  | 
receipt (or a certificate of exemption if the Department is  | 
satisfied that the particular sale is tax exempt) which such  | 
purchaser may submit to the agency with which, or State  | 
officer with whom, he must title or register the tangible  | 
personal property that is involved (if titling or registration  | 
is required) in support of such purchaser's application for an  | 
Illinois certificate or other evidence of title or  | 
registration to such tangible personal property. | 
 No retailer's failure or refusal to remit tax under this  | 
Act precludes a user, who has paid the proper tax to the  | 
retailer, from obtaining his certificate of title or other  | 
evidence of title or registration (if titling or registration  | 
is required) upon satisfying the Department that such user has  | 
paid the proper tax (if tax is due) to the retailer. The  | 
Department shall adopt appropriate rules to carry out the  | 
mandate of this paragraph. | 
 If the user who would otherwise pay tax to the retailer  | 
 | 
wants the transaction reporting return filed and the payment  | 
of the tax or proof of exemption made to the Department before  | 
the retailer is willing to take these actions and such user has  | 
not paid the tax to the retailer, such user may certify to the  | 
fact of such delay by the retailer and may (upon the Department  | 
being satisfied of the truth of such certification) transmit  | 
the information required by the transaction reporting return  | 
and the remittance for tax or proof of exemption directly to  | 
the Department and obtain his tax receipt or exemption  | 
determination, in which event the transaction reporting return  | 
and tax remittance (if a tax payment was required) shall be  | 
credited by the Department to the proper retailer's account  | 
with the Department, but without the 2.1% or 1.75% discount  | 
provided for in this Section being allowed. When the user pays  | 
the tax directly to the Department, he shall pay the tax in the  | 
same amount and in the same form in which it would be remitted  | 
if the tax had been remitted to the Department by the retailer. | 
 Refunds made by the seller during the preceding return  | 
period to purchasers, on account of tangible personal property  | 
returned to the seller, shall be allowed as a deduction under  | 
subdivision 5 of his monthly or quarterly return, as the case  | 
may be, in case the seller had theretofore included the  | 
receipts from the sale of such tangible personal property in a  | 
return filed by him and had paid the tax imposed by this Act  | 
with respect to such receipts. | 
 Where the seller is a corporation, the return filed on  | 
 | 
behalf of such corporation shall be signed by the president,  | 
vice-president, secretary, or treasurer or by the properly  | 
accredited agent of such corporation. | 
 Where the seller is a limited liability company, the  | 
return filed on behalf of the limited liability company shall  | 
be signed by a manager, member, or properly accredited agent  | 
of the limited liability company. | 
 Except as provided in this Section, the retailer filing  | 
the return under this Section shall, at the time of filing such  | 
return, pay to the Department the amount of tax imposed by this  | 
Act less a discount of 2.1% prior to January 1, 1990 and 1.75%  | 
on and after January 1, 1990, or $5 per calendar year,  | 
whichever is greater, which is allowed to reimburse the  | 
retailer for the expenses incurred in keeping records,  | 
preparing and filing returns, remitting the tax and supplying  | 
data to the Department on request. On and after January 1,  | 
2021, a certified service provider, as defined in the Leveling  | 
the Playing Field for Illinois Retail Act, filing the return  | 
under this Section on behalf of a remote retailer shall, at the  | 
time of such return, pay to the Department the amount of tax  | 
imposed by this Act less a discount of 1.75%. A remote retailer  | 
using a certified service provider to file a return on its  | 
behalf, as provided in the Leveling the Playing Field for  | 
Illinois Retail Act, is not eligible for the discount. When  | 
determining the discount allowed under this Section, retailers  | 
shall include the amount of tax that would have been due at the  | 
 | 
1% rate but for the 0% rate imposed under Public Act 102-700.  | 
When determining the discount allowed under this Section,  | 
retailers shall include the amount of tax that would have been  | 
due at the 6.25% rate but for the 1.25% rate imposed on sales  | 
tax holiday items under Public Act 102-700. The discount under  | 
this Section is not allowed for the 1.25% portion of taxes paid  | 
on aviation fuel that is subject to the revenue use  | 
requirements of 49 U.S.C. 47107(b) and 49 U.S.C. 47133. Any  | 
prepayment made pursuant to Section 2d of this Act shall be  | 
included in the amount on which such 2.1% or 1.75% discount is  | 
computed. In the case of retailers who report and pay the tax  | 
on a transaction by transaction basis, as provided in this  | 
Section, such discount shall be taken with each such tax  | 
remittance instead of when such retailer files his periodic  | 
return. The discount allowed under this Section is allowed  | 
only for returns that are filed in the manner required by this  | 
Act. The Department may disallow the discount for retailers  | 
whose certificate of registration is revoked at the time the  | 
return is filed, but only if the Department's decision to  | 
revoke the certificate of registration has become final.  | 
 Before October 1, 2000, if the taxpayer's average monthly  | 
tax liability to the Department under this Act, the Use Tax  | 
Act, the Service Occupation Tax Act, and the Service Use Tax  | 
Act, excluding any liability for prepaid sales tax to be  | 
remitted in accordance with Section 2d of this Act, was  | 
$10,000 or more during the preceding 4 complete calendar  | 
 | 
quarters, he shall file a return with the Department each  | 
month by the 20th day of the month next following the month  | 
during which such tax liability is incurred and shall make  | 
payments to the Department on or before the 7th, 15th, 22nd and  | 
last day of the month during which such liability is incurred.  | 
On and after October 1, 2000, if the taxpayer's average  | 
monthly tax liability to the Department under this Act, the  | 
Use Tax Act, the Service Occupation Tax Act, and the Service  | 
Use Tax Act, excluding any liability for prepaid sales tax to  | 
be remitted in accordance with Section 2d of this Act, was  | 
$20,000 or more during the preceding 4 complete calendar  | 
quarters, he shall file a return with the Department each  | 
month by the 20th day of the month next following the month  | 
during which such tax liability is incurred and shall make  | 
payment to the Department on or before the 7th, 15th, 22nd and  | 
last day of the month during which such liability is incurred.  | 
If the month during which such tax liability is incurred began  | 
prior to January 1, 1985, each payment shall be in an amount  | 
equal to 1/4 of the taxpayer's actual liability for the month  | 
or an amount set by the Department not to exceed 1/4 of the  | 
average monthly liability of the taxpayer to the Department  | 
for the preceding 4 complete calendar quarters (excluding the  | 
month of highest liability and the month of lowest liability  | 
in such 4 quarter period). If the month during which such tax  | 
liability is incurred begins on or after January 1, 1985 and  | 
prior to January 1, 1987, each payment shall be in an amount  | 
 | 
equal to 22.5% of the taxpayer's actual liability for the  | 
month or 27.5% of the taxpayer's liability for the same  | 
calendar month of the preceding year. If the month during  | 
which such tax liability is incurred begins on or after  | 
January 1, 1987 and prior to January 1, 1988, each payment  | 
shall be in an amount equal to 22.5% of the taxpayer's actual  | 
liability for the month or 26.25% of the taxpayer's liability  | 
for the same calendar month of the preceding year. If the month  | 
during which such tax liability is incurred begins on or after  | 
January 1, 1988, and prior to January 1, 1989, or begins on or  | 
after January 1, 1996, each payment shall be in an amount equal  | 
to 22.5% of the taxpayer's actual liability for the month or  | 
25% of the taxpayer's liability for the same calendar month of  | 
the preceding year. If the month during which such tax  | 
liability is incurred begins on or after January 1, 1989, and  | 
prior to January 1, 1996, each payment shall be in an amount  | 
equal to 22.5% of the taxpayer's actual liability for the  | 
month or 25% of the taxpayer's liability for the same calendar  | 
month of the preceding year or 100% of the taxpayer's actual  | 
liability for the quarter monthly reporting period. The amount  | 
of such quarter monthly payments shall be credited against the  | 
final tax liability of the taxpayer's return for that month.  | 
Before October 1, 2000, once applicable, the requirement of  | 
the making of quarter monthly payments to the Department by  | 
taxpayers having an average monthly tax liability of $10,000  | 
or more as determined in the manner provided above shall  | 
 | 
continue until such taxpayer's average monthly liability to  | 
the Department during the preceding 4 complete calendar  | 
quarters (excluding the month of highest liability and the  | 
month of lowest liability) is less than $9,000, or until such  | 
taxpayer's average monthly liability to the Department as  | 
computed for each calendar quarter of the 4 preceding complete  | 
calendar quarter period is less than $10,000. However, if a  | 
taxpayer can show the Department that a substantial change in  | 
the taxpayer's business has occurred which causes the taxpayer  | 
to anticipate that his average monthly tax liability for the  | 
reasonably foreseeable future will fall below the $10,000  | 
threshold stated above, then such taxpayer may petition the  | 
Department for a change in such taxpayer's reporting status.  | 
On and after October 1, 2000, once applicable, the requirement  | 
of the making of quarter monthly payments to the Department by  | 
taxpayers having an average monthly tax liability of $20,000  | 
or more as determined in the manner provided above shall  | 
continue until such taxpayer's average monthly liability to  | 
the Department during the preceding 4 complete calendar  | 
quarters (excluding the month of highest liability and the  | 
month of lowest liability) is less than $19,000 or until such  | 
taxpayer's average monthly liability to the Department as  | 
computed for each calendar quarter of the 4 preceding complete  | 
calendar quarter period is less than $20,000. However, if a  | 
taxpayer can show the Department that a substantial change in  | 
the taxpayer's business has occurred which causes the taxpayer  | 
 | 
to anticipate that his average monthly tax liability for the  | 
reasonably foreseeable future will fall below the $20,000  | 
threshold stated above, then such taxpayer may petition the  | 
Department for a change in such taxpayer's reporting status.  | 
The Department shall change such taxpayer's reporting status  | 
unless it finds that such change is seasonal in nature and not  | 
likely to be long term. Quarter monthly payment status shall  | 
be determined under this paragraph as if the rate reduction to  | 
0% in Public Act 102-700 on food for human consumption that is  | 
to be consumed off the premises where it is sold (other than  | 
alcoholic beverages, food consisting of or infused with adult  | 
use cannabis, soft drinks, and food that has been prepared for  | 
immediate consumption) had not occurred. For quarter monthly  | 
payments due under this paragraph on or after July 1, 2023 and  | 
through June 30, 2024, "25% of the taxpayer's liability for  | 
the same calendar month of the preceding year" shall be  | 
determined as if the rate reduction to 0% in Public Act 102-700  | 
had not occurred. Quarter monthly payment status shall be  | 
determined under this paragraph as if the rate reduction to  | 
1.25% in Public Act 102-700 on sales tax holiday items had not  | 
occurred. For quarter monthly payments due on or after July 1,  | 
2023 and through June 30, 2024, "25% of the taxpayer's  | 
liability for the same calendar month of the preceding year"  | 
shall be determined as if the rate reduction to 1.25% in Public  | 
Act 102-700 on sales tax holiday items had not occurred. If any  | 
such quarter monthly payment is not paid at the time or in the  | 
 | 
amount required by this Section, then the taxpayer shall be  | 
liable for penalties and interest on the difference between  | 
the minimum amount due as a payment and the amount of such  | 
quarter monthly payment actually and timely paid, except  | 
insofar as the taxpayer has previously made payments for that  | 
month to the Department in excess of the minimum payments  | 
previously due as provided in this Section. The Department  | 
shall make reasonable rules and regulations to govern the  | 
quarter monthly payment amount and quarter monthly payment  | 
dates for taxpayers who file on other than a calendar monthly  | 
basis. | 
 The provisions of this paragraph apply before October 1,  | 
2001. Without regard to whether a taxpayer is required to make  | 
quarter monthly payments as specified above, any taxpayer who  | 
is required by Section 2d of this Act to collect and remit  | 
prepaid taxes and has collected prepaid taxes which average in  | 
excess of $25,000 per month during the preceding 2 complete  | 
calendar quarters, shall file a return with the Department as  | 
required by Section 2f and shall make payments to the  | 
Department on or before the 7th, 15th, 22nd and last day of the  | 
month during which such liability is incurred. If the month  | 
during which such tax liability is incurred began prior to  | 
September 1, 1985 (the effective date of Public Act 84-221),  | 
each payment shall be in an amount not less than 22.5% of the  | 
taxpayer's actual liability under Section 2d. If the month  | 
during which such tax liability is incurred begins on or after  | 
 | 
January 1, 1986, each payment shall be in an amount equal to  | 
22.5% of the taxpayer's actual liability for the month or  | 
27.5% of the taxpayer's liability for the same calendar month  | 
of the preceding calendar year. If the month during which such  | 
tax liability is incurred begins on or after January 1, 1987,  | 
each payment shall be in an amount equal to 22.5% of the  | 
taxpayer's actual liability for the month or 26.25% of the  | 
taxpayer's liability for the same calendar month of the  | 
preceding year. The amount of such quarter monthly payments  | 
shall be credited against the final tax liability of the  | 
taxpayer's return for that month filed under this Section or  | 
Section 2f, as the case may be. Once applicable, the  | 
requirement of the making of quarter monthly payments to the  | 
Department pursuant to this paragraph shall continue until  | 
such taxpayer's average monthly prepaid tax collections during  | 
the preceding 2 complete calendar quarters is $25,000 or less.  | 
If any such quarter monthly payment is not paid at the time or  | 
in the amount required, the taxpayer shall be liable for  | 
penalties and interest on such difference, except insofar as  | 
the taxpayer has previously made payments for that month in  | 
excess of the minimum payments previously due. | 
 The provisions of this paragraph apply on and after  | 
October 1, 2001. Without regard to whether a taxpayer is  | 
required to make quarter monthly payments as specified above,  | 
any taxpayer who is required by Section 2d of this Act to  | 
collect and remit prepaid taxes and has collected prepaid  | 
 | 
taxes that average in excess of $20,000 per month during the  | 
preceding 4 complete calendar quarters shall file a return  | 
with the Department as required by Section 2f and shall make  | 
payments to the Department on or before the 7th, 15th, 22nd,  | 
and last day of the month during which the liability is  | 
incurred. Each payment shall be in an amount equal to 22.5% of  | 
the taxpayer's actual liability for the month or 25% of the  | 
taxpayer's liability for the same calendar month of the  | 
preceding year. The amount of the quarter monthly payments  | 
shall be credited against the final tax liability of the  | 
taxpayer's return for that month filed under this Section or  | 
Section 2f, as the case may be. Once applicable, the  | 
requirement of the making of quarter monthly payments to the  | 
Department pursuant to this paragraph shall continue until the  | 
taxpayer's average monthly prepaid tax collections during the  | 
preceding 4 complete calendar quarters (excluding the month of  | 
highest liability and the month of lowest liability) is less  | 
than $19,000 or until such taxpayer's average monthly  | 
liability to the Department as computed for each calendar  | 
quarter of the 4 preceding complete calendar quarters is less  | 
than $20,000. If any such quarter monthly payment is not paid  | 
at the time or in the amount required, the taxpayer shall be  | 
liable for penalties and interest on such difference, except  | 
insofar as the taxpayer has previously made payments for that  | 
month in excess of the minimum payments previously due. | 
 If any payment provided for in this Section exceeds the  | 
 | 
taxpayer's liabilities under this Act, the Use Tax Act, the  | 
Service Occupation Tax Act, and the Service Use Tax Act, as  | 
shown on an original monthly return, the Department shall, if  | 
requested by the taxpayer, issue to the taxpayer a credit  | 
memorandum no later than 30 days after the date of payment. The  | 
credit evidenced by such credit memorandum may be assigned by  | 
the taxpayer to a similar taxpayer under this Act, the Use Tax  | 
Act, the Service Occupation Tax Act, or the Service Use Tax  | 
Act, in accordance with reasonable rules and regulations to be  | 
prescribed by the Department. If no such request is made, the  | 
taxpayer may credit such excess payment against tax liability  | 
subsequently to be remitted to the Department under this Act,  | 
the Use Tax Act, the Service Occupation Tax Act, or the Service  | 
Use Tax Act, in accordance with reasonable rules and  | 
regulations prescribed by the Department. If the Department  | 
subsequently determined that all or any part of the credit  | 
taken was not actually due to the taxpayer, the taxpayer's  | 
2.1% and 1.75% vendor's discount shall be reduced by 2.1% or  | 
1.75% of the difference between the credit taken and that  | 
actually due, and that taxpayer shall be liable for penalties  | 
and interest on such difference. | 
 If a retailer of motor fuel is entitled to a credit under  | 
Section 2d of this Act which exceeds the taxpayer's liability  | 
to the Department under this Act for the month for which the  | 
taxpayer is filing a return, the Department shall issue the  | 
taxpayer a credit memorandum for the excess. | 
 | 
 Beginning January 1, 1990, each month the Department shall  | 
pay into the Local Government Tax Fund, a special fund in the  | 
State treasury which is hereby created, the net revenue  | 
realized for the preceding month from the 1% tax imposed under  | 
this Act. | 
 Beginning January 1, 1990, each month the Department shall  | 
pay into the County and Mass Transit District Fund, a special  | 
fund in the State treasury which is hereby created, 4% of the  | 
net revenue realized for the preceding month from the 6.25%  | 
general rate other than aviation fuel sold on or after  | 
December 1, 2019. This exception for aviation fuel only  | 
applies for so long as the revenue use requirements of 49  | 
U.S.C. 47107(b) and 49 U.S.C. 47133 are binding on the State. | 
 Beginning August 1, 2000, each month the Department shall  | 
pay into the County and Mass Transit District Fund 20% of the  | 
net revenue realized for the preceding month from the 1.25%  | 
rate on the selling price of motor fuel and gasohol. If, in any  | 
month, the tax on sales tax holiday items, as defined in  | 
Section 2-8, is imposed at the rate of 1.25%, then the  | 
Department shall pay 20% of the net revenue realized for that  | 
month from the 1.25% rate on the selling price of sales tax  | 
holiday items into the County and Mass Transit District Fund. | 
 Beginning January 1, 1990, each month the Department shall  | 
pay into the Local Government Tax Fund 16% of the net revenue  | 
realized for the preceding month from the 6.25% general rate  | 
on the selling price of tangible personal property other than  | 
 | 
aviation fuel sold on or after December 1, 2019. This  | 
exception for aviation fuel only applies for so long as the  | 
revenue use requirements of 49 U.S.C. 47107(b) and 49 U.S.C.  | 
47133 are binding on the State. | 
 For aviation fuel sold on or after December 1, 2019, each  | 
month the Department shall pay into the State Aviation Program  | 
Fund 20% of the net revenue realized for the preceding month  | 
from the 6.25% general rate on the selling price of aviation  | 
fuel, less an amount estimated by the Department to be  | 
required for refunds of the 20% portion of the tax on aviation  | 
fuel under this Act, which amount shall be deposited into the  | 
Aviation Fuel Sales Tax Refund Fund. The Department shall only  | 
pay moneys into the State Aviation Program Fund and the  | 
Aviation Fuel Sales Tax Refund Fund under this Act for so long  | 
as the revenue use requirements of 49 U.S.C. 47107(b) and 49  | 
U.S.C. 47133 are binding on the State.  | 
 Beginning August 1, 2000, each month the Department shall  | 
pay into the Local Government Tax Fund 80% of the net revenue  | 
realized for the preceding month from the 1.25% rate on the  | 
selling price of motor fuel and gasohol. If, in any month, the  | 
tax on sales tax holiday items, as defined in Section 2-8, is  | 
imposed at the rate of 1.25%, then the Department shall pay 80%  | 
of the net revenue realized for that month from the 1.25% rate  | 
on the selling price of sales tax holiday items into the Local  | 
Government Tax Fund. | 
 Beginning October 1, 2009, each month the Department shall  | 
 | 
pay into the Capital Projects Fund an amount that is equal to  | 
an amount estimated by the Department to represent 80% of the  | 
net revenue realized for the preceding month from the sale of  | 
candy, grooming and hygiene products, and soft drinks that had  | 
been taxed at a rate of 1% prior to September 1, 2009 but that  | 
are now taxed at 6.25%.  | 
 Beginning July 1, 2011, each month the Department shall  | 
pay into the Clean Air Act Permit Fund 80% of the net revenue  | 
realized for the preceding month from the 6.25% general rate  | 
on the selling price of sorbents used in Illinois in the  | 
process of sorbent injection as used to comply with the  | 
Environmental Protection Act or the federal Clean Air Act, but  | 
the total payment into the Clean Air Act Permit Fund under this  | 
Act and the Use Tax Act shall not exceed $2,000,000 in any  | 
fiscal year.  | 
 Beginning July 1, 2013, each month the Department shall  | 
pay into the Underground Storage Tank Fund from the proceeds  | 
collected under this Act, the Use Tax Act, the Service Use Tax  | 
Act, and the Service Occupation Tax Act an amount equal to the  | 
average monthly deficit in the Underground Storage Tank Fund  | 
during the prior year, as certified annually by the Illinois  | 
Environmental Protection Agency, but the total payment into  | 
the Underground Storage Tank Fund under this Act, the Use Tax  | 
Act, the Service Use Tax Act, and the Service Occupation Tax  | 
Act shall not exceed $18,000,000 in any State fiscal year. As  | 
used in this paragraph, the "average monthly deficit" shall be  | 
 | 
equal to the difference between the average monthly claims for  | 
payment by the fund and the average monthly revenues deposited  | 
into the fund, excluding payments made pursuant to this  | 
paragraph.  | 
 Beginning July 1, 2015, of the remainder of the moneys  | 
received by the Department under the Use Tax Act, the Service  | 
Use Tax Act, the Service Occupation Tax Act, and this Act, each  | 
month the Department shall deposit $500,000 into the State  | 
Crime Laboratory Fund.  | 
 Of the remainder of the moneys received by the Department  | 
pursuant to this Act, (a) 1.75% thereof shall be paid into the  | 
Build Illinois Fund and (b) prior to July 1, 1989, 2.2% and on  | 
and after July 1, 1989, 3.8% thereof shall be paid into the  | 
Build Illinois Fund; provided, however, that if in any fiscal  | 
year the sum of (1) the aggregate of 2.2% or 3.8%, as the case  | 
may be, of the moneys received by the Department and required  | 
to be paid into the Build Illinois Fund pursuant to this Act,  | 
Section 9 of the Use Tax Act, Section 9 of the Service Use Tax  | 
Act, and Section 9 of the Service Occupation Tax Act, such Acts  | 
being hereinafter called the "Tax Acts" and such aggregate of  | 
2.2% or 3.8%, as the case may be, of moneys being hereinafter  | 
called the "Tax Act Amount", and (2) the amount transferred to  | 
the Build Illinois Fund from the State and Local Sales Tax  | 
Reform Fund shall be less than the Annual Specified Amount (as  | 
hereinafter defined), an amount equal to the difference shall  | 
be immediately paid into the Build Illinois Fund from other  | 
 | 
moneys received by the Department pursuant to the Tax Acts;  | 
the "Annual Specified Amount" means the amounts specified  | 
below for fiscal years 1986 through 1993: | 
|
 Fiscal Year | Annual Specified Amount |  |
 1986 | $54,800,000 |  |
 1987 | $76,650,000 |  |
 1988 | $80,480,000 |  |
 1989 | $88,510,000 |  |
 1990 | $115,330,000 |  |
 1991 | $145,470,000 |  |
 1992 | $182,730,000 |  |
 1993 | $206,520,000; |  
  | 
and means the Certified Annual Debt Service Requirement (as  | 
defined in Section 13 of the Build Illinois Bond Act) or the  | 
Tax Act Amount, whichever is greater, for fiscal year 1994 and  | 
each fiscal year thereafter; and further provided, that if on  | 
the last business day of any month the sum of (1) the Tax Act  | 
Amount required to be deposited into the Build Illinois Bond  | 
Account in the Build Illinois Fund during such month and (2)  | 
the amount transferred to the Build Illinois Fund from the  | 
State and Local Sales Tax Reform Fund shall have been less than  | 
1/12 of the Annual Specified Amount, an amount equal to the  | 
difference shall be immediately paid into the Build Illinois  | 
Fund from other moneys received by the Department pursuant to  | 
the Tax Acts; and, further provided, that in no event shall the  | 
payments required under the preceding proviso result in  | 
 | 
aggregate payments into the Build Illinois Fund pursuant to  | 
this clause (b) for any fiscal year in excess of the greater of  | 
(i) the Tax Act Amount or (ii) the Annual Specified Amount for  | 
such fiscal year. The amounts payable into the Build Illinois  | 
Fund under clause (b) of the first sentence in this paragraph  | 
shall be payable only until such time as the aggregate amount  | 
on deposit under each trust indenture securing Bonds issued  | 
and outstanding pursuant to the Build Illinois Bond Act is  | 
sufficient, taking into account any future investment income,  | 
to fully provide, in accordance with such indenture, for the  | 
defeasance of or the payment of the principal of, premium, if  | 
any, and interest on the Bonds secured by such indenture and on  | 
any Bonds expected to be issued thereafter and all fees and  | 
costs payable with respect thereto, all as certified by the  | 
Director of the Bureau of the Budget (now Governor's Office of  | 
Management and Budget). If on the last business day of any  | 
month in which Bonds are outstanding pursuant to the Build  | 
Illinois Bond Act, the aggregate of moneys deposited in the  | 
Build Illinois Bond Account in the Build Illinois Fund in such  | 
month shall be less than the amount required to be transferred  | 
in such month from the Build Illinois Bond Account to the Build  | 
Illinois Bond Retirement and Interest Fund pursuant to Section  | 
13 of the Build Illinois Bond Act, an amount equal to such  | 
deficiency shall be immediately paid from other moneys  | 
received by the Department pursuant to the Tax Acts to the  | 
Build Illinois Fund; provided, however, that any amounts paid  | 
 | 
to the Build Illinois Fund in any fiscal year pursuant to this  | 
sentence shall be deemed to constitute payments pursuant to  | 
clause (b) of the first sentence of this paragraph and shall  | 
reduce the amount otherwise payable for such fiscal year  | 
pursuant to that clause (b). The moneys received by the  | 
Department pursuant to this Act and required to be deposited  | 
into the Build Illinois Fund are subject to the pledge, claim  | 
and charge set forth in Section 12 of the Build Illinois Bond  | 
Act. | 
 Subject to payment of amounts into the Build Illinois Fund  | 
as provided in the preceding paragraph or in any amendment  | 
thereto hereafter enacted, the following specified monthly  | 
installment of the amount requested in the certificate of the  | 
Chairman of the Metropolitan Pier and Exposition Authority  | 
provided under Section 8.25f of the State Finance Act, but not  | 
in excess of sums designated as "Total Deposit", shall be  | 
deposited in the aggregate from collections under Section 9 of  | 
the Use Tax Act, Section 9 of the Service Use Tax Act, Section  | 
9 of the Service Occupation Tax Act, and Section 3 of the  | 
Retailers' Occupation Tax Act into the McCormick Place  | 
Expansion Project Fund in the specified fiscal years. | 
|
 Fiscal Year |  | Total Deposit |  |
 1993 |  |          $0 |  |
 1994 |  |  53,000,000 |  |
 1995 |  |  58,000,000 |  |
 1996 |  |  61,000,000 |  |
 
  | 
 | 
1997 |  |  64,000,000 |  |
 1998 |  |  68,000,000 |  |
 1999 |  |  71,000,000 |  |
 2000 |  |  75,000,000 |  |
 2001 |  |  80,000,000 |  |
 2002 |  |  93,000,000 |  |
 2003 |  |  99,000,000 |  |
 2004 |  | 103,000,000 |  |
 2005 |  | 108,000,000 |  |
 2006 |  | 113,000,000 |  |
 2007 |  | 119,000,000 |  |
 2008 |  | 126,000,000 |  |
 2009 |  | 132,000,000 |  |
 2010 |  | 139,000,000 |  |
 2011 |  | 146,000,000 |  |
 2012 |  | 153,000,000 |  |
 2013 |  | 161,000,000 |  |
 2014 |  | 170,000,000 |  |
 2015 |  | 179,000,000 |  |
 2016 |  | 189,000,000 |  |
 2017 |  | 199,000,000 |  |
 2018 |  | 210,000,000 |  |
 2019 |  | 221,000,000 |  |
 2020 |  | 233,000,000 |  |
 2021 |  | 300,000,000 |  |
 2022 |  | 300,000,000 |  |
 
  | 
 | 
2023 |  | 300,000,000 |  |
 2024  |  | 300,000,000 |  |
 2025  |  | 300,000,000 |  |
 2026  |  | 300,000,000 |  |
 2027  |  | 375,000,000 |  |
 2028  |  | 375,000,000 |  |
 2029  |  | 375,000,000 |  |
 2030  |  | 375,000,000 |  |
 2031  |  | 375,000,000 |  |
 2032  |  | 375,000,000 |  |
 2033 |  | 375,000,000 |  |
 2034 |  | 375,000,000 |  |
 2035 |  | 375,000,000 |  |
 2036 |  | 450,000,000 |  |
 and  |  |  |   |
 each fiscal year |  |  |   |
 thereafter that bonds |  |  |   |
 are outstanding under |  |  |   |
 Section 13.2 of the |  |  |   |
 Metropolitan Pier and |  |  |   |
 Exposition Authority Act, |  |  |   |
 but not after fiscal year 2060. |  |  |  
  | 
 Beginning July 20, 1993 and in each month of each fiscal  | 
year thereafter, one-eighth of the amount requested in the  | 
certificate of the Chairman of the Metropolitan Pier and  | 
Exposition Authority for that fiscal year, less the amount  | 
 | 
deposited into the McCormick Place Expansion Project Fund by  | 
the State Treasurer in the respective month under subsection  | 
(g) of Section 13 of the Metropolitan Pier and Exposition  | 
Authority Act, plus cumulative deficiencies in the deposits  | 
required under this Section for previous months and years,  | 
shall be deposited into the McCormick Place Expansion Project  | 
Fund, until the full amount requested for the fiscal year, but  | 
not in excess of the amount specified above as "Total  | 
Deposit", has been deposited. | 
 Subject to payment of amounts into the Capital Projects  | 
Fund, the Clean Air Act Permit Fund, the Build Illinois Fund,  | 
and the McCormick Place Expansion Project Fund pursuant to the  | 
preceding paragraphs or in any amendments thereto hereafter  | 
enacted, for aviation fuel sold on or after December 1, 2019,  | 
the Department shall each month deposit into the Aviation Fuel  | 
Sales Tax Refund Fund an amount estimated by the Department to  | 
be required for refunds of the 80% portion of the tax on  | 
aviation fuel under this Act. The Department shall only  | 
deposit moneys into the Aviation Fuel Sales Tax Refund Fund  | 
under this paragraph for so long as the revenue use  | 
requirements of 49 U.S.C. 47107(b) and 49 U.S.C. 47133 are  | 
binding on the State.  | 
 Subject to payment of amounts into the Build Illinois Fund  | 
and the McCormick Place Expansion Project Fund pursuant to the  | 
preceding paragraphs or in any amendments thereto hereafter  | 
enacted, beginning July 1, 1993 and ending on September 30,  | 
 | 
2013, the Department shall each month pay into the Illinois  | 
Tax Increment Fund 0.27% of 80% of the net revenue realized for  | 
the preceding month from the 6.25% general rate on the selling  | 
price of tangible personal property. | 
 Subject to payment of amounts into the Build Illinois  | 
Fund, the McCormick Place Expansion Project Fund, and the  | 
Illinois Tax Increment Fund pursuant to the preceding  | 
paragraphs or in any amendments to this Section hereafter  | 
enacted, beginning on the first day of the first calendar  | 
month to occur on or after August 26, 2014 (the effective date  | 
of Public Act 98-1098), each month, from the collections made  | 
under Section 9 of the Use Tax Act, Section 9 of the Service  | 
Use Tax Act, Section 9 of the Service Occupation Tax Act, and  | 
Section 3 of the Retailers' Occupation Tax Act, the Department  | 
shall pay into the Tax Compliance and Administration Fund, to  | 
be used, subject to appropriation, to fund additional auditors  | 
and compliance personnel at the Department of Revenue, an  | 
amount equal to 1/12 of 5% of 80% of the cash receipts  | 
collected during the preceding fiscal year by the Audit Bureau  | 
of the Department under the Use Tax Act, the Service Use Tax  | 
Act, the Service Occupation Tax Act, the Retailers' Occupation  | 
Tax Act, and associated local occupation and use taxes  | 
administered by the Department.  | 
 Subject to payments of amounts into the Build Illinois  | 
Fund, the McCormick Place Expansion Project Fund, the Illinois  | 
Tax Increment Fund, the Energy Infrastructure Fund, and the  | 
 | 
Tax Compliance and Administration Fund as provided in this  | 
Section, beginning on July 1, 2018 the Department shall pay  | 
each month into the Downstate Public Transportation Fund the  | 
moneys required to be so paid under Section 2-3 of the  | 
Downstate Public Transportation Act. | 
 Subject to successful execution and delivery of a  | 
public-private agreement between the public agency and private  | 
entity and completion of the civic build, beginning on July 1,  | 
2023, of the remainder of the moneys received by the  | 
Department under the Use Tax Act, the Service Use Tax Act, the  | 
Service Occupation Tax Act, and this Act, the Department shall  | 
deposit the following specified deposits in the aggregate from  | 
collections under the Use Tax Act, the Service Use Tax Act, the  | 
Service Occupation Tax Act, and the Retailers' Occupation Tax  | 
Act, as required under Section 8.25g of the State Finance Act  | 
for distribution consistent with the Public-Private  | 
Partnership for Civic and Transit Infrastructure Project Act.  | 
The moneys received by the Department pursuant to this Act and  | 
required to be deposited into the Civic and Transit  | 
Infrastructure Fund are subject to the pledge, claim and  | 
charge set forth in Section 25-55 of the Public-Private  | 
Partnership for Civic and Transit Infrastructure Project Act.  | 
As used in this paragraph, "civic build", "private entity",  | 
"public-private agreement", and "public agency" have the  | 
meanings provided in Section 25-10 of the Public-Private  | 
Partnership for Civic and Transit Infrastructure Project Act.  | 
 | 
  Fiscal Year.............................Total Deposit | 
  2024.....................................$200,000,000 | 
  2025....................................$206,000,000  | 
  2026....................................$212,200,000  | 
  2027....................................$218,500,000  | 
  2028....................................$225,100,000  | 
  2029....................................$288,700,000  | 
  2030....................................$298,900,000  | 
  2031....................................$309,300,000  | 
  2032....................................$320,100,000  | 
  2033....................................$331,200,000  | 
  2034....................................$341,200,000  | 
  2035....................................$351,400,000  | 
  2036....................................$361,900,000  | 
  2037....................................$372,800,000  | 
  2038....................................$384,000,000  | 
  2039....................................$395,500,000  | 
  2040....................................$407,400,000  | 
  2041....................................$419,600,000  | 
  2042....................................$432,200,000  | 
  2043....................................$445,100,000  | 
 Beginning July 1, 2021 and until July 1, 2022, subject to  | 
the payment of amounts into the County and Mass Transit  | 
District Fund, the Local Government Tax Fund, the Build  | 
Illinois Fund, the McCormick Place Expansion Project Fund, the  | 
Illinois Tax Increment Fund, and the Tax Compliance and  | 
 | 
Administration Fund as provided in this Section, the  | 
Department shall pay each month into the Road Fund the amount  | 
estimated to represent 16% of the net revenue realized from  | 
the taxes imposed on motor fuel and gasohol. Beginning July 1,  | 
2022 and until July 1, 2023, subject to the payment of amounts  | 
into the County and Mass Transit District Fund, the Local  | 
Government Tax Fund, the Build Illinois Fund, the McCormick  | 
Place Expansion Project Fund, the Illinois Tax Increment Fund,  | 
and the Tax Compliance and Administration Fund as provided in  | 
this Section, the Department shall pay each month into the  | 
Road Fund the amount estimated to represent 32% of the net  | 
revenue realized from the taxes imposed on motor fuel and  | 
gasohol. Beginning July 1, 2023 and until July 1, 2024,  | 
subject to the payment of amounts into the County and Mass  | 
Transit District Fund, the Local Government Tax Fund, the  | 
Build Illinois Fund, the McCormick Place Expansion Project  | 
Fund, the Illinois Tax Increment Fund, and the Tax Compliance  | 
and Administration Fund as provided in this Section, the  | 
Department shall pay each month into the Road Fund the amount  | 
estimated to represent 48% of the net revenue realized from  | 
the taxes imposed on motor fuel and gasohol. Beginning July 1,  | 
2024 and until July 1, 2025, subject to the payment of amounts  | 
into the County and Mass Transit District Fund, the Local  | 
Government Tax Fund, the Build Illinois Fund, the McCormick  | 
Place Expansion Project Fund, the Illinois Tax Increment Fund,  | 
and the Tax Compliance and Administration Fund as provided in  | 
 | 
this Section, the Department shall pay each month into the  | 
Road Fund the amount estimated to represent 64% of the net  | 
revenue realized from the taxes imposed on motor fuel and  | 
gasohol. Beginning on July 1, 2025, subject to the payment of  | 
amounts into the County and Mass Transit District Fund, the  | 
Local Government Tax Fund, the Build Illinois Fund, the  | 
McCormick Place Expansion Project Fund, the Illinois Tax  | 
Increment Fund, and the Tax Compliance and Administration Fund  | 
as provided in this Section, the Department shall pay each  | 
month into the Road Fund the amount estimated to represent 80%  | 
of the net revenue realized from the taxes imposed on motor  | 
fuel and gasohol. As used in this paragraph "motor fuel" has  | 
the meaning given to that term in Section 1.1 of the Motor Fuel  | 
Tax Law, and "gasohol" has the meaning given to that term in  | 
Section 3-40 of the Use Tax Act. | 
 Of the remainder of the moneys received by the Department  | 
pursuant to this Act, 75% thereof shall be paid into the State  | 
treasury and 25% shall be reserved in a special account and  | 
used only for the transfer to the Common School Fund as part of  | 
the monthly transfer from the General Revenue Fund in  | 
accordance with Section 8a of the State Finance Act. | 
 The Department may, upon separate written notice to a  | 
taxpayer, require the taxpayer to prepare and file with the  | 
Department on a form prescribed by the Department within not  | 
less than 60 days after receipt of the notice an annual  | 
information return for the tax year specified in the notice.  | 
 | 
Such annual return to the Department shall include a statement  | 
of gross receipts as shown by the retailer's last federal  | 
Federal income tax return. If the total receipts of the  | 
business as reported in the federal Federal income tax return  | 
do not agree with the gross receipts reported to the  | 
Department of Revenue for the same period, the retailer shall  | 
attach to his annual return a schedule showing a  | 
reconciliation of the 2 amounts and the reasons for the  | 
difference. The retailer's annual return to the Department  | 
shall also disclose the cost of goods sold by the retailer  | 
during the year covered by such return, opening and closing  | 
inventories of such goods for such year, costs of goods used  | 
from stock or taken from stock and given away by the retailer  | 
during such year, payroll information of the retailer's  | 
business during such year and any additional reasonable  | 
information which the Department deems would be helpful in  | 
determining the accuracy of the monthly, quarterly, or annual  | 
returns filed by such retailer as provided for in this  | 
Section. | 
 If the annual information return required by this Section  | 
is not filed when and as required, the taxpayer shall be liable  | 
as follows: | 
  (i) Until January 1, 1994, the taxpayer shall be  | 
 liable for a penalty equal to 1/6 of 1% of the tax due from  | 
 such taxpayer under this Act during the period to be  | 
 covered by the annual return for each month or fraction of  | 
 | 
 a month until such return is filed as required, the  | 
 penalty to be assessed and collected in the same manner as  | 
 any other penalty provided for in this Act. | 
  (ii) On and after January 1, 1994, the taxpayer shall  | 
 be liable for a penalty as described in Section 3-4 of the  | 
 Uniform Penalty and Interest Act. | 
 The chief executive officer, proprietor, owner, or highest  | 
ranking manager shall sign the annual return to certify the  | 
accuracy of the information contained therein. Any person who  | 
willfully signs the annual return containing false or  | 
inaccurate information shall be guilty of perjury and punished  | 
accordingly. The annual return form prescribed by the  | 
Department shall include a warning that the person signing the  | 
return may be liable for perjury. | 
 The provisions of this Section concerning the filing of an  | 
annual information return do not apply to a retailer who is not  | 
required to file an income tax return with the United States  | 
Government. | 
 As soon as possible after the first day of each month, upon  | 
certification of the Department of Revenue, the Comptroller  | 
shall order transferred and the Treasurer shall transfer from  | 
the General Revenue Fund to the Motor Fuel Tax Fund an amount  | 
equal to 1.7% of 80% of the net revenue realized under this Act  | 
for the second preceding month. Beginning April 1, 2000, this  | 
transfer is no longer required and shall not be made. | 
 Net revenue realized for a month shall be the revenue  | 
 | 
collected by the State pursuant to this Act, less the amount  | 
paid out during that month as refunds to taxpayers for  | 
overpayment of liability. | 
 For greater simplicity of administration, manufacturers,  | 
importers and wholesalers whose products are sold at retail in  | 
Illinois by numerous retailers, and who wish to do so, may  | 
assume the responsibility for accounting and paying to the  | 
Department all tax accruing under this Act with respect to  | 
such sales, if the retailers who are affected do not make  | 
written objection to the Department to this arrangement. | 
 Any person who promotes, organizes, or provides retail  | 
selling space for concessionaires or other types of sellers at  | 
the Illinois State Fair, DuQuoin State Fair, county fairs,  | 
local fairs, art shows, flea markets, and similar exhibitions  | 
or events, including any transient merchant as defined by  | 
Section 2 of the Transient Merchant Act of 1987, is required to  | 
file a report with the Department providing the name of the  | 
merchant's business, the name of the person or persons engaged  | 
in merchant's business, the permanent address and Illinois  | 
Retailers Occupation Tax Registration Number of the merchant,  | 
the dates and location of the event, and other reasonable  | 
information that the Department may require. The report must  | 
be filed not later than the 20th day of the month next  | 
following the month during which the event with retail sales  | 
was held. Any person who fails to file a report required by  | 
this Section commits a business offense and is subject to a  | 
 | 
fine not to exceed $250. | 
 Any person engaged in the business of selling tangible  | 
personal property at retail as a concessionaire or other type  | 
of seller at the Illinois State Fair, county fairs, art shows,  | 
flea markets, and similar exhibitions or events, or any  | 
transient merchants, as defined by Section 2 of the Transient  | 
Merchant Act of 1987, may be required to make a daily report of  | 
the amount of such sales to the Department and to make a daily  | 
payment of the full amount of tax due. The Department shall  | 
impose this requirement when it finds that there is a  | 
significant risk of loss of revenue to the State at such an  | 
exhibition or event. Such a finding shall be based on evidence  | 
that a substantial number of concessionaires or other sellers  | 
who are not residents of Illinois will be engaging in the  | 
business of selling tangible personal property at retail at  | 
the exhibition or event, or other evidence of a significant  | 
risk of loss of revenue to the State. The Department shall  | 
notify concessionaires and other sellers affected by the  | 
imposition of this requirement. In the absence of notification  | 
by the Department, the concessionaires and other sellers shall  | 
file their returns as otherwise required in this Section. | 
(Source: P.A. 102-634, eff. 8-27-21; 102-700, Article 60,  | 
Section 60-30, eff. 4-19-22; 102-700, Article 65, Section  | 
65-10, eff. 4-19-22; 102-813, eff. 5-13-22; 102-1019, eff.  | 
1-1-23; 103-9, eff. 6-7-23; 103-154, eff. 6-30-23; 103-363,  | 
eff. 7-28-23; revised 9-27-23.)
 | 
 | 
 Section 210. The Cigarette Tax Act is amended by changing  | 
Section 2 as follows:
 | 
 (35 ILCS 130/2) (from Ch. 120, par. 453.2) | 
 Sec. 2. Tax imposed; rate; collection, payment, and  | 
distribution; discount. | 
 (a) Beginning on July 1, 2019, in place of the aggregate  | 
tax rate of 99 mills previously imposed by this Act, a tax is  | 
imposed upon any person engaged in business as a retailer of  | 
cigarettes at the rate of 149 mills per cigarette sold or  | 
otherwise disposed of in the course of such business in this  | 
State. | 
 (b) The payment of such taxes shall be evidenced by a stamp  | 
affixed to each original package of cigarettes, or an  | 
authorized substitute for such stamp imprinted on each  | 
original package of such cigarettes underneath the sealed  | 
transparent outside wrapper of such original package, as  | 
hereinafter provided. However, such taxes are not imposed upon  | 
any activity in such business in interstate commerce or  | 
otherwise, which activity may not under the Constitution and  | 
statutes of the United States be made the subject of taxation  | 
by this State. | 
 Out of the 149 mills per cigarette tax imposed by  | 
subsection (a), until July 1, 2023, the revenues received from  | 
4 mills shall be paid into the Common School Fund each month,  | 
 | 
not to exceed $9,000,000 per month. Out of the 149 mills per  | 
cigarette tax imposed by subsection (a), until July 1, 2023,  | 
all of the revenues received from 7 mills shall be paid into  | 
the Common School Fund each month. Out of the 149 mills per  | 
cigarette tax imposed by subsection (a), until July 1, 2023,  | 
50 mills per cigarette each month shall be paid into the  | 
Healthcare Provider Relief Fund.  | 
 Beginning on July 1, 2006 and until July 1, 2023, all of  | 
the moneys received by the Department of Revenue pursuant to  | 
this Act and the Cigarette Use Tax Act, other than the moneys  | 
that are dedicated to the Common School Fund and, beginning on  | 
June 14, 2012 (the effective date of Public Act 97-688) this  | 
amendatory Act of the 97th General Assembly, other than the  | 
moneys from the additional taxes imposed by Public Act 97-688  | 
this amendatory Act of the 97th General Assembly that must be  | 
paid each month into the Healthcare Provider Relief Fund, and  | 
other than the moneys from the additional taxes imposed by  | 
Public Act 101-31 this amendatory Act of the 101st General  | 
Assembly that must be paid each month under subsection (c),  | 
shall be distributed each month as follows: first, there shall  | 
be paid into the General Revenue Fund an amount that, when  | 
added to the amount paid into the Common School Fund for that  | 
month, equals $29,200,000; then, from the moneys remaining, if  | 
any amounts required to be paid into the General Revenue Fund  | 
in previous months remain unpaid, those amounts shall be paid  | 
into the General Revenue Fund; then from the moneys remaining,  | 
 | 
$5,000,000 per month shall be paid into the School  | 
Infrastructure Fund; then, if any amounts required to be paid  | 
into the School Infrastructure Fund in previous months remain  | 
unpaid, those amounts shall be paid into the School  | 
Infrastructure Fund; then the moneys remaining, if any, shall  | 
be paid into the Long-Term Care Provider Fund. Any amounts  | 
required to be paid into the General Revenue Fund, the School  | 
Infrastructure Fund, the Long-Term Care Provider Fund, the  | 
Common School Fund, the Capital Projects Fund, or the  | 
Healthcare Provider Relief Fund under this subsection that  | 
remain unpaid as of July 1, 2023 shall be deemed satisfied on  | 
that date, eliminating any deficiency accrued through that  | 
date.  | 
 (c) Beginning on July 1, 2019 and until July 1, 2023, all  | 
of the moneys from the additional taxes imposed by Public Act  | 
101-31, except for moneys received from the tax on electronic  | 
cigarettes, received by the Department of Revenue pursuant to  | 
this Act, the Cigarette Use Tax Act, and the Tobacco Products  | 
Tax Act of 1995 shall be distributed each month into the  | 
Capital Projects Fund.  | 
 (c-5) Beginning on July 1, 2023, all of the moneys  | 
received by the Department of Revenue pursuant to (i) this  | 
Act, (ii) the Cigarette Use Tax Act, and (iii) the tax imposed  | 
on little cigars under Section 10-10 of the Tobacco Products  | 
Tax Act of 1995 shall be paid each month as follows:  | 
  (1) 7% into the Common School Fund;  | 
 | 
  (2) 34% into the Healthcare Provider Relief Fund;  | 
  (3) 34% into the Capital Projects Fund; and  | 
  (4) 25% into the General Revenue Fund.  | 
 (d) Until July 1, 2023, except for moneys received from  | 
the additional taxes imposed by Public Act 101-31, moneys  | 
collected from the tax imposed on little cigars under Section  | 
10-10 of the Tobacco Products Tax Act of 1995 shall be included  | 
with the moneys collected under the Cigarette Tax Act and the  | 
Cigarette Use Tax Act when making distributions to the Common  | 
School Fund, the Healthcare Provider Relief Fund, the General  | 
Revenue Fund, the School Infrastructure Fund, and the  | 
Long-Term Care Provider Fund under this Section. Any amounts,  | 
including moneys collected from the tax imposed on little  | 
cigars under Section 10-10 of the Tobacco Products Tax Act of  | 
1995, that are required to be paid into the General Revenue  | 
Fund, the School Infrastructure Fund, the Long-Term Care  | 
Provider Fund, the Common School Fund, the Capital Projects  | 
Fund, or the Healthcare Provider Relief Fund under subsection  | 
(b) that remain unpaid as of July 1, 2023 shall be deemed  | 
satisfied on that date, eliminating any deficiency accrued  | 
through that date. Beginning on July 1, 2023, moneys collected  | 
from the tax imposed on little cigars under Section 10-10 of  | 
the Tobacco Products Tax Act of 1995 shall be included with the  | 
moneys collected under the Cigarette Tax Act and the Cigarette  | 
Use Tax Act when making distributions under subsection  | 
subsections (c-5). | 
 | 
 (e) If the tax imposed herein terminates or has  | 
terminated, distributors who have bought stamps while such tax  | 
was in effect and who therefore paid such tax, but who can  | 
show, to the Department's satisfaction, that they sold the  | 
cigarettes to which they affixed such stamps after such tax  | 
had terminated and did not recover the tax or its equivalent  | 
from purchasers, shall be allowed by the Department to take  | 
credit for such absorbed tax against subsequent tax stamp  | 
purchases from the Department by such distributor. | 
 (f) The impact of the tax levied by this Act is imposed  | 
upon the retailer and shall be prepaid or pre-collected by the  | 
distributor for the purpose of convenience and facility only,  | 
and the amount of the tax shall be added to the price of the  | 
cigarettes sold by such distributor. Collection of the tax  | 
shall be evidenced by a stamp or stamps affixed to each  | 
original package of cigarettes, as hereinafter provided. Any  | 
distributor who purchases stamps may credit any excess  | 
payments verified by the Department against amounts  | 
subsequently due for the purchase of additional stamps, until  | 
such time as no excess payment remains.  | 
 (g) Each distributor shall collect the tax from the  | 
retailer at or before the time of the sale, shall affix the  | 
stamps as hereinafter required, and shall remit the tax  | 
collected from retailers to the Department, as hereinafter  | 
provided. Any distributor who fails to properly collect and  | 
pay the tax imposed by this Act shall be liable for the tax. | 
 | 
 (h) Any distributor having cigarettes in his or her  | 
possession on July 1, 2019 to which tax stamps have been  | 
affixed, and any distributor having stamps in his or her  | 
possession on July 1, 2019 that have not been affixed to  | 
packages of cigarettes before July 1, 2019, is required to pay  | 
the additional tax that begins on July 1, 2019 imposed by  | 
Public Act 101-31 this amendatory Act of the 101st General  | 
Assembly to the extent that the volume of affixed and  | 
unaffixed stamps in the distributor's possession on July 1,  | 
2019 exceeds the average monthly volume of cigarette stamps  | 
purchased by the distributor in calendar year 2018. This  | 
payment, less the discount provided in subsection (l), is due  | 
when the distributor first makes a purchase of cigarette  | 
stamps on or after July 1, 2019 or on the first due date of a  | 
return under this Act occurring on or after July 1, 2019,  | 
whichever occurs first. Those distributors may elect to pay  | 
the additional tax on packages of cigarettes to which stamps  | 
have been affixed and on any stamps in the distributor's  | 
possession that have not been affixed to packages of  | 
cigarettes in their possession on July 1, 2019 over a period  | 
not to exceed 12 months from the due date of the additional tax  | 
by notifying the Department in writing. The first payment for  | 
distributors making such election is due when the distributor  | 
first makes a purchase of cigarette tax stamps on or after July  | 
1, 2019 or on the first due date of a return under this Act  | 
occurring on or after July 1, 2019, whichever occurs first.  | 
 | 
Distributors making such an election are not entitled to take  | 
the discount provided in subsection (l) on such payments.  | 
 (i) Any retailer having cigarettes in its possession on  | 
July 1, 2019 to which tax stamps have been affixed is not  | 
required to pay the additional tax that begins on July 1, 2019  | 
imposed by Public Act 101-31 this amendatory Act of the 101st  | 
General Assembly on those stamped cigarettes.  | 
 (j) Distributors making sales of cigarettes to secondary  | 
distributors shall add the amount of the tax to the price of  | 
the cigarettes sold by the distributors. Secondary  | 
distributors making sales of cigarettes to retailers shall  | 
include the amount of the tax in the price of the cigarettes  | 
sold to retailers. The amount of tax shall not be less than the  | 
amount of taxes imposed by the State and all local  | 
jurisdictions. The amount of local taxes shall be calculated  | 
based on the location of the retailer's place of business  | 
shown on the retailer's certificate of registration or  | 
sub-registration issued to the retailer pursuant to Section 2a  | 
of the Retailers' Occupation Tax Act. The original packages of  | 
cigarettes sold to the retailer shall bear all the required  | 
stamps, or other indicia, for the taxes included in the price  | 
of cigarettes.  | 
 (k) The amount of the Cigarette Tax imposed by this Act  | 
shall be separately stated, apart from the price of the goods,  | 
by distributors, manufacturer representatives, secondary  | 
distributors, and retailers, in all bills and sales invoices. | 
 | 
 (l) The distributor shall be required to collect the tax  | 
provided under subsection (a) paragraph (a) hereof, and, to  | 
cover the costs of such collection, shall be allowed a  | 
discount during any year commencing July 1st and ending the  | 
following June 30th in accordance with the schedule set out  | 
hereinbelow, which discount shall be allowed at the time of  | 
purchase of the stamps when purchase is required by this Act,  | 
or at the time when the tax is remitted to the Department  | 
without the purchase of stamps from the Department when that  | 
method of paying the tax is required or authorized by this Act. | 
 On and after December 1, 1985, a discount equal to 1.75% of  | 
the amount of the tax payable under this Act up to and  | 
including the first $3,000,000 paid hereunder by such  | 
distributor to the Department during any such year and 1.5% of  | 
the amount of any additional tax paid hereunder by such  | 
distributor to the Department during any such year shall  | 
apply. | 
 Two or more distributors that use a common means of  | 
affixing revenue tax stamps or that are owned or controlled by  | 
the same interests shall be treated as a single distributor  | 
for the purpose of computing the discount. | 
 (m) The taxes herein imposed are in addition to all other  | 
occupation or privilege taxes imposed by the State of  | 
Illinois, or by any political subdivision thereof, or by any  | 
municipal corporation. | 
(Source: P.A. 103-9, eff. 6-7-23; revised 9-28-23.)
 | 
 | 
 Section 215. The Uniform Penalty and Interest Act is  | 
amended by changing Section 3-3 as follows:
 | 
 (35 ILCS 735/3-3) (from Ch. 120, par. 2603-3) | 
 Sec. 3-3. Penalty for failure to file or pay.  | 
 (a) This subsection (a) is applicable before January 1,  | 
1996. A penalty of 5% of the tax required to be shown due on a  | 
return shall be imposed for failure to file the tax return on  | 
or before the due date prescribed for filing determined with  | 
regard for any extension of time for filing (penalty for late  | 
filing or nonfiling). If any unprocessable return is corrected  | 
and filed within 21 days after notice by the Department, the  | 
late filing or nonfiling penalty shall not apply. If a penalty  | 
for late filing or nonfiling is imposed in addition to a  | 
penalty for late payment, the total penalty due shall be the  | 
sum of the late filing penalty and the applicable late payment  | 
penalty. Beginning on August 18, 1995 (the effective date of  | 
Public Act 89-379) this amendatory Act of 1995, in the case of  | 
any type of tax return required to be filed more frequently  | 
than annually, when the failure to file the tax return on or  | 
before the date prescribed for filing (including any  | 
extensions) is shown to be nonfraudulent and has not occurred  | 
in the 2 years immediately preceding the failure to file on the  | 
prescribed due date, the penalty imposed by Section 3-3(a)  | 
shall be abated. | 
 | 
 (a-5) This subsection (a-5) is applicable to returns due  | 
on and after January 1, 1996 and on or before December 31,  | 
2000. A penalty equal to 2% of the tax required to be shown due  | 
on a return, up to a maximum amount of $250, determined without  | 
regard to any part of the tax that is paid on time or by any  | 
credit that was properly allowable on the date the return was  | 
required to be filed, shall be imposed for failure to file the  | 
tax return on or before the due date prescribed for filing  | 
determined with regard for any extension of time for filing.  | 
However, if any return is not filed within 30 days after notice  | 
of nonfiling mailed by the Department to the last known  | 
address of the taxpayer contained in Department records, an  | 
additional penalty amount shall be imposed equal to the  | 
greater of $250 or 2% of the tax shown on the return. However,  | 
the additional penalty amount may not exceed $5,000 and is  | 
determined without regard to any part of the tax that is paid  | 
on time or by any credit that was properly allowable on the  | 
date the return was required to be filed (penalty for late  | 
filing or nonfiling). If any unprocessable return is corrected  | 
and filed within 30 days after notice by the Department, the  | 
late filing or nonfiling penalty shall not apply. If a penalty  | 
for late filing or nonfiling is imposed in addition to a  | 
penalty for late payment, the total penalty due shall be the  | 
sum of the late filing penalty and the applicable late payment  | 
penalty. In the case of any type of tax return required to be  | 
filed more frequently than annually, when the failure to file  | 
 | 
the tax return on or before the date prescribed for filing  | 
(including any extensions) is shown to be nonfraudulent and  | 
has not occurred in the 2 years immediately preceding the  | 
failure to file on the prescribed due date, the penalty  | 
imposed by Section 3-3(a-5) shall be abated. | 
 (a-10) This subsection (a-10) is applicable to returns due  | 
on and after January 1, 2001. A penalty equal to 2% of the tax  | 
required to be shown due on a return, up to a maximum amount of  | 
$250, reduced by any tax that is paid on time or by any credit  | 
that was properly allowable on the date the return was  | 
required to be filed, shall be imposed for failure to file the  | 
tax return on or before the due date prescribed for filing  | 
determined with regard for any extension of time for filing.  | 
However, if any return is not filed within 30 days after notice  | 
of nonfiling mailed by the Department to the last known  | 
address of the taxpayer contained in Department records, an  | 
additional penalty amount shall be imposed equal to the  | 
greater of $250 or 2% of the tax shown on the return. However,  | 
the additional penalty amount may not exceed $5,000 and is  | 
determined without regard to any part of the tax that is paid  | 
on time or by any credit that was properly allowable on the  | 
date the return was required to be filed (penalty for late  | 
filing or nonfiling). If any unprocessable return is corrected  | 
and filed within 30 days after notice by the Department, the  | 
late filing or nonfiling penalty shall not apply. If a penalty  | 
for late filing or nonfiling is imposed in addition to a  | 
 | 
penalty for late payment, the total penalty due shall be the  | 
sum of the late filing penalty and the applicable late payment  | 
penalty. In the case of any type of tax return required to be  | 
filed more frequently than annually, when the failure to file  | 
the tax return on or before the date prescribed for filing  | 
(including any extensions) is shown to be nonfraudulent and  | 
has not occurred in the 2 years immediately preceding the  | 
failure to file on the prescribed due date, the penalty  | 
imposed by this subsection (a-10) shall be abated. This  | 
subsection (a-10) does not apply to transaction reporting  | 
returns required by Section 3 of the Retailers' Occupation Tax  | 
Act and Section 9 of the Use Tax Act that would not, when  | 
properly prepared and filed, result in the imposition of a  | 
tax; however, those returns are subject to the penalty set  | 
forth in subsection (a-15).  | 
 (a-15) A penalty of $100 shall be imposed for failure to  | 
file a transaction reporting return required by Section 3 of  | 
the Retailers' Occupation Tax Act and Section 9 of the Use Tax  | 
Act on or before the date a return is required to be filed;  | 
provided, however, that this penalty shall be imposed only if  | 
the return when properly prepared and filed would not result  | 
in the imposition of a tax. If such a transaction reporting  | 
return would result in the imposition of a tax when properly  | 
prepared and filed, then that return is subject to the  | 
provisions of subsection (a-10).  | 
 (b) This subsection is applicable before January 1, 1998.  | 
 | 
A penalty of 15% of the tax shown on the return or the tax  | 
required to be shown due on the return shall be imposed for  | 
failure to pay: | 
  (1) the tax shown due on the return on or before the  | 
 due date prescribed for payment of that tax, an amount of  | 
 underpayment of estimated tax, or an amount that is  | 
 reported in an amended return other than an amended return  | 
 timely filed as required by subsection (b) of Section 506  | 
 of the Illinois Income Tax Act (penalty for late payment  | 
 or nonpayment of admitted liability); or | 
  (2) the full amount of any tax required to be shown due  | 
 on a return and which is not shown (penalty for late  | 
 payment or nonpayment of additional liability), within 30  | 
 days after a notice of arithmetic error, notice and  | 
 demand, or a final assessment is issued by the Department.  | 
 In the case of a final assessment arising following a  | 
 protest and hearing, the 30-day period shall not begin  | 
 until all proceedings in court for review of the final  | 
 assessment have terminated or the period for obtaining a  | 
 review has expired without proceedings for a review having  | 
 been instituted. In the case of a notice of tax liability  | 
 that becomes a final assessment without a protest and  | 
 hearing, the penalty provided in this paragraph (2) shall  | 
 be imposed at the expiration of the period provided for  | 
 the filing of a protest. | 
 (b-5) This subsection is applicable to returns due on and  | 
 | 
after January 1, 1998 and on or before December 31, 2000. A  | 
penalty of 20% of the tax shown on the return or the tax  | 
required to be shown due on the return shall be imposed for  | 
failure to pay: | 
  (1) the tax shown due on the return on or before the  | 
 due date prescribed for payment of that tax, an amount of  | 
 underpayment of estimated tax, or an amount that is  | 
 reported in an amended return other than an amended return  | 
 timely filed as required by subsection (b) of Section 506  | 
 of the Illinois Income Tax Act (penalty for late payment  | 
 or nonpayment of admitted liability); or | 
  (2) the full amount of any tax required to be shown due  | 
 on a return and which is not shown (penalty for late  | 
 payment or nonpayment of additional liability), within 30  | 
 days after a notice of arithmetic error, notice and  | 
 demand, or a final assessment is issued by the Department.  | 
 In the case of a final assessment arising following a  | 
 protest and hearing, the 30-day period shall not begin  | 
 until all proceedings in court for review of the final  | 
 assessment have terminated or the period for obtaining a  | 
 review has expired without proceedings for a review having  | 
 been instituted. In the case of a notice of tax liability  | 
 that becomes a final assessment without a protest and  | 
 hearing, the penalty provided in this paragraph (2) shall  | 
 be imposed at the expiration of the period provided for  | 
 the filing of a protest. | 
 | 
 (b-10) This subsection (b-10) is applicable to returns due  | 
on and after January 1, 2001 and on or before December 31,  | 
2003. A penalty shall be imposed for failure to pay: | 
  (1) the tax shown due on a return on or before the due  | 
 date prescribed for payment of that tax, an amount of  | 
 underpayment of estimated tax, or an amount that is  | 
 reported in an amended return other than an amended return  | 
 timely filed as required by subsection (b) of Section 506  | 
 of the Illinois Income Tax Act (penalty for late payment  | 
 or nonpayment of admitted liability). The amount of  | 
 penalty imposed under this subsection (b-10)(1) shall be  | 
 2% of any amount that is paid no later than 30 days after  | 
 the due date, 5% of any amount that is paid later than 30  | 
 days after the due date and not later than 90 days after  | 
 the due date, 10% of any amount that is paid later than 90  | 
 days after the due date and not later than 180 days after  | 
 the due date, and 15% of any amount that is paid later than  | 
 180 days after the due date. If notice and demand is made  | 
 for the payment of any amount of tax due and if the amount  | 
 due is paid within 30 days after the date of the notice and  | 
 demand, then the penalty for late payment or nonpayment of  | 
 admitted liability under this subsection (b-10)(1) on the  | 
 amount so paid shall not accrue for the period after the  | 
 date of the notice and demand. | 
  (2) the full amount of any tax required to be shown due  | 
 on a return and that is not shown (penalty for late payment  | 
 | 
 or nonpayment of additional liability), within 30 days  | 
 after a notice of arithmetic error, notice and demand, or  | 
 a final assessment is issued by the Department. In the  | 
 case of a final assessment arising following a protest and  | 
 hearing, the 30-day period shall not begin until all  | 
 proceedings in court for review of the final assessment  | 
 have terminated or the period for obtaining a review has  | 
 expired without proceedings for a review having been  | 
 instituted. The amount of penalty imposed under this  | 
 subsection (b-10)(2) shall be 20% of any amount that is  | 
 not paid within the 30-day period. In the case of a notice  | 
 of tax liability that becomes a final assessment without a  | 
 protest and hearing, the penalty provided in this  | 
 subsection (b-10)(2) shall be imposed at the expiration of  | 
 the period provided for the filing of a protest. | 
 (b-15) This subsection (b-15) is applicable to returns due  | 
on and after January 1, 2004 and on or before December 31,  | 
2004. A penalty shall be imposed for failure to pay the tax  | 
shown due or required to be shown due on a return on or before  | 
the due date prescribed for payment of that tax, an amount of  | 
underpayment of estimated tax, or an amount that is reported  | 
in an amended return other than an amended return timely filed  | 
as required by subsection (b) of Section 506 of the Illinois  | 
Income Tax Act (penalty for late payment or nonpayment of  | 
admitted liability). The amount of penalty imposed under this  | 
subsection (b-15)(1) shall be 2% of any amount that is paid no  | 
 | 
later than 30 days after the due date, 10% of any amount that  | 
is paid later than 30 days after the due date and not later  | 
than 90 days after the due date, 15% of any amount that is paid  | 
later than 90 days after the due date and not later than 180  | 
days after the due date, and 20% of any amount that is paid  | 
later than 180 days after the due date. If notice and demand is  | 
made for the payment of any amount of tax due and if the amount  | 
due is paid within 30 days after the date of this notice and  | 
demand, then the penalty for late payment or nonpayment of  | 
admitted liability under this subsection (b-15)(1) on the  | 
amount so paid shall not accrue for the period after the date  | 
of the notice and demand. | 
 (b-20) This subsection (b-20) is applicable to returns due  | 
on and after January 1, 2005 and before January 1, 2024. | 
  (1) A penalty shall be imposed for failure to pay,  | 
 prior to the due date for payment, any amount of tax the  | 
 payment of which is required to be made prior to the filing  | 
 of a return or without a return (penalty for late payment  | 
 or nonpayment of estimated or accelerated tax). The amount  | 
 of penalty imposed under this paragraph (1) shall be 2% of  | 
 any amount that is paid no later than 30 days after the due  | 
 date and 10% of any amount that is paid later than 30 days  | 
 after the due date. | 
  (2) A penalty shall be imposed for failure to pay the  | 
 tax shown due or required to be shown due on a return on or  | 
 before the due date prescribed for payment of that tax or  | 
 | 
 an amount that is reported in an amended return other than  | 
 an amended return timely filed as required by subsection  | 
 (b) of Section 506 of the Illinois Income Tax Act (penalty  | 
 for late payment or nonpayment of tax). The amount of  | 
 penalty imposed under this paragraph (2) shall be 2% of  | 
 any amount that is paid no later than 30 days after the due  | 
 date, 10% of any amount that is paid later than 30 days  | 
 after the due date and prior to the date the Department has  | 
 initiated an audit or investigation of the taxpayer, and  | 
 20% of any amount that is paid after the date the  | 
 Department has initiated an audit or investigation of the  | 
 taxpayer; provided that the penalty shall be reduced to  | 
 15% if the entire amount due is paid not later than 30 days  | 
 after the Department has provided the taxpayer with an  | 
 amended return (following completion of an occupation,  | 
 use, or excise tax audit) or a form for waiver of  | 
 restrictions on assessment (following completion of an  | 
 income tax audit); provided further that the reduction to  | 
 15% shall be rescinded if the taxpayer makes any claim for  | 
 refund or credit of the tax, penalties, or interest  | 
 determined to be due upon audit, except in the case of a  | 
 claim filed pursuant to subsection (b) of Section 506 of  | 
 the Illinois Income Tax Act or to claim a carryover of a  | 
 loss or credit, the availability of which was not  | 
 determined in the audit. For purposes of this paragraph  | 
 (2), any overpayment reported on an original return that  | 
 | 
 has been allowed as a refund or credit to the taxpayer  | 
 shall be deemed to have not been paid on or before the due  | 
 date for payment and any amount paid under protest  | 
 pursuant to the provisions of the State Officers and  | 
 Employees Money Disposition Act shall be deemed to have  | 
 been paid after the Department has initiated an audit and  | 
 more than 30 days after the Department has provided the  | 
 taxpayer with an amended return (following completion of  | 
 an occupation, use, or excise tax audit) or a form for  | 
 waiver of restrictions on assessment (following completion  | 
 of an income tax audit). | 
  (3) The penalty imposed under this subsection (b-20)  | 
 shall be deemed assessed at the time the tax upon which the  | 
 penalty is computed is assessed, except that, if the  | 
 reduction of the penalty imposed under paragraph (2) of  | 
 this subsection (b-20) to 15% is rescinded because a claim  | 
 for refund or credit has been filed, the increase in  | 
 penalty shall be deemed assessed at the time the claim for  | 
 refund or credit is filed.  | 
 (b-25) This subsection (b-25) is applicable to returns due  | 
on or after January 1, 2024.  | 
  (1) A penalty shall be imposed for failure to pay,  | 
 prior to the due date for payment, any amount of tax the  | 
 payment of which is required to be made prior to the filing  | 
 of a return or without a return (penalty for late payment  | 
 or nonpayment of estimated or accelerated tax). The amount  | 
 | 
 of penalty imposed under this paragraph (1) shall be 2% of  | 
 any amount that is paid no later than 30 days after the due  | 
 date and 10% of any amount that is paid later than 30 days  | 
 after the due date.  | 
  (2) A penalty shall be imposed for failure to pay the  | 
 tax shown due or required to be shown due on a return on or  | 
 before the due date prescribed for payment of that tax  | 
 (penalty for late payment or nonpayment of tax). The  | 
 amount of penalty imposed under this paragraph (2) shall  | 
 be 2% of any amount that is paid no later than 30 days  | 
 after the due date, 10% of any amount that is paid later  | 
 than 30 days after the due date and prior to the date the  | 
 Department initiates an audit or investigation of the  | 
 taxpayer, and 20% of any amount that is paid after the date  | 
 the Department initiates an audit or investigation of the  | 
 taxpayer; provided that the penalty shall be reduced to  | 
 15% if the entire amount due is paid not later than 30 days  | 
 after the Department provides the taxpayer with an amended  | 
 return (following completion of an occupation, use, or  | 
 excise tax audit) or a form for waiver of restrictions on  | 
 assessment (following completion of an income tax audit);  | 
 provided further that the reduction to 15% shall be  | 
 rescinded if the taxpayer makes any claim for refund or  | 
 credit of the tax, penalties, or interest determined to be  | 
 due upon audit, except in the case of a claim filed  | 
 pursuant to subsection (b) of Section 506 of the Illinois  | 
 | 
 Income Tax Act or to claim a carryover of a loss or credit,  | 
 the availability of which was not determined in the audit.  | 
 For purposes of this paragraph (2):  | 
   (A) any overpayment reported on an original return  | 
 that has been allowed as a refund or credit to the  | 
 taxpayer shall be deemed to have not been paid on or  | 
 before the due date for payment;  | 
   (B) any amount paid under protest pursuant to the  | 
 provisions of the State Officers and Employees Money  | 
 Disposition Act shall be deemed to have been paid  | 
 after the Department has initiated an audit and more  | 
 than 30 days after the Department has provided the  | 
 taxpayer with an amended return (following completion  | 
 of an occupation, use, or excise tax audit) or a form  | 
 for waiver of restrictions on assessment (following  | 
 completion of an income tax audit); and  | 
   (C) any liability resulting from a federal change  | 
 required to be reported under subsection (b) of  | 
 Section 506 of the Illinois Income Tax Act that is  | 
 reported and paid no later than the due date for filing  | 
 the federal change amended return shall be deemed to  | 
 have been paid on or before the due date prescribed for  | 
 payment.  | 
  (3) The penalty imposed under this subsection (b-25)  | 
 shall be deemed assessed at the time the tax upon which the  | 
 penalty is computed is assessed, except that, if the  | 
 | 
 reduction of the penalty imposed under paragraph (2) of  | 
 this subsection (b-25) to 15% is rescinded because a claim  | 
 for refund or credit has been filed, the increase in  | 
 penalty shall be deemed assessed at the time the claim for  | 
 refund or credit is filed.  | 
 (c) For purposes of the late payment penalties, the basis  | 
of the penalty shall be the tax shown or required to be shown  | 
on a return, whichever is applicable, reduced by any part of  | 
the tax which is paid on time and by any credit which was  | 
properly allowable on the date the return was required to be  | 
filed. | 
 (d) A penalty shall be applied to the tax required to be  | 
shown even if that amount is less than the tax shown on the  | 
return. | 
 (e) This subsection (e) is applicable to returns due  | 
before January 1, 2001. If both a subsection (b)(1) or  | 
(b-5)(1) penalty and a subsection (b)(2) or (b-5)(2) penalty  | 
are assessed against the same return, the subsection (b)(2) or  | 
(b-5)(2) penalty shall be assessed against only the additional  | 
tax found to be due. | 
 (e-5) This subsection (e-5) is applicable to returns due  | 
on and after January 1, 2001. If both a subsection (b-10)(1)  | 
penalty and a subsection (b-10)(2) penalty are assessed  | 
against the same return, the subsection (b-10)(2) penalty  | 
shall be assessed against only the additional tax found to be  | 
due. | 
 | 
 (f) If the taxpayer has failed to file the return, the  | 
Department shall determine the correct tax according to its  | 
best judgment and information, which amount shall be prima  | 
facie evidence of the correctness of the tax due. | 
 (g) The time within which to file a return or pay an amount  | 
of tax due without imposition of a penalty does not extend the  | 
time within which to file a protest to a notice of tax  | 
liability or a notice of deficiency. | 
 (h) No return shall be determined to be unprocessable  | 
because of the omission of any information requested on the  | 
return pursuant to Section 2505-575 of the Department of  | 
Revenue Law (20 ILCS 2505/2505-575). | 
 (i) If a taxpayer has a tax liability for the taxable  | 
period ending after June 30, 1983 and prior to July 1, 2002  | 
that is eligible for amnesty under the Tax Delinquency Amnesty  | 
Act and the taxpayer fails to satisfy the tax liability during  | 
the amnesty period provided for in that Act for that taxable  | 
period, then the penalty imposed by the Department under this  | 
Section shall be imposed in an amount that is 200% of the  | 
amount that would otherwise be imposed under this Section. | 
 (j) If a taxpayer has a tax liability for the taxable  | 
period ending after June 30, 2002 and prior to July 1, 2009  | 
that is eligible for amnesty under the Tax Delinquency Amnesty  | 
Act, except for any tax liability reported pursuant to Section  | 
506(b) of the Illinois Income Tax Act (35 ILCS 5/506(b)) that  | 
is not final, and the taxpayer fails to satisfy the tax  | 
 | 
liability during the amnesty period provided for in that Act  | 
for that taxable period, then the penalty imposed by the  | 
Department under this Section shall be imposed in an amount  | 
that is 200% of the amount that would otherwise be imposed  | 
under this Section.  | 
(Source: P.A. 103-98, eff. 1-1-24; revised 1-2-24.)
 | 
 Section 220. The Illinois Independent Tax Tribunal Act of  | 
2012 is amended by changing Section 1-60 as follows:
 | 
 (35 ILCS 1010/1-60) | 
 Sec. 1-60. Discovery and stipulation.  | 
 (a) The parties to the proceeding shall comply with the  | 
Supreme Court Rules for Civil Proceedings in the Trial Court  | 
regarding Discovery, Requests for Admission, and Pre-Trial  | 
Procedure. | 
 (b) An A administrative law judge or the clerk of the Tax  | 
Tribunal, on the request of any party to the proceeding, shall  | 
issue subpoenas requiring the attendance of witnesses and  | 
giving of testimony and subpoenas duces tecum requiring the  | 
production of evidence or things. | 
 (c) Any employee of the Tax Tribunal designated in writing  | 
for that purpose by the Chief Administrative Law Judge may  | 
administer oaths. | 
 (d) The Tax Tribunal may enforce its order on discovery  | 
and other procedural issues, among other means, by deciding  | 
 | 
issues wholly or partly against the offending party. | 
(Source: P.A. 97-1129, eff. 8-28-12; revised 9-21-23.)
 | 
 Section 225. The Illinois Pension Code is amended by  | 
changing Sections 15-198 and 16-127 as follows:
 | 
 (40 ILCS 5/15-198) | 
 Sec. 15-198. Application and expiration of new benefit  | 
increases. | 
 (a) As used in this Section, "new benefit increase" means  | 
an increase in the amount of any benefit provided under this  | 
Article, or an expansion of the conditions of eligibility for  | 
any benefit under this Article, that results from an amendment  | 
to this Code that takes effect after June 1, 2005 (the  | 
effective date of Public Act 94-4). "New benefit increase",  | 
however, does not include any benefit increase resulting from  | 
the changes made to Article 1 or this Article by Public Act  | 
100-23, Public Act 100-587, Public Act 100-769, Public Act  | 
101-10, Public Act 101-610, Public Act 102-16, Public Act  | 
103-80, or Public Act 103-548 or this amendatory Act of the  | 
103rd General Assembly. | 
 (b) Notwithstanding any other provision of this Code or  | 
any subsequent amendment to this Code, every new benefit  | 
increase is subject to this Section and shall be deemed to be  | 
granted only in conformance with and contingent upon  | 
compliance with the provisions of this Section.  | 
 | 
 (c) The Public Act enacting a new benefit increase must  | 
identify and provide for payment to the System of additional  | 
funding at least sufficient to fund the resulting annual  | 
increase in cost to the System as it accrues. | 
 Every new benefit increase is contingent upon the General  | 
Assembly providing the additional funding required under this  | 
subsection. The Commission on Government Forecasting and  | 
Accountability shall analyze whether adequate additional  | 
funding has been provided for the new benefit increase and  | 
shall report its analysis to the Public Pension Division of  | 
the Department of Insurance. A new benefit increase created by  | 
a Public Act that does not include the additional funding  | 
required under this subsection is null and void. If the Public  | 
Pension Division determines that the additional funding  | 
provided for a new benefit increase under this subsection is  | 
or has become inadequate, it may so certify to the Governor and  | 
the State Comptroller and, in the absence of corrective action  | 
by the General Assembly, the new benefit increase shall expire  | 
at the end of the fiscal year in which the certification is  | 
made.  | 
 (d) Every new benefit increase shall expire 5 years after  | 
its effective date or on such earlier date as may be specified  | 
in the language enacting the new benefit increase or provided  | 
under subsection (c). This does not prevent the General  | 
Assembly from extending or re-creating a new benefit increase  | 
by law. | 
 | 
 (e) Except as otherwise provided in the language creating  | 
the new benefit increase, a new benefit increase that expires  | 
under this Section continues to apply to persons who applied  | 
and qualified for the affected benefit while the new benefit  | 
increase was in effect and to the affected beneficiaries and  | 
alternate payees of such persons, but does not apply to any  | 
other person, including, without limitation, a person who  | 
continues in service after the expiration date and did not  | 
apply and qualify for the affected benefit while the new  | 
benefit increase was in effect. | 
(Source: P.A. 102-16, eff. 6-17-21; 103-80, eff. 6-9-23;  | 
103-548, eff. 8-11-23; revised 8-31-23.)
 | 
 (40 ILCS 5/16-127) (from Ch. 108 1/2, par. 16-127) | 
 Sec. 16-127. Computation of creditable service.  | 
 (a) Each member shall receive regular credit for all  | 
service as a teacher from the date membership begins, for  | 
which satisfactory evidence is supplied and all contributions  | 
have been paid. | 
 (b) The following periods of service shall earn optional  | 
credit and each member shall receive credit for all such  | 
service for which satisfactory evidence is supplied and all  | 
contributions have been paid as of the date specified: | 
  (1) Prior service as a teacher. | 
  (2) Service in a capacity essentially similar or  | 
 equivalent to that of a teacher, in the public common  | 
 | 
 schools in school districts in this State not included  | 
 within the provisions of this System, or of any other  | 
 State, territory, dependency or possession of the United  | 
 States, or in schools operated by or under the auspices of  | 
 the United States, or under the auspices of any agency or  | 
 department of any other State, and service during any  | 
 period of professional speech correction or special  | 
 education experience for a public agency within this State  | 
 or any other State, territory, dependency or possession of  | 
 the United States, and service prior to February 1, 1951  | 
 as a recreation worker for the Illinois Department of  | 
 Public Safety, for a period not exceeding the lesser of  | 
 2/5 of the total creditable service of the member or 10  | 
 years. The maximum service of 10 years which is allowable  | 
 under this paragraph shall be reduced by the service  | 
 credit which is validated by other retirement systems  | 
 under paragraph (i) of Section 15-113 and paragraph 1 of  | 
 Section 17-133. Credit granted under this paragraph may  | 
 not be used in determination of a retirement annuity or  | 
 disability benefits unless the member has at least 5 years  | 
 of creditable service earned subsequent to this employment  | 
 with one or more of the following systems: Teachers'  | 
 Retirement System of the State of Illinois, State  | 
 Universities Retirement System, and the Public School  | 
 Teachers' Pension and Retirement Fund of Chicago. Whenever  | 
 such service credit exceeds the maximum allowed for all  | 
 | 
 purposes of this Article, the first service rendered in  | 
 point of time shall be considered. The changes to this  | 
 paragraph subdivision (b)(2) made by Public Act 86-272  | 
 shall apply not only to persons who on or after its  | 
 effective date (August 23, 1989) are in service as a  | 
 teacher under the System, but also to persons whose status  | 
 as such a teacher terminated prior to such effective date,  | 
 whether or not such person is an annuitant on that date. | 
  (3) Any periods immediately following teaching  | 
 service, under this System or under Article 17, (or  | 
 immediately following service prior to February 1, 1951 as  | 
 a recreation worker for the Illinois Department of Public  | 
 Safety) spent in active service with the military forces  | 
 of the United States; periods spent in educational  | 
 programs that prepare for return to teaching sponsored by  | 
 the federal government following such active military  | 
 service; if a teacher returns to teaching service within  | 
 one calendar year after discharge or after the completion  | 
 of the educational program, a further period, not  | 
 exceeding one calendar year, between time spent in  | 
 military service or in such educational programs and the  | 
 return to employment as a teacher under this System; and a  | 
 period of up to 2 years of active military service not  | 
 immediately following employment as a teacher. | 
  The changes to this Section and Section 16-128  | 
 relating to military service made by Public Act P.A.  | 
 | 
 87-794 shall apply not only to persons who on or after its  | 
 effective date are in service as a teacher under the  | 
 System, but also to persons whose status as a teacher  | 
 terminated prior to that date, whether or not the person  | 
 is an annuitant on that date. In the case of an annuitant  | 
 who applies for credit allowable under this Section for a  | 
 period of military service that did not immediately follow  | 
 employment, and who has made the required contributions  | 
 for such credit, the annuity shall be recalculated to  | 
 include the additional service credit, with the increase  | 
 taking effect on the date the System received written  | 
 notification of the annuitant's intent to purchase the  | 
 credit, if payment of all the required contributions is  | 
 made within 60 days of such notice, or else on the first  | 
 annuity payment date following the date of payment of the  | 
 required contributions. In calculating the automatic  | 
 annual increase for an annuity that has been recalculated  | 
 under this Section, the increase attributable to the  | 
 additional service allowable under Public Act P.A. 87-794  | 
 shall be included in the calculation of automatic annual  | 
 increases accruing after the effective date of the  | 
 recalculation. | 
  Credit for military service shall be determined as  | 
 follows: if entry occurs during the months of July,  | 
 August, or September and the member was a teacher at the  | 
 end of the immediately preceding school term, credit shall  | 
 | 
 be granted from July 1 of the year in which he or she  | 
 entered service; if entry occurs during the school term  | 
 and the teacher was in teaching service at the beginning  | 
 of the school term, credit shall be granted from July 1 of  | 
 such year. In all other cases where credit for military  | 
 service is allowed, credit shall be granted from the date  | 
 of entry into the service. | 
  The total period of military service for which credit  | 
 is granted shall not exceed 5 years for any member unless  | 
 the service: (A) is validated before July 1, 1964, and (B)  | 
 does not extend beyond July 1, 1963. Credit for military  | 
 service shall be granted under this Section only if not  | 
 more than 5 years of the military service for which credit  | 
 is granted under this Section is used by the member to  | 
 qualify for a military retirement allotment from any  | 
 branch of the armed forces of the United States. The  | 
 changes to this paragraph subdivision (b)(3) made by  | 
 Public Act 86-272 shall apply not only to persons who on or  | 
 after its effective date (August 23, 1989) are in service  | 
 as a teacher under the System, but also to persons whose  | 
 status as such a teacher terminated prior to such  | 
 effective date, whether or not such person is an annuitant  | 
 on that date. | 
  (4) Any periods served as a member of the General  | 
 Assembly. | 
  (5)(i) Any periods for which a teacher, as defined in  | 
 | 
 Section 16-106, is granted a leave of absence, provided he  | 
 or she returns to teaching service creditable under this  | 
 System or the State Universities Retirement System  | 
 following the leave; (ii) periods during which a teacher  | 
 is involuntarily laid off from teaching, provided he or  | 
 she returns to teaching following the lay-off; (iii)  | 
 periods prior to July 1, 1983 during which a teacher  | 
 ceased covered employment due to pregnancy, provided that  | 
 the teacher returned to teaching service creditable under  | 
 this System or the State Universities Retirement System  | 
 following the pregnancy and submits evidence satisfactory  | 
 to the Board documenting that the employment ceased due to  | 
 pregnancy; and (iv) periods prior to July 1, 1983 during  | 
 which a teacher ceased covered employment for the purpose  | 
 of adopting an infant under 3 years of age or caring for a  | 
 newly adopted infant under 3 years of age, provided that  | 
 the teacher returned to teaching service creditable under  | 
 this System or the State Universities Retirement System  | 
 following the adoption and submits evidence satisfactory  | 
 to the Board documenting that the employment ceased for  | 
 the purpose of adopting an infant under 3 years of age or  | 
 caring for a newly adopted infant under 3 years of age.  | 
 However, total credit under this paragraph (5) may not  | 
 exceed 3 years. | 
  Any qualified member or annuitant may apply for credit  | 
 under item (iii) or (iv) of this paragraph (5) without  | 
 | 
 regard to whether service was terminated before June 27,  | 
 1997 (the effective date of Public Act 90-32) this  | 
 amendatory Act of 1997. In the case of an annuitant who  | 
 establishes credit under item (iii) or (iv), the annuity  | 
 shall be recalculated to include the additional service  | 
 credit. The increase in annuity shall take effect on the  | 
 date the System receives written notification of the  | 
 annuitant's intent to purchase the credit, if the required  | 
 evidence is submitted and the required contribution paid  | 
 within 60 days of that notification, otherwise on the  | 
 first annuity payment date following the System's receipt  | 
 of the required evidence and contribution. The increase in  | 
 an annuity recalculated under this provision shall be  | 
 included in the calculation of automatic annual increases  | 
 in the annuity accruing after the effective date of the  | 
 recalculation. | 
  Optional credit may be purchased under this paragraph  | 
 subsection (b)(5) for periods during which a teacher has  | 
 been granted a leave of absence pursuant to Section 24-13  | 
 of the School Code. A teacher whose service under this  | 
 Article terminated prior to the effective date of Public  | 
 Act P.A. 86-1488 shall be eligible to purchase such  | 
 optional credit. If a teacher who purchases this optional  | 
 credit is already receiving a retirement annuity under  | 
 this Article, the annuity shall be recalculated as if the  | 
 annuitant had applied for the leave of absence credit at  | 
 | 
 the time of retirement. The difference between the  | 
 entitled annuity and the actual annuity shall be credited  | 
 to the purchase of the optional credit. The remainder of  | 
 the purchase cost of the optional credit shall be paid on  | 
 or before April 1, 1992. | 
  The change in this paragraph made by Public Act 86-273  | 
 shall be applicable to teachers who retire after June 1,  | 
 1989, as well as to teachers who are in service on that  | 
 date. | 
  (6) Any days of unused and uncompensated accumulated  | 
 sick leave earned by a teacher. The service credit granted  | 
 under this paragraph shall be the ratio of the number of  | 
 unused and uncompensated accumulated sick leave days to  | 
 170 days, subject to a maximum of 2 years of service  | 
 credit. Prior to the member's retirement, each former  | 
 employer shall certify to the System the number of unused  | 
 and uncompensated accumulated sick leave days credited to  | 
 the member at the time of termination of service. The  | 
 period of unused sick leave shall not be considered in  | 
 determining the effective date of retirement. A member is  | 
 not required to make contributions in order to obtain  | 
 service credit for unused sick leave. | 
  Credit for sick leave shall, at retirement, be granted  | 
 by the System for any retiring regional or assistant  | 
 regional superintendent of schools at the rate of 6 days  | 
 per year of creditable service or portion thereof  | 
 | 
 established while serving as such superintendent or  | 
 assistant superintendent. | 
  (7) Periods prior to February 1, 1987 served as an  | 
 employee of the Illinois Mathematics and Science Academy  | 
 for which credit has not been terminated under Section  | 
 15-113.9 of this Code. | 
  (8) Service as a substitute teacher for work performed  | 
 prior to July 1, 1990. | 
  (9) Service as a part-time teacher for work performed  | 
 prior to July 1, 1990. | 
  (10) Up to 2 years of employment with Southern  | 
 Illinois University - Carbondale from September 1, 1959 to  | 
 August 31, 1961, or with Governors State University from  | 
 September 1, 1972 to August 31, 1974, for which the  | 
 teacher has no credit under Article 15. To receive credit  | 
 under this item (10), a teacher must apply in writing to  | 
 the Board and pay the required contributions before May 1,  | 
 1993 and have at least 12 years of service credit under  | 
 this Article. | 
  (11) Periods of service as a student teacher as  | 
 described in Section 24-8.5 of the School Code for which  | 
 the student teacher received a salary.  | 
 (b-1) A member may establish optional credit for up to 2  | 
years of service as a teacher or administrator employed by a  | 
private school recognized by the Illinois State Board of  | 
Education, provided that the teacher (i) was certified under  | 
 | 
the law governing the certification of teachers at the time  | 
the service was rendered, (ii) applies in writing on or before  | 
June 30, 2028, (iii) supplies satisfactory evidence of the  | 
employment, (iv) completes at least 10 years of contributing  | 
service as a teacher as defined in Section 16-106, and (v) pays  | 
the contribution required in subsection (d-5) of Section  | 
16-128. The member may apply for credit under this subsection  | 
and pay the required contribution before completing the 10  | 
years of contributing service required under item (iv), but  | 
the credit may not be used until the item (iv) contributing  | 
service requirement has been met. | 
 (c) The service credits specified in this Section shall be  | 
granted only if: (1) such service credits are not used for  | 
credit in any other statutory tax-supported public employee  | 
retirement system other than the federal Social Security  | 
program; and (2) the member makes the required contributions  | 
as specified in Section 16-128. Except as provided in  | 
subsection (b-1) of this Section, the service credit shall be  | 
effective as of the date the required contributions are  | 
completed. | 
 Any service credits granted under this Section shall  | 
terminate upon cessation of membership for any cause. | 
 Credit may not be granted under this Section covering any  | 
period for which an age retirement or disability retirement  | 
allowance has been paid. | 
 Credit may not be granted under this Section for service  | 
 | 
as an employee of an entity that provides substitute teaching  | 
services under Section 2-3.173 of the School Code and is not a  | 
school district.  | 
(Source: P.A. 102-525, eff. 8-20-21; 103-17, eff. 6-9-23;  | 
103-525, eff. 8-11-23; revised 9-5-23.)
 | 
 Section 230. The Local Government Taxpayers' Bill of  | 
Rights Act is amended by changing Section 30 as follows:
 | 
 (50 ILCS 45/30) | 
 Sec. 30. Statute of limitations. Units of local government  | 
have an obligation to review tax returns in a timely manner and  | 
issue any determination of tax due as promptly as possible so  | 
that taxpayers may make timely corrections of future returns  | 
and minimize any interest charges applied to tax  | 
underpayments. Each unit of local government must provide  | 
appropriate statutes of limitation for the determination and  | 
assessment of taxes covered by this Act, provided, however,  | 
that a statute of limitations may not exceed the following: | 
  (1) No notice of determination of tax due or  | 
 assessment may be issued more than 5 years after the end of  | 
 the calendar year for which the return for the period was  | 
 filed or the end of the calendar year in which the return  | 
 for the period was due, whichever occurs later. An audit  | 
 or review that is timely performed under Section 35 of  | 
 this Act or Section 8-11-2.5 of the Illinois Municipal  | 
 | 
 Code shall toll the applicable 5-year period for a period  | 
 of not more than one 1 year.  | 
  (2) If any tax return was not filed or if during any  | 
 4-year period for which a notice of tax determination or  | 
 assessment may be issued by the unit of local government  | 
 the tax paid or remitted was less than 75% of the tax due  | 
 for that period, the statute of limitations shall be no  | 
 more than 6 years after the end of the calendar year in  | 
 which the return for the period was due or the end of the  | 
 calendar year in which the return for the period was  | 
 filed, whichever occurs later. In the event that a unit of  | 
 local government fails to provide a statute of  | 
 limitations, the maximum statutory period provided in this  | 
 Section applies. | 
 (3) The changes to this Section made by Public Act  | 
102-1144 this amendatory Act of the 102nd General Assembly do  | 
not revive any determination and assessment of tax due where  | 
the statute of limitations has expired as of March 17, 2023  | 
(the effective date of Public Act 102-1144) this amendatory  | 
Act of the 102nd General Assembly, but the changes do extend  | 
the statute of limitations for the determination and  | 
assessment of taxes where the statute of limitation has not  | 
expired as of March 17, 2023 (the effective date of Public Act  | 
102-1144) this amendatory Act of the 102nd General Assembly.  | 
 This Section does not place any limitation on a unit of  | 
local government if a fraudulent tax return is filed. | 
 | 
(Source: P.A. 102-1144, eff. 3-17-23; revised 4-5-23.)
 | 
 Section 235. The Uniform Peace Officers' Disciplinary Act  | 
is amended by changing Section 7.2 as follows:
 | 
 (50 ILCS 725/7.2) | 
 Sec. 7.2. Possession of a Firearm Owner's Identification  | 
Card. An employer of an officer shall not make possession of a  | 
Firearm Owner's Identification Card a condition of continued  | 
employment if the officer's Firearm Owner's Identification  | 
Card is revoked or seized because the officer has been a  | 
patient of a mental health facility and the officer has not  | 
been determined to pose a clear and present danger to himself,  | 
herself, or others as determined by a physician, clinical  | 
psychologist, or qualified examiner. Nothing in is this  | 
Section shall otherwise impair an employer's ability to  | 
determine an officer's fitness for duty. On and after August  | 
17, 2018 (the effective date of Public Act 100-911) this  | 
amendatory Act of the 100th General Assembly, Section 6 of  | 
this Act shall not apply to the prohibition requiring a  | 
Firearm Owner's Identification Card as a condition of  | 
continued employment, but a collective bargaining agreement  | 
already in effect on that issue on August 17, 2018 (the  | 
effective date of Public Act 100-911) this amendatory Act of  | 
the 100th General Assembly cannot be modified. The employer  | 
shall document if and why an officer has been determined to  | 
 | 
pose a clear and present danger.  | 
(Source: P.A. 100-911, eff. 8-17-18; 101-375, eff. 8-16-19;  | 
revised 4-5-23.)
 | 
 Section 240. The Counties Code is amended by changing  | 
Sections 3-8002, 4-7001, 5-1022, and 5-1069.3 as follows:
 | 
 (55 ILCS 5/3-8002) (from Ch. 34, par. 3-8002) | 
 Sec. 3-8002. Applicability and adoption. The county board  | 
of every county having a county police department merit board  | 
established under the "The County Police Department Act",  | 
approved August 7, 1967, as amended (repealed), or a merit  | 
commission for sheriff's personnel established under Section  | 
58.1 of "An Act to revise the law in relation to counties",  | 
approved March 31, 1874, as amended (repealed), shall adopt  | 
and implement the merit system provided by this Division and  | 
shall modify the merit system now in effect in that county as  | 
may be necessary to comply with this Division. | 
 The county board of any county having a population of less  | 
than 1,000,000 which does not have a merit board or merit  | 
commission for sheriff's personnel may adopt and implement by  | 
ordinance the merit system provided by this Division. If the  | 
county board does not adopt such a merit system by an ordinance  | 
and if a petition signed by not fewer than 5% or 1000,  | 
whichever is less, of the registered electors of any such  | 
county is filed with the county clerk requesting a referendum  | 
 | 
on the adoption of a merit system for deputies in the office of  | 
the Sheriff, the county board shall, by appropriate ordinance,  | 
cause the question to be submitted to the electors of the  | 
county, at a special or general election specified in such  | 
ordinance, in accordance with the provisions of Section 28-3  | 
of the "The Election Code", approved May 11, 1943, as now or  | 
hereafter amended. Notice of the election shall be given as  | 
provided in Article 12 of that Code such code. If a majority of  | 
those voting on the proposition at such election vote in favor  | 
thereof, the county board shall adopt and implement a merit  | 
system provided in this Division. When a merit board or merit  | 
commission for sheriff's personnel has been established in a  | 
county, it may be abolished by the same procedure in which it  | 
was established. | 
 This Division does not apply to any county having a  | 
population of more than 1,000,000 nor to any county which has  | 
not elected to adopt the merit system provided by this  | 
Division and which is not required to do so under this Section. | 
(Source: P.A. 86-962; revised 9-25-23.)
 | 
 (55 ILCS 5/4-7001) | 
 Sec. 4-7001. Coroner's fees. The fees of the coroner's  | 
office shall be as follows: | 
  1. For a copy of a transcript of sworn testimony:  | 
 $5.00 per page. | 
  2. For a copy of an autopsy report (if not included in  | 
 | 
 transcript): $50.00. | 
  3. For a copy of the verdict of a coroner's jury:  | 
 $5.00. | 
  4. For a copy of a toxicology report: $25.00. | 
  5. For a print of or an electronic file containing a  | 
 picture obtained by the coroner: actual cost or $3.00,  | 
 whichever is greater. | 
  6. For each copy of miscellaneous reports, including  | 
 artist's drawings but not including police reports: actual  | 
 cost or $25.00, whichever is greater. | 
  7. For a coroner's or medical examiner's permit to  | 
 cremate a dead human body: $100. The coroner may waive, at  | 
 his or her discretion, the permit fee if the coroner  | 
 determines that the person is indigent and unable to pay  | 
 the permit fee or under other special circumstances.  | 
  8. Except in a county with a population over  | 
 3,000,000, on and after January 1, 2024, for a certified  | 
 copy of a transcript of sworn testimony of a coroner's  | 
 inquest made by written request declaring the request is  | 
 for research or genealogy purposes: $15.00 for the entire  | 
 transcript. A request shall be deemed a proper request for  | 
 purpose of research or genealogy if the requested inquest  | 
 occurred not less than 20 years prior to the date of the  | 
 written request. The transcript shall be stamped with the  | 
 words "FOR GENEALOGY OR RESEARCH PURPOSES ONLY". | 
 All of which fees shall be certified by the court; in the  | 
 | 
case of inmates of any State charitable or penal institution,  | 
the fees shall be paid by the operating department or  | 
commission, out of the State Treasury. The coroner shall file  | 
his or her claim in probate for his or her fees and he or she  | 
shall render assistance to the State's Attorney attorney in  | 
the collection of such fees out of the estate of the deceased.  | 
In counties of less than 1,000,000 population, the State's  | 
Attorney attorney shall collect such fees out of the estate of  | 
the deceased. | 
 Except in a county with a population over 3,000,000, on  | 
and after January 1, 2024, the coroner may waive, at his or her  | 
discretion, any fees under this Section if the coroner  | 
determines that the person is indigent and unable to pay the  | 
fee or under other special circumstances as determined by the  | 
coroner. | 
 Except as otherwise provided in this Section, whenever the  | 
coroner is required by law to perform any of the duties of the  | 
office of the sheriff, the coroner is entitled to the like fees  | 
and compensation as are allowed by law to the sheriff for the  | 
performance of similar services. | 
 Except as otherwise provided in this Section, whenever the  | 
coroner of any county is required to travel in the performance  | 
of his or her duties, he or she shall receive the same mileage  | 
fees as are authorized for the sheriff of such county. | 
 All fees under this Section collected by or on behalf of  | 
the coroner's office shall be paid over to the county  | 
 | 
treasurer and deposited into a special account in the county  | 
treasury. Moneys in the special account shall be used solely  | 
for the purchase of electronic and forensic identification  | 
equipment or other related supplies and the operating expenses  | 
of the coroner's office.  | 
 The changes made by Public Act 103-73 this amendatory Act  | 
of the 103rd General Assembly do not apply retroactively.  | 
(Source: P.A. 103-29, eff. 7-1-23; 103-73, eff. 1-1-24;  | 
revised 12-12-23.)
 | 
 (55 ILCS 5/5-1022) | 
 Sec. 5-1022. Competitive bids.  | 
 (a) Any purchase by a county with fewer than 2,000,000  | 
inhabitants of services, materials, equipment or supplies in  | 
excess of $30,000, other than professional services, shall be  | 
contracted for in one of the following ways: | 
  (1) by a contract let to the lowest responsible bidder  | 
 after advertising for bids in a newspaper published within  | 
 the county or, if no newspaper is published within the  | 
 county, then a newspaper having general circulation within  | 
 the county; or | 
  (2) by a contract let without advertising for bids in  | 
 the case of an emergency if authorized by the county  | 
 board; or . | 
  (3) by a contract let without advertising for bids in  | 
 the case of the expedited replacement of a disabled,  | 
 | 
 inoperable, or damaged patrol vehicle of the sheriff's  | 
 department if authorized by the county board.  | 
 (b) In determining the lowest responsible bidder, the  | 
county board shall take into consideration the qualities of  | 
the articles supplied; their conformity with the  | 
specifications; their suitability to the requirements of the  | 
county; the availability of support services; the uniqueness  | 
of the service, materials, equipment, or supplies as it  | 
applies to networked, integrated computer systems; the  | 
compatibility to existing equipment; and the delivery terms.  | 
In addition, the county board may take into consideration the  | 
bidder's active participation in an applicable apprenticeship  | 
program registered with the United States Department of Labor.  | 
The county board also may take into consideration whether a  | 
bidder is a private enterprise or a State-controlled  | 
enterprise and, notwithstanding any other provision of this  | 
Section or a lower bid by a State-controlled enterprise, may  | 
let a contract to the lowest responsible bidder that is a  | 
private enterprise. | 
 (c) This Section does not apply to contracts by a county  | 
with the federal government or to purchases of used equipment,  | 
purchases at auction or similar transactions which by their  | 
very nature are not suitable to competitive bids, pursuant to  | 
an ordinance adopted by the county board. | 
 (d) Notwithstanding the provisions of this Section, a  | 
county may let without advertising for bids in the case of  | 
 | 
purchases and contracts, when individual orders do not exceed  | 
$35,000, for the use, purchase, delivery, movement, or  | 
installation of data processing equipment, software, or  | 
services and telecommunications and inter-connect equipment,  | 
software, and services. | 
 (e) A county may require, as a condition of any contract  | 
for goods and services, that persons awarded a contract with  | 
the county and all affiliates of the person collect and remit  | 
Illinois Use Tax on all sales of tangible personal property  | 
into the State of Illinois in accordance with the provisions  | 
of the Illinois Use Tax Act regardless of whether the person or  | 
affiliate is a "retailer maintaining a place of business  | 
within this State" as defined in Section 2 of the Use Tax Act.  | 
For purposes of this subsection (e), the term "affiliate"  | 
means any entity that (1) directly, indirectly, or  | 
constructively controls another entity, (2) is directly,  | 
indirectly, or constructively controlled by another entity, or  | 
(3) is subject to the control of a common entity. For purposes  | 
of this subsection (e), an entity controls another entity if  | 
it owns, directly or individually, more than 10% of the voting  | 
securities of that entity. As used in this subsection (e), the  | 
term "voting security" means a security that (1) confers upon  | 
the holder the right to vote for the election of members of the  | 
board of directors or similar governing body of the business  | 
or (2) is convertible into, or entitles the holder to receive  | 
upon its exercise, a security that confers such a right to  | 
 | 
vote. A general partnership interest is a voting security. | 
 (f) Bids submitted to, and contracts executed by, the  | 
county may require a certification by the bidder or contractor  | 
that the bidder or contractor is not barred from bidding for or  | 
entering into a contract under this Section and that the  | 
bidder or contractor acknowledges that the county may declare  | 
the contract void if the certification completed pursuant to  | 
this subsection (f) is false. | 
(Source: P.A. 103-14, eff. 1-1-24; 103-286, eff. 7-28-23;  | 
revised 12-12-23.)
 | 
 (55 ILCS 5/5-1069.3) | 
 Sec. 5-1069.3. Required health benefits. If a county,  | 
including a home rule county, is a self-insurer for purposes  | 
of providing health insurance coverage for its employees, the  | 
coverage shall include coverage for the post-mastectomy care  | 
benefits required to be covered by a policy of accident and  | 
health insurance under Section 356t and the coverage required  | 
under Sections 356g, 356g.5, 356g.5-1, 356q, 356u, 356w, 356x,  | 
356z.4, 356z.4a, 356z.6, 356z.8, 356z.9, 356z.10, 356z.11,  | 
356z.12, 356z.13, 356z.14, 356z.15, 356z.22, 356z.25, 356z.26,  | 
356z.29, 356z.30a, 356z.32, 356z.33, 356z.36, 356z.40,  | 
356z.41, 356z.45, 356z.46, 356z.47, 356z.48, 356z.51, 356z.53,  | 
356z.54, 356z.56, 356z.57, 356z.59, 356z.60, and 356z.61, and  | 
356z.62, 356z.64, 356z.67, 356z.68, and 356z.70 of the  | 
Illinois Insurance Code. The coverage shall comply with  | 
 | 
Sections 155.22a, 355b, 356z.19, and 370c of the Illinois  | 
Insurance Code. The Department of Insurance shall enforce the  | 
requirements of this Section. The requirement that health  | 
benefits be covered as provided in this Section is an  | 
exclusive power and function of the State and is a denial and  | 
limitation under Article VII, Section 6, subsection (h) of the  | 
Illinois Constitution. A home rule county to which this  | 
Section applies must comply with every provision of this  | 
Section.  | 
 Rulemaking authority to implement Public Act 95-1045, if  | 
any, is conditioned on the rules being adopted in accordance  | 
with all provisions of the Illinois Administrative Procedure  | 
Act and all rules and procedures of the Joint Committee on  | 
Administrative Rules; any purported rule not so adopted, for  | 
whatever reason, is unauthorized.  | 
(Source: P.A. 102-30, eff. 1-1-22; 102-103, eff. 1-1-22;  | 
102-203, eff. 1-1-22; 102-306, eff. 1-1-22; 102-443, eff.  | 
1-1-22; 102-642, eff. 1-1-22; 102-665, eff. 10-8-21; 102-731,  | 
eff. 1-1-23; 102-804, eff. 1-1-23; 102-813, eff. 5-13-22;  | 
102-816, eff. 1-1-23; 102-860, eff. 1-1-23; 102-1093, eff.  | 
1-1-23; 102-1117, eff. 1-13-23; 103-84, eff. 1-1-24; 103-91,  | 
eff. 1-1-24; 103-420, eff. 1-1-24; 103-445, eff. 1-1-24;  | 
103-535, eff. 8-11-23; 103-551, eff. 8-11-23; revised  | 
8-29-23.)
 | 
 Section 245. The Illinois Municipal Code is amended by  | 
 | 
changing Sections 8-4-1 and 10-4-2.3 as follows:
 | 
 (65 ILCS 5/8-4-1) (from Ch. 24, par. 8-4-1) | 
 Sec. 8-4-1. No bonds shall be issued by the corporate  | 
authorities of any municipality until the question of  | 
authorizing such bonds has been submitted to the electors of  | 
that municipality provided that notice of the bond referendum,  | 
if held before July 1, 1999, has been given in accordance with  | 
the provisions of Section 12-5 of the Election Code in effect  | 
at the time of the bond referendum, at least 10 and not more  | 
than 45 days before the date of the election, notwithstanding  | 
the time for publication otherwise imposed by Section 12-5,  | 
and approved by a majority of the electors voting upon that  | 
question. Notices required in connection with the submission  | 
of public questions on or after July 1, 1999 shall be as set  | 
forth in Section 12-5 of the Election Code. The clerk shall  | 
certify the proposition of the corporate authorities to the  | 
proper election authority who shall submit the question at an  | 
election in accordance with the general election law, subject  | 
to the notice provisions set forth in this Section. | 
 Notice of any such election shall contain the amount of  | 
the bond issue, purpose for which issued, and maximum rate of  | 
interest. | 
 In addition to all other authority to issue bonds, the  | 
Village of Indian Head Park is authorized to issue bonds for  | 
the purpose of paying the costs of making roadway improvements  | 
 | 
in an amount not to exceed the aggregate principal amount of  | 
$2,500,000, provided that 60% of the votes cast at the general  | 
primary election held on March 18, 2014 are cast in favor of  | 
the issuance of the bonds, and the bonds are issued by December  | 
31, 2014.  | 
 However, without the submission of the question of issuing  | 
bonds to the electors, the corporate authorities of any  | 
municipality may authorize the issuance of any of the  | 
following bonds: | 
  (1) Bonds to refund any existing bonded indebtedness; | 
  (2) Bonds to fund or refund any existing judgment  | 
 indebtedness; | 
  (3) In any municipality of less than 500,000  | 
 population, bonds to anticipate the collection of  | 
 installments of special assessments and special taxes  | 
 against property owned by the municipality and to  | 
 anticipate the collection of the amount apportioned to the  | 
 municipality as public benefits under Article 9; | 
  (4) Bonds issued by any municipality under Sections  | 
 8-4-15 through 8-4-23, 11-23-1 through 11-23-12, 11-26-1  | 
 through 11-26-6, 11-71-1 through 11-71-10, 11-74.3-1  | 
 through 11-74.3-7, 11-74.4-1 through 11-74.4-11, 11-74.5-1  | 
 through 11-74.5-15, 11-94-1 through 11-94-7, 11-102-1  | 
 through 11-102-10, 11-103-11 through 11-103-15, 11-118-1  | 
 through 11-118-6, 11-119-1 through 11-119-5, 11-129-1  | 
 through 11-129-7, 11-133-1 through 11-133-4, 11-139-1  | 
 | 
 through 11-139-12, 11-141-1 through 11-141-18 of this  | 
 Code, or 10-801 through 10-808 of the Illinois Highway  | 
 Code, as amended; | 
  (5) Bonds issued by the board of education of any  | 
 school district under the provisions of Sections 34-30  | 
 through 34-36 of the The School Code, as amended; | 
  (6) Bonds issued by any municipality under the  | 
 provisions of Division 6 of this Article 8; and by any  | 
 municipality under the provisions of Division 7 of this  | 
 Article 8; or under the provisions of Sections 11-121-4  | 
 and 11-121-5; | 
  (7) Bonds to pay for the purchase of voting machines  | 
 by any municipality that has adopted Article 24 of the The  | 
 Election Code, approved May 11, 1943, as amended; | 
  (8) Bonds issued by any municipality under Sections 15  | 
 and 46 of the "Environmental Protection Act", approved  | 
 June 29, 1970; | 
  (9) Bonds issued by the corporate authorities of any  | 
 municipality under the provisions of Section 8-4-25 of  | 
 this Article 8; | 
  (10) Bonds issued under Section 8-4-26 of this Article  | 
 8 by any municipality having a board of election  | 
 commissioners; | 
  (11) Bonds issued under the provisions of the Special  | 
 Service Area Tax Act (repealed) "An Act to provide the  | 
 manner of levying or imposing taxes for the provision of  | 
 | 
 special services to areas within the boundaries of home  | 
 rule units and nonhome rule municipalities and counties",  | 
 approved September 21, 1973; | 
  (12) Bonds issued under Section 8-5-16 of this Code; | 
  (13) Bonds to finance the cost of the acquisition,  | 
 construction, or improvement of water or wastewater  | 
 treatment facilities mandated by an enforceable compliance  | 
 schedule developed in connection with the federal Clean  | 
 Water Act or a compliance order issued by the United  | 
 States Environmental Protection Agency or the Illinois  | 
 Pollution Control Board; provided that such bonds are  | 
 authorized by an ordinance adopted by a three-fifths  | 
 majority of the corporate authorities of the municipality  | 
 issuing the bonds which ordinance shall specify that the  | 
 construction or improvement of such facilities is  | 
 necessary to alleviate an emergency condition in such  | 
 municipality; | 
  (14) Bonds issued by any municipality pursuant to  | 
 Section 11-113.1-1; | 
  (15) Bonds issued under Sections 11-74.6-1 through  | 
 11-74.6-45, the Industrial Jobs Recovery Law of this Code; | 
  (16) Bonds issued under the Innovation Development and  | 
 Economy Act, except as may be required by Section 35 of  | 
 that Act. | 
(Source: P.A. 102-587, eff. 1-1-22; revised 9-25-23.)
 | 
 | 
 (65 ILCS 5/10-4-2.3) | 
 Sec. 10-4-2.3. Required health benefits. If a  | 
municipality, including a home rule municipality, is a  | 
self-insurer for purposes of providing health insurance  | 
coverage for its employees, the coverage shall include  | 
coverage for the post-mastectomy care benefits required to be  | 
covered by a policy of accident and health insurance under  | 
Section 356t and the coverage required under Sections 356g,  | 
356g.5, 356g.5-1, 356q, 356u, 356w, 356x, 356z.4, 356z.4a,  | 
356z.6, 356z.8, 356z.9, 356z.10, 356z.11, 356z.12, 356z.13,  | 
356z.14, 356z.15, 356z.22, 356z.25, 356z.26, 356z.29,  | 
356z.30a, 356z.32, 356z.33, 356z.36, 356z.40, 356z.41,  | 
356z.45, 356z.46, 356z.47, 356z.48, 356z.51, 356z.53, 356z.54,  | 
356z.56, 356z.57, 356z.59, 356z.60, and 356z.61, and 356z.62,  | 
356z.64, 356z.67, 356z.68, and 356z.70 of the Illinois  | 
Insurance Code. The coverage shall comply with Sections  | 
155.22a, 355b, 356z.19, and 370c of the Illinois Insurance  | 
Code. The Department of Insurance shall enforce the  | 
requirements of this Section. The requirement that health  | 
benefits be covered as provided in this is an exclusive power  | 
and function of the State and is a denial and limitation under  | 
Article VII, Section 6, subsection (h) of the Illinois  | 
Constitution. A home rule municipality to which this Section  | 
applies must comply with every provision of this Section.  | 
 Rulemaking authority to implement Public Act 95-1045, if  | 
any, is conditioned on the rules being adopted in accordance  | 
 | 
with all provisions of the Illinois Administrative Procedure  | 
Act and all rules and procedures of the Joint Committee on  | 
Administrative Rules; any purported rule not so adopted, for  | 
whatever reason, is unauthorized.  | 
(Source: P.A. 102-30, eff. 1-1-22; 102-103, eff. 1-1-22;  | 
102-203, eff. 1-1-22; 102-306, eff. 1-1-22; 102-443, eff.  | 
1-1-22; 102-642, eff. 1-1-22; 102-665, eff. 10-8-21; 102-731,  | 
eff. 1-1-23; 102-804, eff. 1-1-23; 102-813, eff. 5-13-22;  | 
102-816, eff. 1-1-23; 102-860, eff. 1-1-23; 102-1093, eff.  | 
1-1-23; 102-1117, eff. 1-13-23; 103-84, eff. 1-1-24; 103-91,  | 
eff. 1-1-24; 103-420, eff. 1-1-24; 103-445, eff. 1-1-24;  | 
103-535, eff. 8-11-23; 103-551, eff. 8-11-23; revised  | 
8-29-23.)
 | 
 Section 250. The Fire Protection District Act is amended  | 
by changing Section 20 as follows:
 | 
 (70 ILCS 705/20) (from Ch. 127 1/2, par. 38.3) | 
 Sec. 20. Disconnection by operation of law.  | 
 (a) Any territory within a fire protection district that  | 
is or has been annexed to a municipality that provides fire  | 
protection for property within such city, village or  | 
incorporated town is, by operation of law, disconnected from  | 
the fire protection district as of the January first after  | 
such territory is annexed to the municipality as long as the  | 
municipality has conducted a response-time study that shows,  | 
 | 
at a minimum, estimated response times from the fire  | 
protection district to the territory and estimated response  | 
times of the municipal fire department from the territory or  | 
in case any such territory has been so annexed prior to the  | 
effective date of this amendatory Act of 1965, as of January 1,  | 
1966. | 
 (b) The disconnection by operation of law does not occur  | 
if, within 60 days after such annexation or after the  | 
effective date of this amendatory Act of 1965, whichever is  | 
later, the fire protection district files with the appropriate  | 
court and with the County Clerk of each county in which the  | 
fire protection district is located, a petition alleging that  | 
such disconnection will cause the territory remaining in the  | 
district to be noncontiguous or that the loss of assessed  | 
valuation by reason of such disconnection will impair the  | 
ability of the district to render fully adequate fire  | 
protection service to the territory remaining with the  | 
district. When such a petition is filed, with the court and  | 
with the County Clerk of each county in which the fire  | 
protection district is located, the court shall set it for  | 
hearing, and further proceedings shall be held, as provided in  | 
Section 15 of this Act, except that the city, village or  | 
incorporated town that annexed the territory shall be a  | 
necessary party to the proceedings, and it shall be served  | 
with summons in the manner for a party defendant under the  | 
Civil Practice Law. At such hearing, the district has the  | 
 | 
burden of proving the truth of the allegations in its  | 
petition. | 
 (c) If disconnection does not occur, then the city,  | 
village or incorporated town in which part of a fire  | 
protection district's territory is located, is prohibited from  | 
levying the tax provided for by Section 11-7-1 of the  | 
"Illinois Municipal Code" in such fire protection district  | 
territory for services provided to the residents of such  | 
territory by the fire protection district. | 
 (d) If there are any general obligation bonds of the fire  | 
protection district outstanding and unpaid at the time such  | 
territory is disconnected from the fire protection district by  | 
operation of this Section, such territory shall remain liable  | 
for its proportionate share of such bonded indebtedness and  | 
the fire protection district may continue to levy and extend  | 
taxes upon the taxable property in such territory for the  | 
purpose of amortizing such bonds until such time as sufficient  | 
funds to retire such bonds have been collected. | 
 (e) On and after January 1, 2000 (the effective date of  | 
Public Act 91-307) this amendatory Act of the 91st General  | 
Assembly, when territory is disconnected from a fire  | 
protection district under this Section, the annexing  | 
municipality shall pay, on or before December 31 of each year  | 
for a period of 5 years after the effective date of the  | 
disconnection, to the fire protection district from which the  | 
territory was disconnected, an amount as follows: | 
 | 
  (1) In the first year after the disconnection, an  | 
 amount equal to the real estate tax collected on the  | 
 property in the disconnected territory by the fire  | 
 protection district in the tax year immediately preceding  | 
 the year in which the disconnection took effect. | 
  (2) In the second year after the disconnection, an  | 
 amount equal to 80% of the real estate tax collected on the  | 
 property in the disconnected territory by the fire  | 
 protection district in the tax year immediately preceding  | 
 the year in which the disconnection took effect. | 
  (3) In the third year after the disconnection, an  | 
 amount equal to 60% of the real estate tax collected on the  | 
 property in the disconnected territory by the fire  | 
 protection district in the tax year immediately preceding  | 
 the year in which the disconnection took effect. | 
  (4) In the fourth year after the disconnection, an  | 
 amount equal to 40% of the real estate tax collected on the  | 
 property in the disconnected territory by the fire  | 
 protection district in the tax year immediately preceding  | 
 the year in which the disconnection took effect. | 
  (5) In the fifth year after the disconnection, an  | 
 amount equal to 20% of the real estate tax collected on the  | 
 property in the disconnected territory by the fire  | 
 protection district in the tax year immediately preceding  | 
 the year in which the disconnection took effect. | 
 This subsection (e) applies to a fire protection district  | 
 | 
only if the corporate authorities of the district do not file a  | 
petition against the disconnection under subsection (b). | 
 (f) A municipality that does not timely make the payment  | 
required in subsection (e) and which refuses to make such  | 
payment within 30 days following a written demand by the fire  | 
protection district entitled to the payment or which causes a  | 
fire protection district to incur an expense in order to  | 
collect the amount to which it is entitled under subsection  | 
(e) shall, in addition to the amount due under subsection (e),  | 
be responsible to reimburse the fire protection district for  | 
all costs incurred by the fire protection district in  | 
collecting the amount due, including, but not limited to,  | 
reasonable legal fees and court costs.  | 
(Source: P.A. 102-574, eff. 1-1-22; 102-773, eff. 1-1-23;  | 
revised 4-5-23.)
 | 
 Section 255. The Illinois Waterway Ports Commission Act is  | 
amended by changing Section 15 as follows:
 | 
 (70 ILCS 1816/15) | 
 Sec. 15. Powers. | 
 (a) The Commission may request funding from any federal,  | 
state, municipal, or local government or any other person or  | 
organization for purposes of the Commission within the  | 
Commission's jurisdiction. The individual port districts  | 
within the Commission's jurisdiction retain authority to  | 
 | 
request funding from any federal, state, municipal, or local  | 
government or any other person or organization for purposes of  | 
the individual port districts within the Commission area. | 
 (b) The Commission may enter into a memorandum of  | 
understanding or intergovernmental agreement with the State, a  | 
unit of local government, or a federal governmental  | 
organization in the performance of its duties. The Commission  | 
may not exercise control over an a operation of a port district  | 
established by any other law except by voluntary agreement  | 
between the port district and the Commission. | 
 (c) The Commission may perform any other act that may be  | 
useful in performing its duties under Section 10 or powers  | 
under this Section. | 
(Source: P.A. 103-214, eff. 6-30-23; revised 9-25-23.)
 | 
 Section 260. The Emergency Services Districts Act is  | 
amended by changing Section 11 as follows:
 | 
 (70 ILCS 2005/11) | 
 Sec. 11. Property tax; fees.  | 
 (a) An emergency services district organized under this  | 
Act may levy and collect a general tax on the property situated  | 
in the district, but the aggregate amount of taxes levied for  | 
any one year shall not exceed the rate of .20% of value, as  | 
equalized or assessed by the Department of Revenue. The board  | 
of trustees shall determine and certify the amount to be  | 
 | 
levied and shall return the same to the county clerk. The  | 
limitation upon the tax rate may be increased or decreased  | 
under the referendum provisions of the General Revenue Law of  | 
Illinois. | 
 In case the district is located in more than one county,  | 
the board of trustees shall determine and certify the amount  | 
to be levied upon the taxable property lying in each county and  | 
return the same to the respective county clerks of the  | 
counties in which the amount is to be levied. In order to  | 
determine the amount to be levied upon the taxable property of  | 
that part of the district lying in each county, the board shall  | 
ascertain from the county clerk of the respective counties in  | 
which the district lies the last ascertained equalized value  | 
of the taxable property of the district lying in their  | 
respective counties, then shall ascertain the rate per cent  | 
required and shall, accordingly, apportion the whole amount to  | 
be raised between the several parts of the district so lying in  | 
the different counties. The tax provided for in this Section  | 
shall be levied at the same time and in the same manner as  | 
nearly as practicable as taxes are now levied for municipal  | 
purposes under the laws of this State. | 
 All general taxes under this Act, when collected, shall be  | 
paid over to the treasurer of the board of trustees, who is  | 
authorized to receive and receipt for the same. | 
 (b) An emergency services A rescue squad district  | 
organized under this Act may fix, charge, and collect fees for  | 
 | 
rescue squad services and ambulance services within or outside  | 
of the rescue squad district not exceeding the reasonable cost  | 
of the service.  | 
(Source: P.A. 103-134, eff. 1-1-24; 103-174, eff. 6-30-23;  | 
revised 12-12-23.)
 | 
 Section 265. The Metropolitan Transit Authority Act is  | 
amended by changing Section 51 as follows:
 | 
 (70 ILCS 3605/51) | 
 Sec. 51. Free and reduced fare services; eligibility. | 
 (a) Notwithstanding any law to the contrary, no later than  | 
60 days following January 18, 2008 (the effective date of  | 
Public Act 95-708) this amendatory Act of the 95th General  | 
Assembly and until subsection (b) is implemented, any fixed  | 
route public transportation services provided by, or under  | 
grant or purchase of service contracts of, the Board shall be  | 
provided without charge to all senior citizens of the  | 
Metropolitan Region (as such term is defined in Section 1.03  | 
of the Regional Transportation Authority Act 70 ILCS  | 
3615/1.03) aged 65 and older, under such conditions as shall  | 
be prescribed by the Board. | 
 (b) Notwithstanding any law to the contrary, no later than  | 
180 days following February 14, 2011 (the effective date of  | 
Public Act 96-1527) this amendatory Act of the 96th General  | 
Assembly, any fixed route public transportation services  | 
 | 
provided by, or under grant or purchase of service contracts  | 
of, the Board shall be provided without charge to senior  | 
citizens aged 65 and older who meet the income eligibility  | 
limitation set forth in subsection (a-5) of Section 4 of the  | 
Senior Citizens and Persons with Disabilities Property Tax  | 
Relief Act, under such conditions as shall be prescribed by  | 
the Board. The Department on Aging shall furnish all  | 
information reasonably necessary to determine eligibility,  | 
including updated lists of individuals who are eligible for  | 
services without charge under this Section. After an initial  | 
eligibility determination is made, an individual's eligibility  | 
for free services shall automatically renew every 5 years  | 
after receipt by the Authority of a copy of the individual's  | 
government-issued identification card validating Illinois  | 
residency. Nothing in this Section shall relieve the Board  | 
from providing reduced fares as may be required by federal  | 
law.  | 
 (c) The Board shall partner with the City of Chicago to  | 
provide transportation at reduced fares for participants in  | 
programs that offer employment and internship opportunities to  | 
youth and young adults ages 14 through 24.  | 
(Source: P.A. 103-241, eff. 1-1-24; 103-281, eff. 1-1-24;  | 
revised 12-12-23.)
 | 
 Section 270. The Illinois Library System Act is amended by  | 
changing Section 3 as follows:
 | 
 | 
 (75 ILCS 10/3) (from Ch. 81, par. 113) | 
 Sec. 3. The State Librarian and the Illinois State Library  | 
staff shall administer the provisions of this Act and shall  | 
prescribe such rules and regulations as are necessary to carry  | 
the provisions of this Act into effect. | 
 The rules and regulations established by the State  | 
Librarian for the administration of this Act shall be designed  | 
to achieve the following standards and objectives: | 
  (A) Provide A provide library service for every  | 
 citizen in the State by extending library facilities to  | 
 areas not now served. | 
  (B) Provide B provide library materials for student  | 
 needs at every educational level. | 
  (C) Provide C provide adequate library materials to  | 
 satisfy the reference and research needs of the people of  | 
 this State. | 
  (D) Provide D provide an adequate staff of  | 
 professionally trained librarians for the State. | 
  (E) Adopt E adopt the American Library Association's  | 
 Library Bill of Rights that indicates materials should not  | 
 be proscribed or removed because of partisan or doctrinal  | 
 disapproval or, in the alternative, develop a written  | 
 statement declaring the inherent authority of the library  | 
 or library system to provide an adequate collection of  | 
 books and other materials sufficient in size and varied in  | 
 | 
 kind and subject matter to satisfy the library needs of  | 
 the people of this State and prohibit the practice of  | 
 banning specific books or resources. | 
  (F) Provide F provide adequate library outlets and  | 
 facilities convenient in time and place to serve the  | 
 people of this State. | 
  (G) Encourage G encourage existing and new libraries  | 
 to develop library systems serving a sufficiently large  | 
 population to support adequate library service at  | 
 reasonable cost. | 
  (H) Foster H foster the economic and efficient  | 
 utilization of public funds. | 
  (I) Promote I promote the full utilization of local  | 
 pride, responsibility, initiative, and support of library  | 
 service and, at the same time, employ State aid as a  | 
 supplement to local support. | 
 The Advisory Committee of the Illinois State Library shall  | 
confer with, advise, and make recommendations to the State  | 
Librarian regarding any matter under this Act and particularly  | 
with reference to the formation of library systems. | 
(Source: P.A. 103-100, eff. 1-1-24; revised 1-2-24.)
 | 
 Section 275. The School Code is amended by changing  | 
Sections 2-3.25d-5, 2-3.25o, 2-3.163, 3-11, 10-17a, 10-20.67,  | 
10-22.3f, 10-22.36, 10-22.39, 14-7.02, 14-8.02, 18-8.15, 19-6,  | 
21B-30, 21B-50, 21B-70, 22-30, 24-2, 24-12, 24A-5, 26A-40,  | 
 | 
27-23.1, 27A-3, 27A-5, 27A-6, 27A-7, 27A-11.5, and 34-84, by  | 
setting forth and renumbering multiple versions of Sections  | 
2-3.196, 10-20.85, and 34-18.82, and by setting forth,  | 
renumbering, and changing multiple versions of Section 22-95  | 
as follows:
 | 
 (105 ILCS 5/2-3.25d-5) | 
 Sec. 2-3.25d-5. Targeted, Comprehensive, and Intensive  | 
schools. | 
 (a) Beginning in 2018, a school designated as  | 
"Comprehensive" shall be defined as: | 
  (1) a school that is among the lowest performing 5% of  | 
 schools in this State based on the multi-measures  | 
 accountability system defined in the State Plan, with  | 
 respect to the performance of the "all students" group; | 
  (2) any high school with a graduation rate of less  | 
 than 67%; | 
  (2.5) any school that has completed a full 4-year  | 
 cycle of Targeted School Improvement but remains  | 
 identified for Targeted Support for one or more of the  | 
 same student groups originally identified for Targeted  | 
 Support; or  | 
  (3) (blank). | 
 The State Board of Education shall work with districts  | 
with one or more schools in Comprehensive School Improvement  | 
Status to perform a needs assessment to determine the  | 
 | 
district's core functions that are areas of strength and  | 
weakness. The results from the needs assessment shall be used  | 
by the district and school to identify goals and objectives  | 
for improvement. The needs assessment shall include, at a  | 
minimum, a review of the following areas: student performance  | 
on State assessments; student performance on local  | 
assessments; finances, including resource allocation reviews;  | 
governance, including effectiveness of school leadership;  | 
student engagement opportunities and access to those  | 
opportunities; instructional practices; standards-aligned  | 
curriculum; school climate and culture survey results; family  | 
and community engagement; reflective stakeholder engagement;  | 
continuous school improvement practices; educator and employee  | 
quality, including staff continuity and turnover rates; and  | 
alignment of professional development to continuous  | 
improvement efforts. | 
 (b) Beginning in 2018, a school designated as "Targeted"  | 
shall be defined as a school in which one or more student  | 
groups is performing at or below the level of the "all  | 
students" group of schools designated Comprehensive, as  | 
defined in paragraph (1) of subsection (a) of this Section. | 
 (c) Beginning in 2023, a school designated as "Intensive"  | 
shall be defined as a school that has completed a full 4-year  | 
cycle of Comprehensive School Improvement but does not meet  | 
the criteria to exit that status, as defined in the State Plan  | 
referenced in subsection (b) of Section 2-3.25a of this Code,  | 
 | 
at the end of the cycle.  | 
 (d) All schools in school improvement status, including  | 
Comprehensive, Targeted, and Intensive schools, must complete  | 
a school-level needs assessment and develop and implement a  | 
continuous improvement plan.  | 
(Source: P.A. 103-175, eff. 6-30-23; revised 9-22-23.)
 | 
 (105 ILCS 5/2-3.25o) | 
 Sec. 2-3.25o. Registration and recognition of non-public  | 
elementary and secondary schools.  | 
 (a) Findings. The General Assembly finds and declares (i)  | 
that the Constitution of the State of Illinois provides that a  | 
"fundamental goal of the People of the State is the  | 
educational development of all persons to the limits of their  | 
capacities" and (ii) that the educational development of every  | 
school student serves the public purposes of the State. In  | 
order to ensure that all Illinois students and teachers have  | 
the opportunity to enroll and work in State-approved  | 
educational institutions and programs, the State Board of  | 
Education shall provide for the voluntary registration and  | 
recognition of non-public elementary and secondary schools.  | 
 (b) Registration. All non-public elementary and secondary  | 
schools in the State of Illinois may voluntarily register with  | 
the State Board of Education on an annual basis. Registration  | 
shall be completed in conformance with procedures prescribed  | 
by the State Board of Education. Information required for  | 
 | 
registration shall include assurances of compliance (i) with  | 
federal and State laws regarding health examination and  | 
immunization, attendance, length of term, and  | 
nondiscrimination, including assurances that the school will  | 
not prohibit hairstyles historically associated with race,  | 
ethnicity, or hair texture, including, but not limited to,  | 
protective hairstyles such as braids, locks, and twists, and  | 
(ii) with applicable fire and health safety requirements. | 
 (c) Recognition. All non-public elementary and secondary  | 
schools in the State of Illinois may voluntarily seek the  | 
status of "Non-public School Recognition" from the State Board  | 
of Education. This status may be obtained by compliance with  | 
administrative guidelines and review procedures as prescribed  | 
by the State Board of Education. The guidelines and procedures  | 
must recognize that some of the aims and the financial bases of  | 
non-public schools are different from public schools and will  | 
not be identical to those for public schools, nor will they be  | 
more burdensome. The guidelines and procedures must also  | 
recognize the diversity of non-public schools and shall not  | 
impinge upon the noneducational relationships between those  | 
schools and their clientele.  | 
 (c-5) Prohibition against recognition. A non-public  | 
elementary or secondary school may not obtain "Non-public  | 
School Recognition" status unless the school requires all  | 
certified and non-certified applicants for employment with the  | 
school, after July 1, 2007, to authorize a fingerprint-based  | 
 | 
criminal history records check as a condition of employment to  | 
determine if such applicants have been convicted of any of the  | 
enumerated criminal or drug offenses set forth in Section  | 
21B-80 of this Code or have been convicted, within 7 years of  | 
the application for employment, of any other felony under the  | 
laws of this State or of any offense committed or attempted in  | 
any other state or against the laws of the United States that,  | 
if committed or attempted in this State, would have been  | 
punishable as a felony under the laws of this State. | 
 Authorization for the check shall be furnished by the  | 
applicant to the school, except that if the applicant is a  | 
substitute teacher seeking employment in more than one  | 
non-public school, a teacher seeking concurrent part-time  | 
employment positions with more than one non-public school (as  | 
a reading specialist, special education teacher, or  | 
otherwise), or an educational support personnel employee  | 
seeking employment positions with more than one non-public  | 
school, then only one of the non-public schools employing the  | 
individual shall request the authorization. Upon receipt of  | 
this authorization, the non-public school shall submit the  | 
applicant's name, sex, race, date of birth, social security  | 
number, fingerprint images, and other identifiers, as  | 
prescribed by the Illinois State Police, to the Illinois State  | 
Police. | 
 The Illinois State Police and Federal Bureau of  | 
Investigation shall furnish, pursuant to a fingerprint-based  | 
 | 
criminal history records check, records of convictions,  | 
forever and hereafter, until expunged, to the president or  | 
principal of the non-public school that requested the check.  | 
The Illinois State Police shall charge that school a fee for  | 
conducting such check, which fee must be deposited into the  | 
State Police Services Fund and must not exceed the cost of the  | 
inquiry. Subject to appropriations for these purposes, the  | 
State Superintendent of Education shall reimburse non-public  | 
schools for fees paid to obtain criminal history records  | 
checks under this Section. | 
 A non-public school may not obtain recognition status  | 
unless the school also performs a check of the Statewide Sex  | 
Offender Database, as authorized by the Sex Offender Community  | 
Notification Law, and the Statewide Murderer and Violent  | 
Offender Against Youth Database, as authorized by the Murderer  | 
and Violent Offender Against Youth Registration Act, for each  | 
applicant for employment, after July 1, 2007, to determine  | 
whether the applicant has been adjudicated of a sex offense or  | 
of a murder or other violent crime against youth. The checks of  | 
the Statewide Sex Offender Database and the Statewide  | 
Stateside Murderer and Violent Offender Against Youth Database  | 
must be conducted by the non-public school once for every 5  | 
years that an applicant remains employed by the non-public  | 
school.. | 
 Any information concerning the record of convictions  | 
obtained by a non-public school's president or principal under  | 
 | 
this Section is confidential and may be disseminated only to  | 
the governing body of the non-public school or any other  | 
person necessary to the decision of hiring the applicant for  | 
employment. A copy of the record of convictions obtained from  | 
the Illinois State Police shall be provided to the applicant  | 
for employment. Upon a check of the Statewide Sex Offender  | 
Database, the non-public school shall notify the applicant as  | 
to whether or not the applicant has been identified in the Sex  | 
Offender Database as a sex offender. Any information  | 
concerning the records of conviction obtained by the  | 
non-public school's president or principal under this Section  | 
for a substitute teacher seeking employment in more than one  | 
non-public school, a teacher seeking concurrent part-time  | 
employment positions with more than one non-public school (as  | 
a reading specialist, special education teacher, or  | 
otherwise), or an educational support personnel employee  | 
seeking employment positions with more than one non-public  | 
school may be shared with another non-public school's  | 
principal or president to which the applicant seeks  | 
employment. Any unauthorized release of confidential  | 
information may be a violation of Section 7 of the Criminal  | 
Identification Act. | 
 No non-public school may obtain recognition status that  | 
knowingly employs a person, hired after July 1, 2007, for whom  | 
an Illinois State Police and Federal Bureau of Investigation  | 
fingerprint-based criminal history records check and a  | 
 | 
Statewide Sex Offender Database check has not been initiated  | 
or who has been convicted of any offense enumerated in Section  | 
21B-80 of this Code or any offense committed or attempted in  | 
any other state or against the laws of the United States that,  | 
if committed or attempted in this State, would have been  | 
punishable as one or more of those offenses. No non-public  | 
school may obtain recognition status under this Section that  | 
knowingly employs a person who has been found to be the  | 
perpetrator of sexual or physical abuse of a minor under 18  | 
years of age pursuant to proceedings under Article II of the  | 
Juvenile Court Act of 1987. | 
 In order to obtain recognition status under this Section,  | 
a non-public school must require compliance with the  | 
provisions of this subsection (c-5) from all employees of  | 
persons or firms holding contracts with the school, including,  | 
but not limited to, food service workers, school bus drivers,  | 
and other transportation employees, who have direct, daily  | 
contact with pupils. Any information concerning the records of  | 
conviction or identification as a sex offender of any such  | 
employee obtained by the non-public school principal or  | 
president must be promptly reported to the school's governing  | 
body.  | 
 Prior to the commencement of any student teaching  | 
experience or required internship (which is referred to as  | 
student teaching in this Section) in any non-public elementary  | 
or secondary school that has obtained or seeks to obtain  | 
 | 
recognition status under this Section, a student teacher is  | 
required to authorize a fingerprint-based criminal history  | 
records check. Authorization for and payment of the costs of  | 
the check must be furnished by the student teacher to the chief  | 
administrative officer of the non-public school where the  | 
student teaching is to be completed. Upon receipt of this  | 
authorization and payment, the chief administrative officer of  | 
the non-public school shall submit the student teacher's name,  | 
sex, race, date of birth, social security number, fingerprint  | 
images, and other identifiers, as prescribed by the Illinois  | 
State Police, to the Illinois State Police. The Illinois State  | 
Police and the Federal Bureau of Investigation shall furnish,  | 
pursuant to a fingerprint-based criminal history records  | 
check, records of convictions, forever and hereinafter, until  | 
expunged, to the chief administrative officer of the  | 
non-public school that requested the check. The Illinois State  | 
Police shall charge the school a fee for conducting the check,  | 
which fee must be passed on to the student teacher, must not  | 
exceed the cost of the inquiry, and must be deposited into the  | 
State Police Services Fund. The school shall further perform a  | 
check of the Statewide Sex Offender Database, as authorized by  | 
the Sex Offender Community Notification Law, and of the  | 
Statewide Murderer and Violent Offender Against Youth  | 
Database, as authorized by the Murderer and Violent Offender  | 
Against Youth Registration Act, for each student teacher. No  | 
school that has obtained or seeks to obtain recognition status  | 
 | 
under this Section may knowingly allow a person to student  | 
teach for whom a criminal history records check, a Statewide  | 
Sex Offender Database check, and a Statewide Murderer and  | 
Violent Offender Against Youth Database check have not been  | 
completed and reviewed by the chief administrative officer of  | 
the non-public school. | 
 A copy of the record of convictions obtained from the  | 
Illinois State Police must be provided to the student teacher.  | 
Any information concerning the record of convictions obtained  | 
by the chief administrative officer of the non-public school  | 
is confidential and may be transmitted only to the chief  | 
administrative officer of the non-public school or his or her  | 
designee, the State Superintendent of Education, the State  | 
Educator Preparation and Licensure Board, or, for  | 
clarification purposes, the Illinois State Police or the  | 
Statewide Sex Offender Database or Statewide Murderer and  | 
Violent Offender Against Youth Database. Any unauthorized  | 
release of confidential information may be a violation of  | 
Section 7 of the Criminal Identification Act. | 
 No school that has obtained or seeks to obtain recognition  | 
status under this Section may knowingly allow a person to  | 
student teach who has been convicted of any offense that would  | 
subject him or her to license suspension or revocation  | 
pursuant to Section 21B-80 of this Code or who has been found  | 
to be the perpetrator of sexual or physical abuse of a minor  | 
under 18 years of age pursuant to proceedings under Article II  | 
 | 
of the Juvenile Court Act of 1987.  | 
 Any school that has obtained or seeks to obtain  | 
recognition status under this Section may not prohibit  | 
hairstyles historically associated with race, ethnicity, or  | 
hair texture, including, but not limited to, protective  | 
hairstyles such as braids, locks, and twists.  | 
 (d) Public purposes. The provisions of this Section are in  | 
the public interest, for the public benefit, and serve secular  | 
public purposes.  | 
 (e) Definition. For purposes of this Section, a non-public  | 
school means any non-profit, non-home-based, and non-public  | 
elementary or secondary school that is in compliance with  | 
Title VI of the Civil Rights Act of 1964 and attendance at  | 
which satisfies the requirements of Section 26-1 of this Code.  | 
(Source: P.A. 102-360, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
102-813, eff. 5-13-22; 103-111, eff. 6-29-23; revised  | 
9-20-23.)
 | 
 (105 ILCS 5/2-3.163) | 
 Sec. 2-3.163. PUNS database information for students and  | 
parents or guardians. | 
 (a) The General Assembly makes all of the following  | 
findings: | 
  (1) Pursuant to Section 10-26 of the Department of  | 
 Human Services Act, the Department of Human Services  | 
 maintains a statewide database known as the PUNS database  | 
 | 
 that records information about individuals with  | 
 intellectual disabilities or developmental disabilities  | 
 who are potentially in need of services. | 
  (2) The Department of Human Services uses the data on  | 
 PUNS to select individuals for services as funding becomes  | 
 available, to develop proposals and materials for  | 
 budgeting, and to plan for future needs. | 
  (3) The PUNS database is available for adults with  | 
 intellectual disabilities or developmental disabilities  | 
 who have unmet service needs anticipated in the next 5  | 
 years. The PUNS database is also available for children  | 
 with intellectual disabilities or developmental  | 
 disabilities with unmet service needs.  | 
  (4) Registration to be included on the PUNS database  | 
 is the first step toward receiving developmental  | 
 disabilities services in this State. A child or an adult  | 
 who is not on the PUNS database will not be in queue for  | 
 State developmental disabilities services. | 
  (5) Lack of awareness and information about the PUNS  | 
 database results in underutilization or delays in  | 
 registration for the PUNS database by students with  | 
 intellectual disabilities or developmental disabilities  | 
 and their parents or guardians. | 
 (a-5) The purpose of this Section is to ensure that each  | 
student with an intellectual disability or a developmental  | 
disability who has an individualized education program ("IEP")  | 
 | 
and the student's parents or guardian are informed about the  | 
PUNS database, where to register for the PUNS database, and  | 
whom they can contact for information about the PUNS database  | 
and the PUNS database registration process. This Section is  | 
not intended to change the PUNS database registration process  | 
established by the Department of Human Services or to impose  | 
any responsibility on the State Board of Education or a school  | 
district to register students for the PUNS database.  | 
 (a-10) As used in this Section, "PUNS" means the  | 
Prioritization of Urgency of Need for Services database or  | 
PUNS database developed and maintained by the Department of  | 
Human Services pursuant to Section 10-26 of the Department of  | 
Human Services Act.  | 
 (b) The State Board of Education may work in consultation  | 
with the Department of Human Services and with school  | 
districts to ensure that all students with intellectual  | 
disabilities or developmental disabilities and their parents  | 
or guardians are informed about the PUNS database, as  | 
described in subsections (c), (c-5), and (d) of this Section.  | 
 (c) The Department of Human Services, in consultation with  | 
the State Board of Education, shall develop and implement an  | 
online, computer-based training program for at least one  | 
designated employee in every public school in this State to  | 
educate the designated employee or employees about the PUNS  | 
database and steps required to register students for the PUNS  | 
database, including the documentation and information parents  | 
 | 
or guardians will need for the registration process. The  | 
training shall include instruction on identifying and  | 
contacting the appropriate developmental disabilities  | 
Independent Service Coordination agency ("ISC") to register  | 
students for the PUNS database. The training of the designated  | 
employee or employees shall also include information about  | 
organizations and programs available in this State that offer  | 
assistance to families in understanding the PUNS database and  | 
navigating the PUNS database registration process. Each school  | 
district shall post on its public website and include in its  | 
student handbook the names of the designated trained employee  | 
or employees in each school within the school district. | 
 (c-5) During the student's annual IEP review meeting, if  | 
the student has an intellectual disability or a developmental  | 
disability, the student's IEP team shall determine the  | 
student's PUNS database registration status based upon  | 
information provided by the student's parents or guardian or  | 
by the student. If it is determined that the student is not  | 
registered for the PUNS database or if it is unclear whether  | 
the student is registered for the PUNS database, the parents  | 
or guardian and the student shall be referred to a designated  | 
employee of the public school who has completed the training  | 
described in subsection (c). The designated trained employee  | 
shall provide the student's parents or guardian and the  | 
student with the name, location, and contact information of  | 
the appropriate ISC to contact in order to register the  | 
 | 
student for the PUNS database. The designated trained employee  | 
shall also identify for the parents or guardian and the  | 
student the information and documentation they will need to  | 
complete the PUNS database registration process with the ISC,  | 
and shall also provide information to the parents or guardian  | 
and the student about organizations and programs available in  | 
this State that offer information to families about the PUNS  | 
database and the PUNS database registration process. | 
 (d) The State Board of Education, in consultation with the  | 
Department of Human Services, through school districts, shall  | 
provide to the parents and guardians of each student with an  | 
IEP a copy of the latest version of the Department of Human  | 
Services's guide titled "Understanding PUNS: A Guide to  | 
Prioritization for Urgency of Need for Services" each year at  | 
the annual review meeting for the student's individualized  | 
education program. | 
 (e) (Blank). | 
 (f) Subject to appropriation, the Department of Human  | 
Services shall expand its selection of individuals from the  | 
PUNS Prioritization of Urgency of Need for Services database  | 
to include individuals who receive services through the  | 
Children and Young Adults with Developmental Disabilities -  | 
Support Waiver.  | 
(Source: P.A. 102-57, eff. 7-9-21; 103-504, eff. 1-1-24;  | 
103-546, eff. 8-11-23; revised 9-28-23.)
 | 
 | 
 (105 ILCS 5/2-3.196) | 
 (This Section may contain text from a Public Act with a  | 
delayed effective date) | 
 (Section scheduled to be repealed on July 1, 2029) | 
 Sec. 2-3.196. Discrimination, harassment, and retaliation  | 
reporting. | 
 (a) The requirements of this Section are subject to  | 
appropriation.  | 
 (b) The State Board of Education shall build data  | 
collection systems to allow the collection of data on reported  | 
allegations of the conduct described in paragraph (1).  | 
Beginning on August 1 of the year after the systems are  | 
implemented and for each reporting school year beginning on  | 
August 1 and ending on July 31 thereafter, each school  | 
district, charter school, and nonpublic, nonsectarian  | 
elementary or secondary school shall disclose to the State  | 
Board of Education all of the following information: | 
  (1) The total number of reported allegations of  | 
 discrimination, harassment, or retaliation against  | 
 students received by each school district, charter school,  | 
 or nonpublic, nonsectarian elementary or secondary school  | 
 during the reporting school year, defined as August 1 to  | 
 July 31, in each of the following categories: | 
   (A) sexual harassment; | 
   (B) discrimination or harassment on the basis of  | 
 race, color, or national origin; | 
 | 
   (C) discrimination or harassment on the basis of  | 
 sex; | 
   (D) discrimination or harassment on the basis of  | 
 religion; | 
   (E) discrimination or harassment on the basis of  | 
 disability; and | 
   (F) retaliation. | 
  (2) The status of allegations, as of the last day of  | 
 the reporting period, in each category under paragraph  | 
 (1). | 
  Allegations shall be reported as unfounded, founded,  | 
 or investigation pending by the school district, charter  | 
 school, or nonpublic, nonsectarian elementary or secondary  | 
 school. | 
 (c) A school district, charter school, or nonpublic,  | 
nonsectarian elementary or secondary school may not include in  | 
any disclosures required under this Section any information by  | 
which an individual may be personally identified, including  | 
the name of the victim or victims or those accused of an act of  | 
alleged discrimination, harassment, or retaliation. | 
 (d) If a school district, charter school, or nonpublic,  | 
nonsectarian elementary or secondary school fails to disclose  | 
the information required in subsection (b) of this Section by  | 
July 31 of the reporting school year, the State Board of  | 
Education shall provide a written request for disclosure to  | 
the school district, charter school, or nonpublic,  | 
 | 
nonsectarian elementary or secondary school, thereby providing  | 
the period of time in which the required information must be  | 
disclosed. If a school district, charter school, or nonpublic,  | 
nonsectarian elementary or secondary school fails to disclose  | 
the information within 14 days after receipt of that written  | 
request, the State Board of Education may petition the  | 
Department of Human Rights to initiate a charge of a civil  | 
rights violation pursuant to Section 5A-102 of the Illinois  | 
Human Rights Act. | 
 (e) The State Board of Education shall publish an annual  | 
report aggregating the information reported by school  | 
districts, charter schools, and nonpublic, nonsectarian  | 
elementary or secondary schools under subsection (b) of this  | 
Section. Data included in the report shall not be publicly  | 
attributed to any individual school district, charter school,  | 
or nonpublic, nonsectarian elementary or secondary school. The  | 
report shall include the number of incidents reported between  | 
August 1 and July 31 of the preceding reporting school year,  | 
based on each of the categories identified under paragraph (1)  | 
of this subsection (b). | 
 The annual report shall be filed with the Department of  | 
Human Rights and the General Assembly and made available to  | 
the public by July 1 of the year following the reporting school  | 
year. Data submitted by a school district, charter school, or  | 
nonpublic, nonsectarian elementary or secondary school to  | 
comply with this Section is confidential and exempt from the  | 
 | 
Freedom of Information Act. | 
 (f) The State Board of Education may adopt any rules  | 
deemed necessary for implementation of this Section. | 
 (g) This Section is repealed on July 1, 2029. | 
(Source: P.A. 103-472, eff. 8-1-24.)
 | 
 (105 ILCS 5/2-3.198) | 
 Sec. 2-3.198 2-3.196. Teacher Vacancy Grant Pilot Program. | 
 (a) Subject to appropriation, beginning in Fiscal Year  | 
2024, the State Board of Education shall administer a 3-year  | 
Teacher Vacancy Grant Pilot Program for the allocation of  | 
formula grant funds to school districts to support the  | 
reduction of unfilled teaching positions throughout the State.  | 
The State Board shall identify which districts are eligible to  | 
apply for a 3-year grant under this Section by reviewing the  | 
State Board's Fiscal Year 2023 annual unfilled teaching  | 
positions report to determine which districts designated as  | 
Tier 1, Tier 2, and Tier 3 under Section 18-8.15 have the  | 
greatest need for funds. Based on the National Center for  | 
Education Statistics locale classifications, 60% of eligible  | 
districts shall be rural districts and 40% of eligible  | 
districts shall be urban districts. Continued funding for the  | 
grant in Fiscal Year 2025 and Fiscal Year 2026 is subject to  | 
appropriation. The State Board shall post, on its website,  | 
information about the grant program and the list of identified  | 
districts that are eligible to apply for a grant under this  | 
 | 
subsection. | 
 (b) A school district that is determined to be eligible  | 
for a grant under subsection (a) and that chooses to  | 
participate in the program must submit an application to the  | 
State Board that describes the relevant context for the need  | 
for teacher vacancy support, suspected causes of teacher  | 
vacancies in the district, and the district's plan in  | 
utilizing grant funds to reduce unfilled teaching positions  | 
throughout the district. If an eligible school district  | 
chooses not to participate in the program, the State Board  | 
shall identify a potential replacement district by using the  | 
same methodology described in subsection (a). | 
 (c) Grant funds awarded under this Section may be used for  | 
financial incentives to support the recruitment and hiring of  | 
teachers, programs and incentives to strengthen teacher  | 
pipelines, or investments to sustain teachers and reduce  | 
attrition among teachers. Grant funds shall be used only for  | 
the purposes outlined in the district's application to the  | 
State Board to reduce unfilled teaching positions. Grant funds  | 
shall not be used for any purposes not approved by the State  | 
Board. | 
 (d) A school district that receives grant funds under this  | 
Section shall submit an annual report to the State Board that  | 
includes, but is not limited to, a summary of all grant-funded  | 
activities implemented to reduce unfilled teaching positions,  | 
progress towards reducing unfilled teaching positions, the  | 
 | 
number of unfilled teaching positions in the district in the  | 
preceding fiscal year, the number of new teachers hired during  | 
the program, the teacher attrition rate, the number of  | 
individuals participating in any programs designed to reduce  | 
attrition, the number of teachers retained using support of  | 
the grant funds, participation in any strategic pathway  | 
programs created under the program, and the number of and  | 
participation in any new pathways into teaching positions  | 
created under the program. | 
 (e) No later than March 1, 2027, the State Board shall  | 
submit a report to the Governor and the General Assembly on the  | 
efficacy of the pilot program that includes a summary of the  | 
information received under subsection (d) and an overview of  | 
its activities to support grantees. | 
(Source: P.A. 103-8, eff. 6-7-23; revised 9-25-23.)
 | 
 (105 ILCS 5/2-3.199) | 
 Sec. 2-3.199 2-3.196. Computer Science Equity Grant  | 
Program. | 
 (a) Subject to appropriation, the State Board shall  | 
establish a competitive grant program to support the  | 
development or enhancement of computer science programs in the  | 
K-12 schools. Eligible entities are regional offices of  | 
education, intermediate service centers, State higher  | 
education institutions, schools designated as laboratory  | 
schools, and school districts. Approved entities shall be  | 
 | 
responsible for ensuring that appropriate facilities are  | 
available and educators are appropriately trained on the use  | 
of any technologies or devices acquired for the purposes of  | 
the grant. | 
 (b) Computer Science Equity Grant Program funds shall be  | 
used in the following manner consistent with application  | 
requirements established by the State Board of Education as  | 
provided in this Article: | 
  (1) to expand learning opportunities in grades K-12 to  | 
 ensure that all students have access to computer science  | 
 coursework that is aligned to rigorous State standards and  | 
 emerging labor market needs; | 
  (2) to train and retrain teachers of grades K-12 to be  | 
 more proficient in the teaching of computer science by  | 
 providing professional development opportunities; | 
  (3) to supply classrooms with materials and equipment  | 
 related to the teaching and learning of computer science;  | 
 and | 
  (4) to more effectively recruit and better serve K-12  | 
 learners who are underrepresented in the computer science  | 
 labor market for enrollment in computer science  | 
 coursework. | 
 (c) Computer Science Equity Grant Program funds shall be  | 
made available to each eligible entity upon completion of an  | 
application process that is consistent with rules established  | 
by the State Board of Education. The application shall include  | 
 | 
the planned use of the funds; identification of need for the  | 
funds that is supported by local, regional, and state data; a  | 
plan for long-term sustainability; and a long-term plan for  | 
continuous improvement. | 
 (d) The State Board of Education shall adopt rules as may  | 
be necessary to implement the provision of this Article,  | 
including, but not limited to, the identification of  | 
additional prioritization areas for each competitive grant  | 
application cycle that are within the scope of the authorized  | 
uses. Priority consideration for all applications will be  | 
given for proposals that intend to serve a majority of  | 
learners or teachers with gender or racial/ethnic identities  | 
that are underrepresented in the computer science labor  | 
market. | 
 (e) Up to 2 renewals of the grant will be allowed,  | 
providing the entity awarded satisfactorily completes  | 
programmatic reporting and meets program objectives  | 
commensurate with application requirements set forth by the  | 
State Board of Education. | 
 (f) Grants under the Computer Science Equity Grant Program  | 
and funding levels for satisfactory applications may be  | 
prorated according to the amount appropriated.  | 
(Source: P.A. 103-264, eff. 1-1-24; revised 9-25-23.)
 | 
 (105 ILCS 5/2-3.200) | 
 Sec. 2-3.200 2-3.196. State Board of Education literacy  | 
 | 
assistance. | 
 (a) The State Board of Education shall adopt and make  | 
available all of the following to each publicly funded school  | 
district by July 1, 2024: | 
  (1) A rubric by which districts may evaluate curricula  | 
 and select and implement evidence-based, culturally  | 
 inclusive core reading instruction programs aligned with  | 
 the comprehensive literacy plan for the State described in  | 
 subsection (c). | 
  (2) A template to support districts when developing  | 
 comprehensive, district-wide literacy plans that include  | 
 support for special student populations, including, at a  | 
 minimum, students with disabilities, multilingual  | 
 students, and bidialectal students. | 
  (3) Guidance on evidence-based practices for effective  | 
 structures for training and deploying literacy coaches to  | 
 support teachers and close opportunity gaps among student  | 
 demographic groups. | 
 (b) On or before January 1, 2025, the State Board of  | 
Education shall develop and make available training  | 
opportunities for educators in teaching reading that are  | 
aligned with the comprehensive literacy plan described in  | 
subsection (c) and consistent with State learning standards.  | 
This support may include: | 
  (1) the development of a microcredential or a series  | 
 of microcredentials in literacy instruction aligned with  | 
 | 
 the comprehensive literacy plan described in subsection  | 
 (c) to be affixed to educator licenses upon successful  | 
 demonstration of the skill or completion of the required  | 
 coursework or assessment, or both, or online training  | 
 modules on literacy instruction, aligned with the  | 
 comprehensive literacy plan described in subsection (c)  | 
 and consistent with State learning standards, accepted for  | 
 continuing professional development units; and | 
  (2) the creation and dissemination of a tool that  | 
 school districts, educators, and the public may use to  | 
 evaluate professional development and training programs  | 
 related to literacy instruction. | 
 (c) In consultation with education stakeholders, the State  | 
Board of Education shall develop and adopt a comprehensive  | 
literacy plan for the State on or before January 31, 2024. The  | 
comprehensive literacy plan shall consider, without  | 
limitation, evidence-based research and culturally and  | 
linguistically sustaining pedagogical approaches to meet the  | 
needs of all students and shall, at a minimum, do all of the  | 
following: | 
  (1) Consider core instructional literacy practices and  | 
 practices related to the unique needs of and support for  | 
 specific student populations, including, at a minimum,  | 
 students with disabilities, multilingual students, and  | 
 bidialectal students, and the resources and support,  | 
 including professional learning for teachers, needed to  | 
 | 
 effectively implement the literacy instruction.  | 
  (2) Provide guidance related to screening tools, the  | 
 administration of such screening tools, and the  | 
 interpretation of the resulting data to identify students  | 
 at risk of reading difficulties in grades kindergarten  | 
 through 2. This guidance shall outline instances in which  | 
 dyslexia screenings and other universal screeners are  | 
 appropriate for use with English learners. | 
  (3) Provide guidance related to early literacy  | 
 intervention for students in grades kindergarten through 2  | 
 for schools to implement with students at risk of reading  | 
 difficulties, as well as literacy intervention for  | 
 students in grades 3 through 12 demonstrating reading  | 
 difficulties. | 
  (4) Consider the impact of second language acquisition  | 
 and bilingual education on reading instruction in the  | 
 student's native language and English.  | 
  (5) Define key terminology, such as "evidence-based".  | 
  (6) Contextualize the interaction between elements of  | 
 the plan and existing laws and regulations that have  | 
 overlapping components, such as a multi-tiered system of  | 
 support.  | 
  (7) Focus on a comprehensive range of elements of  | 
 literacy, including phonological awareness; decoding  | 
 (phonics); encoding (spelling); vocabulary development,  | 
 including morphology, oracy, and reading fluency; and  | 
 | 
 reading comprehension, including syntax and background and  | 
 content knowledge.  | 
(Source: P.A. 103-402, eff. 7-28-23; revised 9-25-23.)
 | 
 (105 ILCS 5/2-3.201) | 
 Sec. 2-3.201 2-3.196. Children's Adversity Index. The  | 
Illinois State Board of Education shall develop a community or  | 
district-level Children's Adversity Index ("index") to measure  | 
community childhood trauma exposure across the population of  | 
children 3 through 18 years of age by May 31, 2025. This  | 
cross-agency effort shall be led by the State Board of  | 
Education and must include agencies that both collect the data  | 
and will have an ultimate use for the index information,  | 
including, but not limited to, the Governor's Office of Early  | 
Childhood Development, the Department of Human Services, the  | 
Department of Public Health, the Department of Innovation and  | 
Technology, the Illinois Criminal Justice Information  | 
Authority, the Department of Children and Family Services, and  | 
the Department of Juvenile Justice. The State Board of  | 
Education may also involve non-agency personnel with relevant  | 
expertise. The index shall be informed by research and include  | 
both adverse incident data, such as the number or rates of  | 
students and families experiencing homelessness and the number  | 
or percentages of children who have had contact with the child  | 
welfare system, and indicators of aspects of a child's  | 
environment that can undermine the child's sense of safety,  | 
 | 
stability, and bonding, including growing up in a household  | 
with caregivers struggling with substance disorders or  | 
instability due to parent or guardian separation or  | 
incarceration of a parent or guardian, sibling, or other  | 
member of the household, or exposure to community violence.  | 
The index shall provide information that allows for measuring  | 
progress, comparing school districts to the State average, and  | 
that enables the index to be updated at least every 2 years.  | 
The data shall be made publicly available. The initial  | 
development of the index should leverage available data.  | 
Personally identifiable information of any individual shall  | 
not be revealed within this index. | 
(Source: P.A. 103-413, eff. 1-1-24; revised 9-25-23.)
 | 
 (105 ILCS 5/2-3.202) | 
 Sec. 2-3.202 2-3.196. Clothing resource materials. By no  | 
later than July 1, 2024, the State Board of Education shall  | 
make available to schools resource materials developed in  | 
consultation with stakeholders regarding a student wearing or  | 
accessorizing the student's graduation attire with general  | 
items that may be used by the student to associate with,  | 
identify, or declare the student's cultural, ethnic, or  | 
religious identity or any other protected characteristic or  | 
category identified in subsection (Q) of Section 1-103 of the  | 
Illinois Human Rights Act. The State Board of Education shall  | 
make the resource materials available on its Internet website. | 
 | 
(Source: P.A. 103-463, eff. 8-4-23; revised 9-25-23.)
 | 
 (105 ILCS 5/2-3.203) | 
 Sec. 2-3.203 2-3.196. Mental health screenings. On or  | 
before December 15, 2023, the State Board of Education, in  | 
consultation with the Children's Behavioral Health  | 
Transformation Officer, Children's Behavioral Health  | 
Transformation Team, and the Office of the Governor, shall  | 
file a report with the Governor and the General Assembly that  | 
includes recommendations for implementation of mental health  | 
screenings in schools for students enrolled in kindergarten  | 
through grade 12. This report must include a landscape scan of  | 
current district-wide screenings, recommendations for  | 
screening tools, training for staff, and linkage and referral  | 
for identified students. | 
(Source: P.A. 103-546, eff. 8-11-23; revised 9-25-23.)
 | 
 (105 ILCS 5/3-11) | 
 (Text of Section before amendment by P.A. 103-542) | 
 Sec. 3-11. Institutes or inservice training workshops.  | 
 (a) In counties of less than 2,000,000 inhabitants, the  | 
regional superintendent may arrange for or conduct district,  | 
regional, or county institutes, or equivalent professional  | 
educational experiences, not more than 4 days annually. Of  | 
those 4 days, 2 days may be used as a teacher's and educational  | 
support personnel workshop, when approved by the regional  | 
 | 
superintendent, up to 2 days may be used for conducting  | 
parent-teacher conferences, or up to 2 days may be utilized as  | 
parental institute days as provided in Section 10-22.18d.  | 
Educational support personnel may be exempt from a workshop if  | 
the workshop is not relevant to the work they do. A school  | 
district may use one of its 4 institute days on the last day of  | 
the school term. "Institute" or "Professional educational  | 
experiences" means any educational gathering, demonstration of  | 
methods of instruction, visitation of schools or other  | 
institutions or facilities, sexual abuse and sexual assault  | 
awareness seminar, or training in First Aid (which may include  | 
cardiopulmonary resuscitation or defibrillator training) held  | 
or approved by the regional superintendent and declared by the  | 
regional superintendent him to be an institute day, or  | 
parent-teacher conferences. With the concurrence of the State  | 
Superintendent of Education, he or she may employ such  | 
assistance as is necessary to conduct the institute. Two or  | 
more adjoining counties may jointly hold an institute.  | 
Institute instruction shall be free to holders of licenses  | 
good in the county or counties holding the institute and to  | 
those who have paid an examination fee and failed to receive a  | 
license. | 
 In counties of 2,000,000 or more inhabitants, the regional  | 
superintendent may arrange for or conduct district, regional,  | 
or county inservice training workshops, or equivalent  | 
professional educational experiences, not more than 4 days  | 
 | 
annually. Of those 4 days, 2 days may be used as a teacher's  | 
and educational support personnel workshop, when approved by  | 
the regional superintendent, up to 2 days may be used for  | 
conducting parent-teacher conferences, or up to 2 days may be  | 
utilized as parental institute days as provided in Section  | 
10-22.18d. Educational support personnel may be exempt from a  | 
workshop if the workshop is not relevant to the work they do. A  | 
school district may use one of those 4 days on the last day of  | 
the school term. "Inservice Training Workshops" or  | 
"Professional educational experiences" means any educational  | 
gathering, demonstration of methods of instruction, visitation  | 
of schools or other institutions or facilities, sexual abuse  | 
and sexual assault awareness seminar, or training in First Aid  | 
(which may include cardiopulmonary resuscitation or  | 
defibrillator training) held or approved by the regional  | 
superintendent and declared by him to be an inservice training  | 
workshop, or parent-teacher conferences. With the concurrence  | 
of the State Superintendent of Education, he may employ such  | 
assistance as is necessary to conduct the inservice training  | 
workshop. With the approval of the regional superintendent, 2  | 
or more adjoining districts may jointly hold an inservice  | 
training workshop. In addition, with the approval of the  | 
regional superintendent, one district may conduct its own  | 
inservice training workshop with subject matter consultants  | 
requested from the county, State or any State institution of  | 
higher learning. | 
 | 
 Such teachers institutes as referred to in this Section  | 
may be held on consecutive or separate days at the option of  | 
the regional superintendent having jurisdiction thereof. | 
 Whenever reference is made in this Act to "teachers  | 
institute", it shall be construed to include the inservice  | 
training workshops or equivalent professional educational  | 
experiences provided for in this Section. | 
 Any institute advisory committee existing on April 1,  | 
1995, is dissolved and the duties and responsibilities of the  | 
institute advisory committee are assumed by the regional  | 
office of education advisory board. | 
 Districts providing inservice training programs shall  | 
constitute inservice committees, 1/2 of which shall be  | 
teachers, 1/4 school service personnel and 1/4 administrators  | 
to establish program content and schedules. | 
 The teachers institutes shall include teacher training  | 
committed to (i) peer counseling programs and other  | 
anti-violence and conflict resolution programs, including  | 
without limitation programs for preventing at risk students  | 
from committing violent acts, and (ii) educator ethics and  | 
teacher-student conduct. Beginning with the 2009-2010 school  | 
year, the teachers institutes shall include instruction on  | 
prevalent student chronic health conditions. Beginning with  | 
the 2016-2017 school year, the teachers institutes shall  | 
include, at least once every 2 years, instruction on the  | 
federal Americans with Disabilities Act as it pertains to the  | 
 | 
school environment.  | 
 (b) In this subsection (b):  | 
 "Trauma" is defined according to an event, an experience,  | 
and effects. Individual trauma results from an event, series  | 
of events, or set of circumstances that is experienced by an  | 
individual as physically or emotionally harmful or life  | 
threatening and that has lasting adverse effects on the  | 
individual's functioning and mental, physical, social, or  | 
emotional well-being. Collective trauma is a psychological  | 
reaction to a traumatic event shared by any group of people.  | 
This may include, but is not limited to, community violence,  | 
experiencing racism and discrimination, and the lack of the  | 
essential supports for well-being, such as educational or  | 
economic opportunities, food, health care, housing, and  | 
community cohesion. Trauma can be experienced by anyone,  | 
though it is disproportionately experienced by members of  | 
marginalized groups. Systemic and historical oppression, such  | 
as racism, is often at the root of this inequity. Symptoms may  | 
vary at different developmental stages and across different  | 
cultural groups and different communities. | 
 "Trauma-responsive learning environments" means learning  | 
environments developed during an ongoing, multiyear-long  | 
process that typically progresses across the following 3  | 
stages:  | 
  (1) A school or district is "trauma aware" when it: | 
   (A) has personnel that demonstrate a foundational  | 
 | 
 understanding of a broad definition of trauma that is  | 
 developmentally and culturally based; includes  | 
 students, personnel, and communities; and recognizes  | 
 the potential effect on biological, cognitive,  | 
 academic, and social-emotional functioning; and | 
   (B) recognizes that traumatic exposure can impact  | 
 behavior and learning and should be acknowledged in  | 
 policies, strategies, and systems of support for  | 
 students, families, and personnel. | 
  (2) A school or district is "trauma responsive" when  | 
 it progresses from awareness to action in the areas of  | 
 policy, practice, and structural changes within a  | 
 multi-tiered system of support to promote safety, positive  | 
 relationships, and self-regulation while underscoring the  | 
 importance of personal well-being and cultural  | 
 responsiveness. Such progress may: | 
   (A) be aligned with the Illinois Quality Framework  | 
 and integrated into a school or district's continuous  | 
 improvement process as evidence to support allocation  | 
 of financial resources; | 
   (B) be assessed and monitored by a  | 
 multidisciplinary leadership team on an ongoing basis;  | 
 and | 
   (C) involve the engagement and capacity building  | 
 of personnel at all levels to ensure that adults in the  | 
 learning environment are prepared to recognize and  | 
 | 
 respond to those impacted by trauma.  | 
  (3) A school or district is healing centered when it  | 
 acknowledges its role and responsibility to the community,  | 
 fully responds to trauma, and promotes resilience and  | 
 healing through genuine, trusting, and creative  | 
 relationships. Such school schools or district districts  | 
 may: | 
   (A) promote holistic and collaborative approaches  | 
 that are grounded in culture, spirituality, civic  | 
 engagement, and equity; and | 
   (B) support agency within individuals, families,  | 
 and communities while engaging people in collective  | 
 action that moves from transactional to  | 
 transformational. | 
 "Whole child" means using a child-centered, holistic,  | 
equitable lens across all systems that prioritizes physical,  | 
mental, and social-emotional health to ensure that every child  | 
is healthy, safe, supported, challenged, engaged, and  | 
protected.  | 
 Starting with the 2024-2025 school year, the teachers  | 
institutes shall provide instruction on trauma-informed  | 
practices and include the definitions of trauma,  | 
trauma-responsive learning environments, and whole child set  | 
forth in this subsection (b) before the first student  | 
attendance day of each school year.  | 
(Source: P.A. 103-413, eff. 1-1-24; revised 11-27-23.)
 | 
 | 
 (Text of Section after amendment by P.A. 103-542) | 
 Sec. 3-11. Institutes or inservice training workshops.  | 
 (a) In counties of less than 2,000,000 inhabitants, the  | 
regional superintendent may arrange for or conduct district,  | 
regional, or county institutes, or equivalent professional  | 
educational experiences, not more than 4 days annually. Of  | 
those 4 days, 2 days may be used as a teachers, administrators,  | 
and school support personnel workshop, when approved by the  | 
regional superintendent, up to 2 days may be used for  | 
conducting parent-teacher conferences, or up to 2 days may be  | 
utilized as parental institute days as provided in Section  | 
10-22.18d. School support personnel may be exempt from a  | 
workshop if the workshop is not relevant to the work they do. A  | 
school district may use one of its 4 institute days on the last  | 
day of the school term. "Institute" or "Professional  | 
educational experiences" means any educational gathering,  | 
demonstration of methods of instruction, visitation of schools  | 
or other institutions or facilities, sexual abuse and sexual  | 
assault awareness seminar, or training in First Aid (which may  | 
include cardiopulmonary resuscitation or defibrillator  | 
training) held or approved by the regional superintendent and  | 
declared by the regional superintendent him to be an institute  | 
day, or parent-teacher conferences. With the concurrence of  | 
the State Superintendent of Education, the regional  | 
superintendent may employ such assistance as is necessary to  | 
 | 
conduct the institute. Two or more adjoining counties may  | 
jointly hold an institute. Institute instruction shall be free  | 
to holders of licenses good in the county or counties holding  | 
the institute and to those who have paid an examination fee and  | 
failed to receive a license. | 
 In counties of 2,000,000 or more inhabitants, the regional  | 
superintendent may arrange for or conduct district, regional,  | 
or county inservice training workshops, or equivalent  | 
professional educational experiences, not more than 4 days  | 
annually. Of those 4 days, 2 days may be used as a teachers,  | 
administrators, and school support personnel workshop, when  | 
approved by the regional superintendent, up to 2 days may be  | 
used for conducting parent-teacher conferences, or up to 2  | 
days may be utilized as parental institute days as provided in  | 
Section 10-22.18d. School support personnel may be exempt from  | 
a workshop if the workshop is not relevant to the work they do.  | 
A school district may use one of those 4 days on the last day  | 
of the school term. "Inservice Training Workshops" or  | 
"Professional educational experiences" means any educational  | 
gathering, demonstration of methods of instruction, visitation  | 
of schools or other institutions or facilities, sexual abuse  | 
and sexual assault awareness seminar, or training in First Aid  | 
(which may include cardiopulmonary resuscitation or  | 
defibrillator training) held or approved by the regional  | 
superintendent and declared by the regional superintendent to  | 
be an inservice training workshop, or parent-teacher  | 
 | 
conferences. With the concurrence of the State Superintendent  | 
of Education, the regional superintendent may employ such  | 
assistance as is necessary to conduct the inservice training  | 
workshop. With the approval of the regional superintendent, 2  | 
or more adjoining districts may jointly hold an inservice  | 
training workshop. In addition, with the approval of the  | 
regional superintendent, one district may conduct its own  | 
inservice training workshop with subject matter consultants  | 
requested from the county, State or any State institution of  | 
higher learning. | 
 Such institutes as referred to in this Section may be held  | 
on consecutive or separate days at the option of the regional  | 
superintendent having jurisdiction thereof. | 
 Whenever reference is made in this Act to "institute", it  | 
shall be construed to include the inservice training workshops  | 
or equivalent professional educational experiences provided  | 
for in this Section. | 
 Any institute advisory committee existing on April 1,  | 
1995, is dissolved and the duties and responsibilities of the  | 
institute advisory committee are assumed by the regional  | 
office of education advisory board. | 
 Districts providing inservice training programs shall  | 
constitute inservice committees, 1/2 of which shall be  | 
teachers, 1/4 school service personnel and 1/4 administrators  | 
to establish program content and schedules. | 
 In addition to other topics not listed in this Section,  | 
 | 
the teachers institutes may include training committed to  | 
health conditions of students; social-emotional learning;  | 
developing cultural competency; identifying warning signs of  | 
mental illness and suicidal behavior in youth; domestic and  | 
sexual violence and the needs of expectant and parenting  | 
youth; protections and accommodations for students; educator  | 
ethics; responding to child sexual abuse and grooming  | 
behavior; and effective instruction in violence prevention and  | 
conflict resolution. Institute programs in these topics shall  | 
be credited toward hours of professional development required  | 
for license renewal as outlined in subsection (e) of Section  | 
21B-45.  | 
 (b) In this subsection (b):  | 
 "Trauma" is defined according to an event, an experience,  | 
and effects. Individual trauma results from an event, series  | 
of events, or set of circumstances that is experienced by an  | 
individual as physically or emotionally harmful or life  | 
threatening and that has lasting adverse effects on the  | 
individual's functioning and mental, physical, social, or  | 
emotional well-being. Collective trauma is a psychological  | 
reaction to a traumatic event shared by any group of people.  | 
This may include, but is not limited to, community violence,  | 
experiencing racism and discrimination, and the lack of the  | 
essential supports for well-being, such as educational or  | 
economic opportunities, food, health care, housing, and  | 
community cohesion. Trauma can be experienced by anyone,  | 
 | 
though it is disproportionately experienced by members of  | 
marginalized groups. Systemic and historical oppression, such  | 
as racism, is often at the root of this inequity. Symptoms may  | 
vary at different developmental stages and across different  | 
cultural groups and different communities. | 
 "Trauma-responsive learning environments" means learning  | 
environments developed during an ongoing, multiyear-long  | 
process that typically progresses across the following 3  | 
stages:  | 
  (1) A school or district is "trauma aware" when it: | 
   (A) has personnel that demonstrate a foundational  | 
 understanding of a broad definition of trauma that is  | 
 developmentally and culturally based; includes  | 
 students, personnel, and communities; and recognizes  | 
 the potential effect on biological, cognitive,  | 
 academic, and social-emotional functioning; and | 
   (B) recognizes that traumatic exposure can impact  | 
 behavior and learning and should be acknowledged in  | 
 policies, strategies, and systems of support for  | 
 students, families, and personnel. | 
  (2) A school or district is "trauma responsive" when  | 
 it progresses from awareness to action in the areas of  | 
 policy, practice, and structural changes within a  | 
 multi-tiered system of support to promote safety, positive  | 
 relationships, and self-regulation while underscoring the  | 
 importance of personal well-being and cultural  | 
 | 
 responsiveness. Such progress may: | 
   (A) be aligned with the Illinois Quality Framework  | 
 and integrated into a school or district's continuous  | 
 improvement process as evidence to support allocation  | 
 of financial resources; | 
   (B) be assessed and monitored by a  | 
 multidisciplinary leadership team on an ongoing basis;  | 
 and | 
   (C) involve the engagement and capacity building  | 
 of personnel at all levels to ensure that adults in the  | 
 learning environment are prepared to recognize and  | 
 respond to those impacted by trauma.  | 
  (3) A school or district is healing centered when it  | 
 acknowledges its role and responsibility to the community,  | 
 fully responds to trauma, and promotes resilience and  | 
 healing through genuine, trusting, and creative  | 
 relationships. Such school schools or district districts  | 
 may: | 
   (A) promote holistic and collaborative approaches  | 
 that are grounded in culture, spirituality, civic  | 
 engagement, and equity; and | 
   (B) support agency within individuals, families,  | 
 and communities while engaging people in collective  | 
 action that moves from transactional to  | 
 transformational. | 
 "Whole child" means using a child-centered, holistic,  | 
 | 
equitable lens across all systems that prioritizes physical,  | 
mental, and social-emotional health to ensure that every child  | 
is healthy, safe, supported, challenged, engaged, and  | 
protected.  | 
 Starting with the 2024-2025 school year, the teachers  | 
institutes shall provide instruction on trauma-informed  | 
practices and include the definitions of trauma,  | 
trauma-responsive learning environments, and whole child set  | 
forth in this subsection (b) before the first student  | 
attendance day of each school year.  | 
(Source: P.A. 103-413, eff. 1-1-24; 103-542, eff. 7-1-24 (see  | 
Section 905 of P.A. 103-563 for effective date of P.A.  | 
103-542); revised 11-27-23.)
 | 
 (105 ILCS 5/10-17a) | 
 Sec. 10-17a. State, school district, and school report  | 
cards; Expanded High School Snapshot Report.  | 
 (1) By October 31, 2013 and October 31 of each subsequent  | 
school year, the State Board of Education, through the State  | 
Superintendent of Education, shall prepare a State report  | 
card, school district report cards, and school report cards,  | 
and shall by the most economical means provide to each school  | 
district in this State, including special charter districts  | 
and districts subject to the provisions of Article 34, the  | 
report cards for the school district and each of its schools.  | 
Because of the impacts of the COVID-19 public health emergency  | 
 | 
during school year 2020-2021, the State Board of Education  | 
shall have until December 31, 2021 to prepare and provide the  | 
report cards that would otherwise be due by October 31, 2021.  | 
During a school year in which the Governor has declared a  | 
disaster due to a public health emergency pursuant to Section  | 
7 of the Illinois Emergency Management Agency Act, the report  | 
cards for the school districts and each of its schools shall be  | 
prepared by December 31. | 
 (2) In addition to any information required by federal  | 
law, the State Superintendent shall determine the indicators  | 
and presentation of the school report card, which must  | 
include, at a minimum, the most current data collected and  | 
maintained by the State Board of Education related to the  | 
following: | 
  (A) school characteristics and student demographics,  | 
 including average class size, average teaching experience,  | 
 student racial/ethnic breakdown, and the percentage of  | 
 students classified as low-income; the percentage of  | 
 students classified as English learners, the number of  | 
 students who graduate from a bilingual or English learner  | 
 program, and the number of students who graduate from,  | 
 transfer from, or otherwise leave bilingual programs; the  | 
 percentage of students who have individualized education  | 
 plans or 504 plans that provide for special education  | 
 services; the number and the percentage of all students in  | 
 grades kindergarten through 8, disaggregated by the  | 
 | 
 student students demographics described in this paragraph  | 
 (A), in each of the following categories: (i) those who  | 
 have been assessed for placement in a gifted education  | 
 program or accelerated placement, (ii) those who have  | 
 enrolled in a gifted education program or in accelerated  | 
 placement, and (iii) for each of categories (i) and (ii),  | 
 those who received direct instruction from a teacher who  | 
 holds a gifted education endorsement; the number and the  | 
 percentage of all students in grades 9 through 12,  | 
 disaggregated by the student demographics described in  | 
 this paragraph (A), who have been enrolled in an advanced  | 
 academic program; the percentage of students scoring at  | 
 the "exceeds expectations" level on the assessments  | 
 required under Section 2-3.64a-5 of this Code; the  | 
 percentage of students who annually transferred in or out  | 
 of the school district; average daily attendance; the  | 
 per-pupil operating expenditure of the school district;  | 
 and the per-pupil State average operating expenditure for  | 
 the district type (elementary, high school, or unit); | 
  (B) curriculum information, including, where  | 
 applicable, Advanced Placement, International  | 
 Baccalaureate or equivalent courses, dual credit courses,  | 
 foreign language classes, computer science courses, school  | 
 personnel resources (including Career Technical Education  | 
 teachers), before and after school programs,  | 
 extracurricular activities, subjects in which elective  | 
 | 
 classes are offered, health and wellness initiatives  | 
 (including the average number of days of Physical  | 
 Education per week per student), approved programs of  | 
 study, awards received, community partnerships, and  | 
 special programs such as programming for the gifted and  | 
 talented, students with disabilities, and work-study  | 
 students; | 
  (C) student outcomes, including, where applicable, the  | 
 percentage of students deemed proficient on assessments of  | 
 State standards, the percentage of students in the eighth  | 
 grade who pass Algebra, the percentage of students who  | 
 participated in workplace learning experiences, the  | 
 percentage of students enrolled in post-secondary  | 
 institutions (including colleges, universities, community  | 
 colleges, trade/vocational schools, and training programs  | 
 leading to career certification within 2 semesters of high  | 
 school graduation), the percentage of students graduating  | 
 from high school who are college and career ready, the  | 
 percentage of graduates enrolled in community colleges,  | 
 colleges, and universities who are in one or more courses  | 
 that the community college, college, or university  | 
 identifies as a developmental course, and the percentage  | 
 of students with disabilities under the federal  | 
 Individuals with Disabilities Education Act and Article 14  | 
 of this Code who have fulfilled the minimum State  | 
 graduation requirements set forth in Section 27-22 of this  | 
 | 
 Code and have been issued a regular high school diploma;  | 
  (D) student progress, including, where applicable, the  | 
 percentage of students in the ninth grade who have earned  | 
 5 credits or more without failing more than one core  | 
 class, a measure of students entering kindergarten ready  | 
 to learn, a measure of growth, and the percentage of  | 
 students who enter high school on track for college and  | 
 career readiness; | 
  (E) the school environment, including, where  | 
 applicable, high school dropout rate by grade level, the  | 
 percentage of students with less than 10 absences in a  | 
 school year, the percentage of teachers with less than 10  | 
 absences in a school year for reasons other than  | 
 professional development, leaves taken pursuant to the  | 
 federal Family Medical Leave Act of 1993, long-term  | 
 disability, or parental leaves, the 3-year average of the  | 
 percentage of teachers returning to the school from the  | 
 previous year, the number of different principals at the  | 
 school in the last 6 years, the number of teachers who hold  | 
 a gifted education endorsement, the process and criteria  | 
 used by the district to determine whether a student is  | 
 eligible for participation in a gifted education program  | 
 or advanced academic program and the manner in which  | 
 parents and guardians are made aware of the process and  | 
 criteria, the number of teachers who are National Board  | 
 Certified Teachers, disaggregated by race and ethnicity, 2  | 
 | 
 or more indicators from any school climate survey selected  | 
 or approved by the State and administered pursuant to  | 
 Section 2-3.153 of this Code, with the same or similar  | 
 indicators included on school report cards for all surveys  | 
 selected or approved by the State pursuant to Section  | 
 2-3.153 of this Code, the combined percentage of teachers  | 
 rated as proficient or excellent in their most recent  | 
 evaluation, and, beginning with the 2022-2023 school year,  | 
 data on the number of incidents of violence that occurred  | 
 on school grounds or during school-related activities and  | 
 that resulted in an out-of-school suspension, expulsion,  | 
 or removal to an alternative setting, as reported pursuant  | 
 to Section 2-3.162; | 
  (F) a school district's and its individual schools'  | 
 balanced accountability measure, in accordance with  | 
 Section 2-3.25a of this Code; | 
  (G) the total and per pupil normal cost amount the  | 
 State contributed to the Teachers' Retirement System of  | 
 the State of Illinois in the prior fiscal year for the  | 
 school's employees, which shall be reported to the State  | 
 Board of Education by the Teachers' Retirement System of  | 
 the State of Illinois; | 
  (H) for a school district organized under Article 34  | 
 of this Code only, State contributions to the Public  | 
 School Teachers' Pension and Retirement Fund of Chicago  | 
 and State contributions for health care for employees of  | 
 | 
 that school district;  | 
  (I) a school district's Final Percent of Adequacy, as  | 
 defined in paragraph (4) of subsection (f) of Section  | 
 18-8.15 of this Code; | 
  (J) a school district's Local Capacity Target, as  | 
 defined in paragraph (2) of subsection (c) of Section  | 
 18-8.15 of this Code, displayed as a percentage amount; | 
  (K) a school district's Real Receipts, as defined in  | 
 paragraph (1) of subsection (d) of Section 18-8.15 of this  | 
 Code, divided by a school district's Adequacy Target, as  | 
 defined in paragraph (1) of subsection (b) of Section  | 
 18-8.15 of this Code, displayed as a percentage amount;  | 
  (L) a school district's administrative costs; | 
  (M) whether or not the school has participated in the  | 
 Illinois Youth Survey. In this paragraph (M), "Illinois  | 
 Youth Survey" means a self-report survey, administered in  | 
 school settings every 2 years, designed to gather  | 
 information about health and social indicators, including  | 
 substance abuse patterns and the attitudes of students in  | 
 grades 8, 10, and 12;  | 
  (N) whether the school offered its students career and  | 
 technical education opportunities; and  | 
  (O) beginning Beginning with the October 2024 report  | 
 card, the total number of school counselors, school social  | 
 workers, school nurses, and school psychologists by  | 
 school, district, and State, the average number of  | 
 | 
 students per school counselor in the school, district, and  | 
 State, the average number of students per school social  | 
 worker in the school, district, and State, the average  | 
 number of students per school nurse in the school,  | 
 district, and State, and the average number of students  | 
 per school psychologist in the school, district, and  | 
 State.  | 
 The school report card shall also provide information that  | 
allows for comparing the current outcome, progress, and  | 
environment data to the State average, to the school data from  | 
the past 5 years, and to the outcomes, progress, and  | 
environment of similar schools based on the type of school and  | 
enrollment of low-income students, special education students,  | 
and English learners. | 
 As used in this subsection (2):  | 
 "Accelerated placement" has the meaning ascribed to that  | 
term in Section 14A-17 of this Code.  | 
 "Administrative costs" means costs associated with  | 
executive, administrative, or managerial functions within the  | 
school district that involve planning, organizing, managing,  | 
or directing the school district.  | 
 "Advanced academic program" means a course of study,  | 
including, but not limited to, accelerated placement, advanced  | 
placement coursework, International Baccalaureate coursework,  | 
dual credit, or any course designated as enriched or honors,  | 
that a student is enrolled in based on advanced cognitive  | 
 | 
ability or advanced academic achievement compared to local age  | 
peers and in which the curriculum is substantially  | 
differentiated from the general curriculum to provide  | 
appropriate challenge and pace.  | 
 "Computer science" means the study of computers and  | 
algorithms, including their principles, their hardware and  | 
software designs, their implementation, and their impact on  | 
society. "Computer science" does not include the study of  | 
everyday uses of computers and computer applications, such as  | 
keyboarding or accessing the Internet.  | 
 "Gifted education" means educational services, including  | 
differentiated curricula and instructional methods, designed  | 
to meet the needs of gifted children as defined in Article 14A  | 
of this Code.  | 
 For the purposes of paragraph (A) of this subsection (2),  | 
"average daily attendance" means the average of the actual  | 
number of attendance days during the previous school year for  | 
any enrolled student who is subject to compulsory attendance  | 
by Section 26-1 of this Code at each school and charter school.  | 
 (2.5) For any school report card prepared after July 1,  | 
2025, for all high school graduation completion rates that are  | 
reported on the school report card as required under this  | 
Section or by any other State or federal law, the State  | 
Superintendent of Education shall also report the percentage  | 
of students who did not meet the requirements of high school  | 
graduation completion for any reason and, of those students,  | 
 | 
the percentage that are classified as students who fulfill the  | 
requirements of Section 14-16 of this Code. | 
 The State Superintendent shall ensure that for the  | 
2023-2024 school year there is a specific code for districts  | 
to report students who fulfill the requirements of Section  | 
14-16 of this Code to ensure accurate reporting under this  | 
Section. | 
 All reporting requirements under this subsection (2.5)  | 
shall be included on the school report card where high school  | 
graduation completion rates are reported, along with a brief  | 
explanation of how fulfilling the requirements of Section  | 
14-16 of this Code is different from receiving a regular high  | 
school diploma.  | 
 (3) At the discretion of the State Superintendent, the  | 
school district report card shall include a subset of the  | 
information identified in paragraphs (A) through (E) of  | 
subsection (2) of this Section, as well as information  | 
relating to the operating expense per pupil and other finances  | 
of the school district, and the State report card shall  | 
include a subset of the information identified in paragraphs  | 
(A) through (E) and paragraph (N) of subsection (2) of this  | 
Section. The school district report card shall include the  | 
average daily attendance, as that term is defined in  | 
subsection (2) of this Section, of students who have  | 
individualized education programs and students who have 504  | 
plans that provide for special education services within the  | 
 | 
school district.  | 
 (4) Notwithstanding anything to the contrary in this  | 
Section, in consultation with key education stakeholders, the  | 
State Superintendent shall at any time have the discretion to  | 
amend or update any and all metrics on the school, district, or  | 
State report card.  | 
 (5) Annually, no more than 30 calendar days after receipt  | 
of the school district and school report cards from the State  | 
Superintendent of Education, each school district, including  | 
special charter districts and districts subject to the  | 
provisions of Article 34, shall present such report cards at a  | 
regular school board meeting subject to applicable notice  | 
requirements, post the report cards on the school district's  | 
Internet web site, if the district maintains an Internet web  | 
site, make the report cards available to a newspaper of  | 
general circulation serving the district, and, upon request,  | 
send the report cards home to a parent (unless the district  | 
does not maintain an Internet web site, in which case the  | 
report card shall be sent home to parents without request). If  | 
the district posts the report card on its Internet web site,  | 
the district shall send a written notice home to parents  | 
stating (i) that the report card is available on the web site,  | 
(ii) the address of the web site, (iii) that a printed copy of  | 
the report card will be sent to parents upon request, and (iv)  | 
the telephone number that parents may call to request a  | 
printed copy of the report card. | 
 | 
 (6) Nothing contained in Public Act 98-648 repeals,  | 
supersedes, invalidates, or nullifies final decisions in  | 
lawsuits pending on July 1, 2014 (the effective date of Public  | 
Act 98-648) in Illinois courts involving the interpretation of  | 
Public Act 97-8.  | 
 (7) As used in this subsection (7): | 
 "Advanced-track coursework or programs" means any high  | 
school courses, sequence of courses, or class or grouping of  | 
students organized to provide more rigorous, enriched,  | 
advanced, accelerated, gifted, or above grade-level  | 
instruction. This may include, but is not limited to, Advanced  | 
Placement courses, International Baccalaureate courses,  | 
honors, weighted, advanced, or enriched courses, or gifted or  | 
accelerated programs, classrooms, or courses. | 
 "Course" means any high school class or course offered by  | 
a school that is assigned a school course code by the State  | 
Board of Education.  | 
 "English learner coursework or English learner program"  | 
means a high school English learner course or program  | 
designated to serve English learners, who may be designated as  | 
English language learners or limited English proficiency  | 
learners.  | 
 "Standard coursework or programs" means any high school  | 
courses or classes other than advanced-track coursework or  | 
programs, English learner coursework or programs, or special  | 
education coursework or programs.  | 
 | 
 By October 31, 2027 and by October 31 of each subsequent  | 
year, the State Board of Education, through the State  | 
Superintendent of Education, shall prepare a stand-alone  | 
report covering high schools, to be referred to as the  | 
Expanded High School Snapshot Report. The State Board shall  | 
post the Report on the State Board's Internet website. Each  | 
school district with a high school shall include on the school  | 
district's Internet website, if the district maintains an  | 
Internet website, a hyperlink to the Report on the State  | 
Board's Internet website titled "Expanded High School Snapshot  | 
Report". Hyperlinks under this subsection (7) shall be  | 
displayed in a manner that is easily accessible to the public. | 
 The Expanded High School Snapshot Report shall include: | 
  (A) a listing of all standard coursework or programs  | 
 offered by a high school; | 
  (B) a listing of all advanced-track coursework or  | 
 programs offered by a high school; | 
  (C) a listing of all English learner coursework or  | 
 programs offered by a high school; | 
  (D) a listing of all special education coursework or  | 
 programs offered by a high school; | 
  (E) data tables and graphs comparing advanced-track  | 
 coursework or programs with standard coursework or  | 
 programs according to the following parameters: | 
   (i) the average years of experience of all  | 
 teachers in a high school who are assigned to teach  | 
 | 
 advanced-track coursework or programs compared with  | 
 the average years of experience of all teachers in the  | 
 high school who are assigned to teach standard  | 
 coursework or programs; | 
   (ii) the average years of experience of all  | 
 teachers in a high school who are assigned to teach  | 
 special education coursework or programs compared with  | 
 the average years of experience of all teachers in the  | 
 high school who are assigned to teach standard  | 
 coursework or programs; | 
   (iii) the average years of experience of all  | 
 teachers in a high school who are assigned to teach  | 
 English learner coursework or programs compared with  | 
 the average years of experience of all teachers in the  | 
 high school who are assigned to teach standard  | 
 coursework or programs; | 
   (iv) the number of high school teachers who  | 
 possess bachelor's, master's, or doctorate degrees and  | 
 who are assigned to teach advanced-track courses or  | 
 programs compared with the number of teachers who  | 
 possess bachelor's, master's, or doctorate degrees and  | 
 who are assigned to teach standard coursework or  | 
 programs; | 
   (v) the number of high school teachers who possess  | 
 bachelor's, master's, or doctorate degrees and who are  | 
 assigned to teach special education coursework or  | 
 | 
 programs compared with the number of teachers who  | 
 possess bachelor's, master's, or doctorate degrees and  | 
 who are assigned to teach standard coursework or  | 
 programs; | 
   (vi) the number of high school teachers who  | 
 possess bachelor's, master's, or doctorate degrees and  | 
 who are assigned to teach English learner coursework  | 
 or programs compared with the number of teachers who  | 
 possess bachelor's, master's, or doctorate degrees and  | 
 who are assigned to teach standard coursework or  | 
 programs; | 
   (vii) the average student enrollment and class  | 
 size of advanced-track coursework or programs offered  | 
 in a high school compared with the average student  | 
 enrollment and class size of standard coursework or  | 
 programs; | 
   (viii) the percentages of students delineated by  | 
 gender who are enrolled in advanced-track coursework  | 
 or programs in a high school compared with the gender  | 
 of students enrolled in standard coursework or  | 
 programs; | 
   (ix) the percentages of students delineated by  | 
 gender who are enrolled in special education  | 
 coursework or programs in a high school compared with  | 
 the percentages of students enrolled in standard  | 
 coursework or programs; | 
 | 
   (x) the percentages of students delineated by  | 
 gender who are enrolled in English learner coursework  | 
 or programs in a high school compared with the gender  | 
 of students enrolled in standard coursework or  | 
 programs; | 
   (xi) the percentages of high school students in  | 
 each individual race and ethnicity category, as  | 
 defined in the most recent federal decennial census,  | 
 who are enrolled in advanced-track coursework or  | 
 programs compared with the percentages of students in  | 
 each individual race and ethnicity category enrolled  | 
 in standard coursework or programs; | 
   (xii) the percentages of high school students in  | 
 each of the race and ethnicity categories, as defined  | 
 in the most recent federal decennial census, who are  | 
 enrolled in special education coursework or programs  | 
 compared with the percentages of students in each of  | 
 the race and ethnicity categories who are enrolled in  | 
 standard coursework or programs; | 
   (xiii) the percentages of high school students in  | 
 each of the race and ethnicity categories, as defined  | 
 in the most recent federal decennial census, who are  | 
 enrolled in English learner coursework or programs in  | 
 a high school compared with the percentages of high  | 
 school students in each of the race and ethnicity  | 
 categories who are enrolled in standard coursework or  | 
 | 
 programs; | 
   (xiv) the percentage of high school students who  | 
 reach proficiency (the equivalent of a C grade or  | 
 higher on a grade A through F scale) in advanced-track  | 
 coursework or programs compared with the percentage of  | 
 students who earn proficiency (the equivalent of a C  | 
 grade or higher on a grade A through F scale) in  | 
 standard coursework or programs; | 
   (xv) the percentage of high school students who  | 
 reach proficiency (the equivalent of a C grade or  | 
 higher on a grade A through F scale) in special  | 
 education coursework or programs compared with the  | 
 percentage of high school students who earn  | 
 proficiency (the equivalent of a C grade or higher on a  | 
 grade A through F scale) in standard coursework or  | 
 programs; and | 
   (xvi) the percentage of high school students who  | 
 reach proficiency (the equivalent of a C grade or  | 
 higher on a grade A through F scale) in English learner  | 
 coursework or programs compared with the percentage of  | 
 high school students who earn proficiency (the  | 
 equivalent of a C grade or higher on a grade A through  | 
 F scale) in standard coursework or programs; and | 
  (F) data tables and graphs for each race and ethnicity  | 
 category, as defined in the most recent federal decennial  | 
 census, and gender category, as defined in the most recent  | 
 | 
 federal decennial census, describing: | 
   (i) the total number of Advanced Placement courses  | 
 taken by race and ethnicity category and gender  | 
 category, as defined in the most recent federal  | 
 decennial census; | 
   (ii) the total number of International  | 
 Baccalaureate courses taken by race and ethnicity  | 
 category and gender category, as defined in the most  | 
 recent federal decennial census; | 
   (iii) for each race and ethnicity category and  | 
 gender category, as defined in the most recent federal  | 
 decennial census, the percentage of high school  | 
 students enrolled in Advanced Placement courses; | 
   (iv) for each race and ethnicity category and  | 
 gender category, as defined in the most recent federal  | 
 decennial census, the percentage of high school  | 
 students enrolled in International Baccalaureate  | 
 courses; and | 
   (v) for each race and ethnicity category, as  | 
 defined in the most recent federal decennial census,  | 
 the total number and percentage of high school  | 
 students who earn a score of 3 or higher on the  | 
 Advanced Placement exam associated with an Advanced  | 
 Placement course.  | 
 For data on teacher experience and education under this  | 
subsection (7), a teacher who teaches a combination of courses  | 
 | 
designated as advanced-track coursework or programs, English  | 
learner coursework or programs, or standard coursework or  | 
programs shall be included in all relevant categories and the  | 
teacher's level of experience shall be added to the  | 
categories. | 
(Source: P.A. 102-16, eff. 6-17-21; 102-294, eff. 1-1-22;  | 
102-539, eff. 8-20-21; 102-558, eff. 8-20-21; 102-594, eff.  | 
7-1-22; 102-813, eff. 5-13-22; 103-116, eff. 6-30-23; 103-263,  | 
eff. 6-30-23; 103-413, eff, 1-1-24; 103-503, eff. 1-1-24;  | 
revised 9-12-23.)
 | 
 (105 ILCS 5/10-20.67) | 
 Sec. 10-20.67. Short-term substitute teacher training. | 
 (a) Each school board shall, in collaboration with its  | 
teachers or, if applicable, the exclusive bargaining  | 
representative of its teachers, jointly develop a short-term  | 
substitute teacher training program that provides individuals  | 
who hold a Short-Term Substitute Teaching License under  | 
Section 21B-20 of this Code with information on curriculum,  | 
classroom management techniques, school safety, and district  | 
and building operations. The State Board of Education may  | 
develop a model short-term substitute teacher training program  | 
for use by a school board under this subsection (a) if the  | 
school board and its teachers or, if applicable, the exclusive  | 
bargaining representative of its teachers agree to use the  | 
State Board's model. A school board with a substitute teacher  | 
 | 
training program in place before July 1, 2018 (the effective  | 
date of Public Act 100-596) may utilize that program to  | 
satisfy the requirements of this subsection (a). | 
 (b) Nothing in this Section prohibits a school board from  | 
offering substitute training to substitute teachers licensed  | 
under paragraph (3) of Section 21B-20 of this Code or to  | 
substitute teachers holding a Professional Educator License. | 
 (c) (Blank).  | 
(Source: P.A. 103-111, eff. 6-29-23; revised 9-20-23.)
 | 
 (105 ILCS 5/10-20.85) | 
 Sec. 10-20.85. Trauma kit. | 
 (a) In this Section, "trauma kit" means a first aid  | 
response kit that contains, at a minimum, all of the  | 
following: | 
  (1) One tourniquet endorsed by the Committee on  | 
 Tactical Combat Casualty Care. | 
  (2) One compression bandage. | 
  (3) One hemostatic bleeding control dressing endorsed  | 
 by the Committee on Tactical Combat Casualty Care. | 
  (4) Protective gloves and a marker. | 
  (5) Scissors. | 
  (6) Instructional documents developed by the Stop the  | 
 Bleed national awareness campaign of the United States  | 
 Department of Homeland Security or the American College of  | 
 Surgeons' Committee on Trauma, or both. | 
 | 
  (7) Any other medical materials or equipment similar  | 
 to those described in paragraphs (1) through (3) or any  | 
 other items that (i) are approved by a local law  | 
 enforcement agency or first responders, (ii) can  | 
 adequately treat a traumatic injury, and (iii) can be  | 
 stored in a readily available kit. | 
 (b) Each school district may maintain an on-site trauma  | 
kit at each school of the district for bleeding emergencies. | 
 (c) Products purchased for the trauma kit, including those  | 
products endorsed by the Committee on Tactical Combat Casualty  | 
Care, shall, whenever possible, be manufactured in the United  | 
States.  | 
(Source: P.A. 103-128, eff. 6-30-23.)
 | 
 (105 ILCS 5/10-20.86) | 
 (This Section may contain text from a Public Act with a  | 
delayed effective date) | 
 Sec. 10-20.86 10-20.85. Community input on local  | 
assessments. | 
 (a) As used in this Section, "district-administered  | 
assessment" means an assessment that requires all student test  | 
takers at any grade level to answer the same questions, or a  | 
selection of questions from a common bank of questions, in the  | 
same manner or substantially the same questions in the same  | 
manner. The term does not include an observational assessment  | 
tool used to satisfy the requirements of Section 2-3.64a-10 of  | 
 | 
this Code or an assessment developed by district teachers or  | 
administrators that will be used to measure student progress  | 
at an attendance center within the school district. | 
 (b) Prior to approving a new contract for any  | 
district-administered assessment, a school board must hold a  | 
public vote at a regular meeting of the school board, at which  | 
the terms of the proposal must be substantially presented and  | 
an opportunity for allowing public comments must be provided,  | 
subject to applicable notice requirements. However, if the  | 
assessment being made available to review is subject to  | 
copyright, trademark, or other intellectual property  | 
protection, the review process shall include technical and  | 
procedural safeguards to ensure that the materials are not  | 
able to be widely disseminated to the general public in  | 
violation of the intellectual property rights of the publisher  | 
and to ensure content validity is not undermined. | 
(Source: P.A. 103-393, eff. 7-1-24; revised 8-30-23.)
 | 
 (105 ILCS 5/10-22.3f) | 
 Sec. 10-22.3f. Required health benefits. Insurance  | 
protection and benefits for employees shall provide the  | 
post-mastectomy care benefits required to be covered by a  | 
policy of accident and health insurance under Section 356t and  | 
the coverage required under Sections 356g, 356g.5, 356g.5-1,  | 
356q, 356u, 356w, 356x, 356z.4, 356z.4a, 356z.6, 356z.8,  | 
356z.9, 356z.11, 356z.12, 356z.13, 356z.14, 356z.15, 356z.22,  | 
 | 
356z.25, 356z.26, 356z.29, 356z.30a, 356z.32, 356z.33,  | 
356z.36, 356z.40, 356z.41, 356z.45, 356z.46, 356z.47, 356z.51,  | 
356z.53, 356z.54, 356z.56, 356z.57, 356z.59, 356z.60, and  | 
356z.61, and 356z.62, 356z.64, 356z.67, 356z.68, and 356z.70  | 
of the Illinois Insurance Code. Insurance policies shall  | 
comply with Section 356z.19 of the Illinois Insurance Code.  | 
The coverage shall comply with Sections 155.22a, 355b, and  | 
370c of the Illinois Insurance Code. The Department of  | 
Insurance shall enforce the requirements of this Section.  | 
 Rulemaking authority to implement Public Act 95-1045, if  | 
any, is conditioned on the rules being adopted in accordance  | 
with all provisions of the Illinois Administrative Procedure  | 
Act and all rules and procedures of the Joint Committee on  | 
Administrative Rules; any purported rule not so adopted, for  | 
whatever reason, is unauthorized.  | 
(Source: P.A. 102-30, eff. 1-1-22; 102-103, eff. 1-1-22;  | 
102-203, eff. 1-1-22; 102-306, eff. 1-1-22; 102-642, eff.  | 
1-1-22; 102-665, eff. 10-8-21; 102-731, eff. 1-1-23; 102-804,  | 
eff. 1-1-23; 102-813, eff. 5-13-22; 102-816, eff. 1-1-23;  | 
102-860, eff. 1-1-23; 102-1093, eff. 1-1-23; 102-1117, eff.  | 
1-13-23; 103-84, eff. 1-1-24; 103-91, eff. 1-1-24; 103-420,  | 
eff. 1-1-24; 103-445, eff. 1-1-24; 103-535, eff. 8-11-23;  | 
103-551, eff. 8-11-23; revised 8-29-23.)
 | 
 (105 ILCS 5/10-22.36) (from Ch. 122, par. 10-22.36) | 
 Sec. 10-22.36. Buildings for school purposes.  | 
 | 
 (a) To build or purchase a building for school classroom  | 
or instructional purposes upon the approval of a majority of  | 
the voters upon the proposition at a referendum held for such  | 
purpose or in accordance with Section 17-2.11, 19-3.5, or  | 
19-3.10. The board may initiate such referendum by resolution.  | 
The board shall certify the resolution and proposition to the  | 
proper election authority for submission in accordance with  | 
the general election law. | 
 The questions of building one or more new buildings for  | 
school purposes or office facilities, and issuing bonds for  | 
the purpose of borrowing money to purchase one or more  | 
buildings or sites for such buildings or office sites, to  | 
build one or more new buildings for school purposes or office  | 
facilities or to make additions and improvements to existing  | 
school buildings, may be combined into one or more  | 
propositions on the ballot. | 
 Before erecting, or purchasing or remodeling such a  | 
building the board shall submit the plans and specifications  | 
respecting heating, ventilating, lighting, seating, water  | 
supply, toilets and safety against fire to the regional  | 
superintendent of schools having supervision and control over  | 
the district, for approval in accordance with Section 2-3.12. | 
 Notwithstanding any of the foregoing, no referendum shall  | 
be required if the purchase, construction, or building of any  | 
such building (1) occurs while the building is being leased by  | 
the school district or (2) is paid with (A) funds derived from  | 
 | 
the sale or disposition of other buildings, land, or  | 
structures of the school district or (B) funds received (i) as  | 
a grant under the School Construction Law or (ii) as gifts or  | 
donations, provided that no funds to purchase, construct, or  | 
build such building, other than lease payments, are derived  | 
from the district's bonded indebtedness or the tax levy of the  | 
district. | 
 Notwithstanding any of the foregoing, no referendum shall  | 
be required if the purchase, construction, or building of any  | 
such building is paid with funds received from the County  | 
School Facility and Resources Occupation Tax Law under Section  | 
5-1006.7 of the Counties Code or from the proceeds of bonds or  | 
other debt obligations secured by revenues obtained from that  | 
Law.  | 
 Notwithstanding any of the foregoing, for Decatur School  | 
District Number 61, no referendum shall be required if at  | 
least 50% of the cost of the purchase, construction, or  | 
building of any such building is paid, or will be paid, with  | 
funds received or expected to be received as part of, or  | 
otherwise derived from, any COVID-19 pandemic relief program  | 
or funding source, including, but not limited to, Elementary  | 
and Secondary School Emergency Relief Fund grant proceeds.  | 
 (b) Notwithstanding the provisions of subsection (a), for  | 
any school district: (i) that is a tier 1 school, (ii) that has  | 
a population of less than 50,000 inhabitants, (iii) whose  | 
student population is between 5,800 and 6,300, (iv) in which  | 
 | 
57% to 62% of students are low-income, and (v) whose average  | 
district spending is between $10,000 to $12,000 per pupil,  | 
until July 1, 2025, no referendum shall be required if at least  | 
50% of the cost of the purchase, construction, or building of  | 
any such building is paid, or will be paid, with funds received  | 
or expected to be received as part of, or otherwise derived  | 
from, the federal Consolidated Appropriations Act and the  | 
federal American Rescue Plan Act of 2021. | 
 For this subsection (b), the school board must hold at  | 
least 2 public hearings, the sole purpose of which shall be to  | 
discuss the decision to construct a school building and to  | 
receive input from the community. The notice of each public  | 
hearing that sets forth the time, date, place, and name or  | 
description of the school building that the school board is  | 
considering constructing must be provided at least 10 days  | 
prior to the hearing by publication on the school board's  | 
Internet website.  | 
 (c) Notwithstanding the provisions of subsections  | 
subsection (a) and (b), for Cahokia Community Unit School  | 
District 187, no referendum shall be required for the lease of  | 
any building for school or educational purposes if the cost is  | 
paid or will be paid with funds available at the time of the  | 
lease in the district's existing fund balances to fund the  | 
lease of a building during the 2023-2024 or 2024-2025 school  | 
year.  | 
 For the purposes of this subsection (c), the school board  | 
 | 
must hold at least 2 public hearings, the sole purpose of which  | 
shall be to discuss the decision to lease a school building and  | 
to receive input from the community. The notice of each public  | 
hearing that sets forth the time, date, place, and name or  | 
description of the school building that the school board is  | 
considering leasing must be provided at least 10 days prior to  | 
the hearing by publication on the school district's website.  | 
 (d) (c) Notwithstanding the provisions of subsections  | 
subsection (a) and (b), for Bloomington School District 87, no  | 
referendum shall be required for the purchase, construction,  | 
or building of any building for school or education purposes  | 
if such cost is paid, or will be paid with funds available at  | 
the time of contract, purchase, construction, or building in  | 
Bloomington School District Number 87's existing fund balances  | 
to fund the procurement or requisition of a building or site  | 
during the 2022-2023, 2023-2024, or 2024-2025 school year  | 
years.  | 
 For this subsection (d) (c), the school board must hold at  | 
least 2 public hearings, the sole purpose of which shall be to  | 
discuss the decision to construct a school building and to  | 
receive input from the community. The notice of each public  | 
hearing that sets forth the time, date, place, and name or  | 
description of the school building that the school board is  | 
considering constructing must be provided at least 10 days  | 
prior to the hearing by publication on the school board's  | 
website.  | 
 | 
(Source: P.A. 102-16, eff. 6-17-21; 102-699, eff. 7-1-22;  | 
103-8, eff. 6-7-23; 103-509, eff. 8-4-23; revised 8-31-23.)
 | 
 (105 ILCS 5/10-22.39) | 
 (Text of Section before amendment by P.A. 103-41 and P.A.  | 
103-542) | 
 Sec. 10-22.39. In-service training programs.  | 
 (a) To conduct in-service training programs for teachers. | 
 (b) In addition to other topics at in-service training  | 
programs, at least once every 2 years, licensed school  | 
personnel and administrators who work with pupils in  | 
kindergarten through grade 12 shall be trained to identify the  | 
warning signs of mental illness, trauma, and suicidal behavior  | 
in youth and shall be taught appropriate intervention and  | 
referral techniques. A school district may utilize the  | 
Illinois Mental Health First Aid training program, established  | 
under the Illinois Mental Health First Aid Training Act and  | 
administered by certified instructors trained by a national  | 
association recognized as an authority in behavioral health,  | 
to provide the training and meet the requirements under this  | 
subsection. If licensed school personnel or an administrator  | 
obtains mental health first aid training outside of an  | 
in-service training program, he or she may present a  | 
certificate of successful completion of the training to the  | 
school district to satisfy the requirements of this  | 
subsection.  | 
 | 
 Training regarding the implementation of trauma-informed  | 
practices satisfies the requirements of this subsection (b). | 
 A course of instruction as described in this subsection  | 
(b) must include the definitions of trauma, trauma-responsive  | 
learning environments, and whole child set forth in subsection  | 
(b) of Section 3-11 of this Code and may provide information  | 
that is relevant to and within the scope of the duties of  | 
licensed school personnel or school administrators. Such  | 
information may include, but is not limited to: | 
  (1) the recognition of and care for trauma in students  | 
 and staff; | 
  (2) the relationship between educator wellness and  | 
 student learning; | 
  (3) the effect of trauma on student behavior and  | 
 learning; | 
  (4) the prevalence of trauma among students, including  | 
 the prevalence of trauma among student populations at  | 
 higher risk of experiencing trauma; | 
  (5) the effects of implicit or explicit bias on  | 
 recognizing trauma among various student groups in  | 
 connection with race, ethnicity, gender identity, sexual  | 
 orientation, socio-economic status, and other relevant  | 
 factors; and | 
  (6) effective district practices that are shown to: | 
   (A) prevent and mitigate the negative effect of  | 
 trauma on student behavior and learning; and | 
 | 
   (B) support the emotional wellness of staff.  | 
 (c) School counselors, nurses, teachers and other school  | 
personnel who work with pupils may be trained to have a basic  | 
knowledge of matters relating to acquired immunodeficiency  | 
syndrome (AIDS), including the nature of the disease, its  | 
causes and effects, the means of detecting it and preventing  | 
its transmission, and the availability of appropriate sources  | 
of counseling and referral, and any other information that may  | 
be appropriate considering the age and grade level of such  | 
pupils. The School Board shall supervise such training. The  | 
State Board of Education and the Department of Public Health  | 
shall jointly develop standards for such training. | 
 (d) In this subsection (d): | 
 "Domestic violence" means abuse by a family or household  | 
member, as "abuse" and "family or household members" are  | 
defined in Section 103 of the Illinois Domestic Violence Act  | 
of 1986. | 
 "Sexual violence" means sexual assault, abuse, or stalking  | 
of an adult or minor child proscribed in the Criminal Code of  | 
1961 or the Criminal Code of 2012 in Sections 11-1.20,  | 
11-1.30, 11-1.40, 11-1.50, 11-1.60, 12-7.3, 12-7.4, 12-7.5,  | 
12-12, 12-13, 12-14, 12-14.1, 12-15, and 12-16, including  | 
sexual violence committed by perpetrators who are strangers to  | 
the victim and sexual violence committed by perpetrators who  | 
are known or related by blood or marriage to the victim. | 
 At least once every 2 years, an in-service training  | 
 | 
program for school personnel who work with pupils, including,  | 
but not limited to, school and school district administrators,  | 
teachers, school social workers, school counselors, school  | 
psychologists, and school nurses, must be conducted by persons  | 
with expertise in domestic and sexual violence and the needs  | 
of expectant and parenting youth and shall include training  | 
concerning (i) communicating with and listening to youth  | 
victims of domestic or sexual violence and expectant and  | 
parenting youth, (ii) connecting youth victims of domestic or  | 
sexual violence and expectant and parenting youth to  | 
appropriate in-school services and other agencies, programs,  | 
and services as needed, and (iii) implementing the school  | 
district's policies, procedures, and protocols with regard to  | 
such youth, including confidentiality. At a minimum, school  | 
personnel must be trained to understand, provide information  | 
and referrals, and address issues pertaining to youth who are  | 
parents, expectant parents, or victims of domestic or sexual  | 
violence.  | 
 (e) At least every 2 years, an in-service training program  | 
for school personnel who work with pupils must be conducted by  | 
persons with expertise in anaphylactic reactions and  | 
management.  | 
 (f) At least once every 2 years, a school board shall  | 
conduct in-service training on educator ethics,  | 
teacher-student conduct, and school employee-student conduct  | 
for all personnel.  | 
 | 
 (g) At least once every 2 years, a school board shall  | 
conduct in-service training for all school district employees  | 
on the methods to respond to trauma. The training must include  | 
instruction on how to respond to an incident involving  | 
life-threatening bleeding and, if applicable, how to use a  | 
school's trauma kit. A school board may satisfy the training  | 
requirements under this subsection by using the training,  | 
including online training, available from the American College  | 
of Surgeons or any other similar organization. | 
 School district employees who are trained to respond to  | 
trauma pursuant to this subsection (g) shall be immune from  | 
civil liability in the use of a trauma kit unless the action  | 
constitutes willful or wanton misconduct.  | 
(Source: P.A. 102-197, eff. 7-30-21; 102-638, eff. 1-1-23;  | 
102-813, eff. 5-13-22; 103-128, eff. 6-30-23; 103-413, eff.  | 
1-1-24; revised 11-27-23.)
 | 
 (Text of Section after amendment by P.A. 103-542 but  | 
before amendment by P.A. 103-41) | 
 Sec. 10-22.39. In-service training programs.  | 
 (a) To conduct in-service training programs for teachers,  | 
administrators, and school support personnel. | 
 (b) In addition to other topics at in-service training  | 
programs listed in this Section, teachers, administrators, and  | 
school support personnel who work with pupils must be trained  | 
in the following topics: health conditions of students;  | 
 | 
social-emotional learning; developing cultural competency;  | 
identifying warning signs of mental illness and suicidal  | 
behavior in youth; domestic and sexual violence and the needs  | 
of expectant and parenting youth; protections and  | 
accommodations for students; educator ethics; responding to  | 
child sexual abuse and grooming behavior; and effective  | 
instruction in violence prevention and conflict resolution.  | 
In-service training programs in these topics shall be credited  | 
toward hours of professional development required for license  | 
renewal as outlined in subsection (e) of Section 21B-45. | 
 School support personnel may be exempt from in-service  | 
training if the training is not relevant to the work they do. | 
 Nurses and school nurses, as defined by Section 10-22.23,  | 
are exempt from training required in subsection (b-5). | 
 Beginning July 1, 2024, all teachers, administrators, and  | 
school support personnel shall complete training as outlined  | 
in Section 10-22.39 during an in-service training program  | 
conducted by their school board or through other training  | 
opportunities, including, but not limited to, institutes under  | 
Section 3-11. Such training must be completed within 6 months  | 
of employment by a school board and renewed at least once every  | 
5 years, unless required more frequently by other State or  | 
federal law or in accordance with this Section. If teachers,  | 
administrators, or school support personnel obtain training  | 
outside of an in-service training program or from a previous  | 
public school district or nonpublic school employer, they may  | 
 | 
present documentation showing current compliance with this  | 
subsection to satisfy the requirement of receiving training  | 
within 6 months of first being employed. Training may be  | 
delivered through online, asynchronous means. | 
 (b-5) Training regarding health conditions of students for  | 
staff required by this Section shall include, but is not  | 
limited to: | 
  (1) Chronic health conditions of students. | 
  (2) Anaphylactic reactions and management. Such  | 
 training shall be conducted by persons with expertise in  | 
 anaphylactic reactions and management. | 
  (3) The management of asthma, the prevention of asthma  | 
 symptoms, and emergency response in the school setting. | 
  (4) The basics of seizure recognition and first aid  | 
 and appropriate emergency protocols. Such training must be  | 
 fully consistent with the best practice guidelines issued  | 
 by the Centers for Disease Control and Prevention. | 
  (5) The basics of diabetes care, how to identify when  | 
 a student with diabetes needs immediate or emergency  | 
 medical attention, and whom to contact in the case of an  | 
 emergency. | 
  (6) Current best practices regarding the  | 
 identification and treatment of attention deficit  | 
 hyperactivity disorder. | 
  (7) Instruction on how to respond to an incident  | 
 involving life-threatening bleeding and, if applicable,  | 
 | 
 how to use a school's trauma kit. Beginning with the  | 
 2024-2025 school year, training on life-threatening  | 
 bleeding must be completed within 6 months of the employee  | 
 first being employed by a school board and renewed within  | 
 2 years. Beginning with the 2027-2028 school year, the  | 
 training must be completed within 6 months of the employee  | 
 first being employed by a school board and renewed at  | 
 least once every 5 years thereafter. | 
 In consultation with professional organizations with  | 
expertise in student health issues, including, but not limited  | 
to, asthma management, anaphylactic reactions, seizure  | 
recognition, and diabetes care, the State Board of Education  | 
shall make available resource materials for educating school  | 
personnel about student health conditions and emergency  | 
response in the school setting. | 
 A school board may satisfy the life-threatening bleeding  | 
training under this subsection by using the training,  | 
including online training, available from the American College  | 
of Surgeons or any other similar organization. | 
 (b-10) The training regarding social-emotional learning,  | 
for staff required by this Section may include, at a minimum,  | 
providing education to all school personnel about the content  | 
of the Illinois Social and Emotional Learning Standards, how  | 
those standards apply to everyday school interactions, and  | 
examples of how social emotional learning can be integrated  | 
into instructional practices across all grades and subjects. | 
 | 
 (b-15) The training regarding developing cultural  | 
competency for staff required by this Section shall include,  | 
but is not limited to, understanding and reducing implicit  | 
bias, including implicit racial bias. As used in this  | 
subsection, "implicit racial bias" has the meaning set forth  | 
in Section 10-20.61. | 
 (b-20) The training regarding identifying warning signs of  | 
mental illness, trauma, and suicidal behavior in youth for  | 
staff required by this Section shall include, but is not  | 
limited to, appropriate intervention and referral techniques,  | 
including resources and guidelines as outlined in Section  | 
2-3.166, and must include the definitions of trauma,  | 
trauma-responsive learning environments, and whole child set  | 
forth in subsection (b) of Section 3-11 of this Code. | 
 Illinois Mental Health First Aid training, established  | 
under the Illinois Mental Health First Aid Training Act, may  | 
satisfy the requirements of this subsection. | 
 If teachers, administrators, or school support personnel  | 
obtain mental health first aid training outside of an  | 
in-service training program, they may present a certificate of  | 
successful completion of the training to the school district  | 
to satisfy the requirements of this subsection. Training  | 
regarding the implementation of trauma-informed practices  | 
satisfies the requirements of this subsection. | 
 (b-25) As used in this subsection: | 
 "Domestic violence" means abuse by a family or household  | 
 | 
member, as "abuse" and "family or household members" are  | 
defined in Section 103 of the Illinois Domestic Violence Act  | 
of 1986. | 
 "Sexual violence" means sexual assault, abuse, or stalking  | 
of an adult or minor child proscribed in the Criminal Code of  | 
1961 or in Sections 11-1.20, 11-1.30, 11-1.40, 11-1.50,  | 
11-1.60, 12-7.3, 12-7.4, 12-7.5, 12-12, 12-13, 12-14, 12-14.1,  | 
12-15, and 12-16 of the Criminal Code of 2012, including  | 
sexual violence committed by perpetrators who are strangers to  | 
the victim and sexual violence committed by perpetrators who  | 
are known or related by blood or marriage to the victim. | 
 The training regarding domestic and sexual violence and  | 
the needs of expectant and parenting youth for staff required  | 
by this Section must be conducted by persons with expertise in  | 
domestic and sexual violence and the needs of expectant and  | 
parenting youth, and shall include, but is not limited to: | 
  (1) communicating with and listening to youth victims  | 
 of domestic or sexual violence and expectant and parenting  | 
 youth; | 
  (2) connecting youth victims of domestic or sexual  | 
 violence and expectant and parenting youth to appropriate  | 
 in-school services and other agencies, programs, and  | 
 services as needed; | 
  (3) implementing the school district's policies,  | 
 procedures, and protocols with regard to such youth,  | 
 including confidentiality; at . At a minimum, school  | 
 | 
 personnel must be trained to understand, provide  | 
 information and referrals, and address issues pertaining  | 
 to youth who are parents, expectant parents, or victims of  | 
 domestic or sexual violence; and | 
  (4) procedures for responding to incidents of teen  | 
 dating violence that take place at the school, on school  | 
 grounds, at school-sponsored activities, or in vehicles  | 
 used for school-provided transportation as outlined in  | 
 Section 3.10 of the Critical Health Problems and  | 
 Comprehensive Health Education Act. | 
 (b-30) The training regarding protections and  | 
accommodations for students shall include, but is not limited  | 
to, instruction on the federal Americans with Disabilities  | 
Act, as it pertains to the school environment, and  | 
homelessness. Beginning with the 2024-2025 school year,  | 
training on homelessness must be completed within 6 months of  | 
an employee first being employed by a school board and renewed  | 
within 2 years. Beginning with the 2027-2028 school year, the  | 
training must be completed within 6 months of the employee  | 
first being employed by a school board and renewed at least  | 
once every 5 years thereafter. Training on homelessness shall  | 
include the following: | 
  (1) the definition of homeless children and youths  | 
 under 42 U.S.C. 11434a; | 
  (2) the signs of homelessness and housing insecurity; | 
  (3) the rights of students experiencing homelessness  | 
 | 
 under State and federal law; | 
  (4) the steps to take when a homeless or  | 
 housing-insecure student is identified; and | 
  (5) the appropriate referral techniques, including the  | 
 name and contact number of the school or school district  | 
 homeless liaison. | 
 School boards may work with a community-based organization  | 
that specializes in working with homeless children and youth  | 
to develop and provide the training. | 
 (b-35) The training regarding educator ethics and  | 
responding to child sexual abuse and grooming behavior shall  | 
include, but is not limited to, teacher-student conduct,  | 
school employee-student conduct, and evidence-informed  | 
training on preventing, recognizing, reporting, and responding  | 
to child sexual abuse and grooming as outlined in Section  | 
10-23.13. | 
 (b-40) The training regarding effective instruction in  | 
violence prevention and conflict resolution required by this  | 
Section shall be conducted in accordance with the requirements  | 
of Section 27-23.4. | 
 (b-45) (c) Beginning July 1, 2024, all nonpublic  | 
elementary and secondary school teachers, administrators, and  | 
school support personnel shall complete the training set forth  | 
in subsection (b-5). Training must be completed within 6  | 
months of first being employed by a nonpublic school and  | 
renewed at least once every 5 years, unless required more  | 
 | 
frequently by other State or federal law. If nonpublic  | 
teachers, administrators, or school support personnel obtain  | 
training from a public school district or nonpublic school  | 
employer, the teacher, administrator, or school support  | 
personnel may present documentation to the nonpublic school  | 
showing current compliance with this subsection to satisfy the  | 
requirement of receiving training within 6 months of first  | 
being employed. must include the definitions of trauma,  | 
trauma-responsive learning environments, and whole child set  | 
forth in subsection (b) of Section 3-11 of this Code and | 
 (c) (Blank). | 
 (d) (Blank). | 
 (e) (Blank).  | 
 (f) (Blank).  | 
 (g) At least once every 2 years, a school board shall  | 
conduct in-service training for all school district employees  | 
on the methods to respond to trauma. The training must include  | 
instruction on how to respond to an incident involving  | 
life-threatening bleeding and, if applicable, how to use a  | 
school's trauma kit. A school board may satisfy the training  | 
requirements under this subsection by using the training,  | 
including online training, available from the American College  | 
of Surgeons or any other similar organization. | 
 School district employees who are trained to respond to  | 
trauma pursuant to this subsection (g) shall be immune from  | 
civil liability in the use of a trauma kit unless the action  | 
 | 
constitutes willful or wanton misconduct.  | 
(Source: P.A. 102-197, eff. 7-30-21; 102-638, eff. 1-1-23;  | 
102-813, eff. 5-13-22; 103-128, eff. 6-30-23; 103-413, eff.  | 
1-1-24; 103-542, eff. 7-1-24 (see Section 905 of P.A. 103-563  | 
for effective date of P.A. 103-542); revised 11-27-23.)
 | 
 (Text of Section after amendment by P.A. 103-41) | 
 Sec. 10-22.39. In-service training programs.  | 
 (a) To conduct in-service training programs for teachers,  | 
administrators, and school support personnel. | 
 (b) In addition to other topics at in-service training  | 
programs listed in this Section, teachers, administrators, and  | 
school support personnel who work with pupils must be trained  | 
in the following topics: health conditions of students;  | 
social-emotional learning; developing cultural competency;  | 
identifying warning signs of mental illness and suicidal  | 
behavior in youth; domestic and sexual violence and the needs  | 
of expectant and parenting youth; protections and  | 
accommodations for students; educator ethics; responding to  | 
child sexual abuse and grooming behavior; and effective  | 
instruction in violence prevention and conflict resolution.  | 
In-service training programs in these topics shall be credited  | 
toward hours of professional development required for license  | 
renewal as outlined in subsection (e) of Section 21B-45. | 
 School support personnel may be exempt from in-service  | 
training if the training is not relevant to the work they do. | 
 | 
 Nurses and school nurses, as defined by Section 10-22.23,  | 
are exempt from training required in subsection (b-5). | 
 Beginning July 1, 2024, all teachers, administrators, and  | 
school support personnel shall complete training as outlined  | 
in Section 10-22.39 during an in-service training program  | 
conducted by their school board or through other training  | 
opportunities, including, but not limited to, institutes under  | 
Section 3-11. Such training must be completed within 6 months  | 
of employment by a school board and renewed at least once every  | 
5 years, unless required more frequently by other State or  | 
federal law or in accordance with this Section. If teachers,  | 
administrators, or school support personnel obtain training  | 
outside of an in-service training program or from a previous  | 
public school district or nonpublic school employer, they may  | 
present documentation showing current compliance with this  | 
subsection to satisfy the requirement of receiving training  | 
within 6 months of first being employed. Training may be  | 
delivered through online, asynchronous means. | 
 (b-5) Training regarding health conditions of students for  | 
staff required by this Section shall include, but is not  | 
limited to: | 
  (1) Chronic health conditions of students. | 
  (2) Anaphylactic reactions and management. Such  | 
 training shall be conducted by persons with expertise in  | 
 anaphylactic reactions and management. | 
  (3) The management of asthma, the prevention of asthma  | 
 | 
 symptoms, and emergency response in the school setting. | 
  (4) The basics of seizure recognition and first aid  | 
 and appropriate emergency protocols. Such training must be  | 
 fully consistent with the best practice guidelines issued  | 
 by the Centers for Disease Control and Prevention. | 
  (5) The basics of diabetes care, how to identify when  | 
 a student with diabetes needs immediate or emergency  | 
 medical attention, and whom to contact in the case of an  | 
 emergency. | 
  (6) Current best practices regarding the  | 
 identification and treatment of attention deficit  | 
 hyperactivity disorder. | 
  (7) Instruction on how to respond to an incident  | 
 involving life-threatening bleeding and, if applicable,  | 
 how to use a school's trauma kit. Beginning with the  | 
 2024-2025 school year, training on life-threatening  | 
 bleeding must be completed within 6 months of the employee  | 
 first being employed by a school board and renewed within  | 
 2 years. Beginning with the 2027-2028 school year, the  | 
 training must be completed within 6 months of the employee  | 
 first being employed by a school board and renewed at  | 
 least once every 5 years thereafter. | 
 In consultation with professional organizations with  | 
expertise in student health issues, including, but not limited  | 
to, asthma management, anaphylactic reactions, seizure  | 
recognition, and diabetes care, the State Board of Education  | 
 | 
shall make available resource materials for educating school  | 
personnel about student health conditions and emergency  | 
response in the school setting. | 
 A school board may satisfy the life-threatening bleeding  | 
training under this subsection by using the training,  | 
including online training, available from the American College  | 
of Surgeons or any other similar organization. | 
 (b-10) The training regarding social-emotional learning,  | 
for staff required by this Section may include, at a minimum,  | 
providing education to all school personnel about the content  | 
of the Illinois Social and Emotional Learning Standards, how  | 
those standards apply to everyday school interactions, and  | 
examples of how social emotional learning can be integrated  | 
into instructional practices across all grades and subjects. | 
 (b-15) The training regarding developing cultural  | 
competency for staff required by this Section shall include,  | 
but is not limited to, understanding and reducing implicit  | 
bias, including implicit racial bias. As used in this  | 
subsection, "implicit racial bias" has the meaning set forth  | 
in Section 10-20.61. | 
 (b-20) The training regarding identifying warning signs of  | 
mental illness, trauma, and suicidal behavior in youth for  | 
staff required by this Section shall include, but is not  | 
limited to, appropriate intervention and referral techniques,  | 
including resources and guidelines as outlined in Section  | 
2-3.166, and must include the definitions of trauma,  | 
 | 
trauma-responsive learning environments, and whole child set  | 
forth in subsection (b) of Section 3-11 of this Code. | 
 Illinois Mental Health First Aid training, established  | 
under the Illinois Mental Health First Aid Training Act, may  | 
satisfy the requirements of this subsection. | 
 If teachers, administrators, or school support personnel  | 
obtain mental health first aid training outside of an  | 
in-service training program, they may present a certificate of  | 
successful completion of the training to the school district  | 
to satisfy the requirements of this subsection. Training  | 
regarding the implementation of trauma-informed practices  | 
satisfies the requirements of this subsection. | 
 (b-25) As used in this subsection: | 
 "Domestic violence" means abuse by a family or household  | 
member, as "abuse" and "family or household members" are  | 
defined in Section 103 of the Illinois Domestic Violence Act  | 
of 1986. | 
 "Sexual violence" means sexual assault, abuse, or stalking  | 
of an adult or minor child proscribed in the Criminal Code of  | 
1961 or in Sections 11-1.20, 11-1.30, 11-1.40, 11-1.50,  | 
11-1.60, 12-7.3, 12-7.4, 12-7.5, 12-12, 12-13, 12-14, 12-14.1,  | 
12-15, and 12-16 of the Criminal Code of 2012, including  | 
sexual violence committed by perpetrators who are strangers to  | 
the victim and sexual violence committed by perpetrators who  | 
are known or related by blood or marriage to the victim. | 
 The training regarding domestic and sexual violence and  | 
 | 
the needs of expectant and parenting youth for staff required  | 
by this Section must be conducted by persons with expertise in  | 
domestic and sexual violence and the needs of expectant and  | 
parenting youth, and shall include, but is not limited to: | 
  (1) communicating with and listening to youth victims  | 
 of domestic or sexual violence and expectant and parenting  | 
 youth; | 
  (2) connecting youth victims of domestic or sexual  | 
 violence and expectant and parenting youth to appropriate  | 
 in-school services and other agencies, programs, and  | 
 services as needed; | 
  (3) implementing the school district's policies,  | 
 procedures, and protocols with regard to such youth,  | 
 including confidentiality; at . At a minimum, school  | 
 personnel must be trained to understand, provide  | 
 information and referrals, and address issues pertaining  | 
 to youth who are parents, expectant parents, or victims of  | 
 domestic or sexual violence; and | 
  (4) procedures for responding to incidents of teen  | 
 dating violence that take place at the school, on school  | 
 grounds, at school-sponsored activities, or in vehicles  | 
 used for school-provided transportation as outlined in  | 
 Section 3.10 of the Critical Health Problems and  | 
 Comprehensive Health Education Act. | 
 (b-30) The training regarding protections and  | 
accommodations for students shall include, but is not limited  | 
 | 
to, instruction on the federal Americans with Disabilities  | 
Act, as it pertains to the school environment, and  | 
homelessness. Beginning with the 2024-2025 school year,  | 
training on homelessness must be completed within 6 months of  | 
an employee first being employed by a school board and renewed  | 
within 2 years. Beginning with the 2027-2028 school year, the  | 
training must be completed within 6 months of the employee  | 
first being employed by a school board and renewed at least  | 
once every 5 years thereafter. Training on homelessness shall  | 
include the following: | 
  (1) the definition of homeless children and youths  | 
 under 42 U.S.C. 11434a; | 
  (2) the signs of homelessness and housing insecurity; | 
  (3) the rights of students experiencing homelessness  | 
 under State and federal law; | 
  (4) the steps to take when a homeless or  | 
 housing-insecure student is identified; and | 
  (5) the appropriate referral techniques, including the  | 
 name and contact number of the school or school district  | 
 homeless liaison. | 
 School boards may work with a community-based organization  | 
that specializes in working with homeless children and youth  | 
to develop and provide the training. | 
 (b-35) The training regarding educator ethics and  | 
responding to child sexual abuse and grooming behavior shall  | 
include, but is not limited to, teacher-student conduct,  | 
 | 
school employee-student conduct, and evidence-informed  | 
training on preventing, recognizing, reporting, and responding  | 
to child sexual abuse and grooming as outlined in Section  | 
10-23.13. | 
 (b-40) The training regarding effective instruction in  | 
violence prevention and conflict resolution required by this  | 
Section shall be conducted in accordance with the requirements  | 
of Section 27-23.4. | 
 (b-45) (c) Beginning July 1, 2024, all nonpublic  | 
elementary and secondary school teachers, administrators, and  | 
school support personnel shall complete the training set forth  | 
in subsection (b-5). Training must be completed within 6  | 
months of first being employed by a nonpublic school and  | 
renewed at least once every 5 years, unless required more  | 
frequently by other State or federal law. If nonpublic  | 
teachers, administrators, or school support personnel obtain  | 
training from a public school district or nonpublic school  | 
employer, the teacher, administrator, or school support  | 
personnel may present documentation to the nonpublic school  | 
showing current compliance with this subsection to satisfy the  | 
requirement of receiving training within 6 months of first  | 
being employed. must include the definitions of trauma,  | 
trauma-responsive learning environments, and whole child set  | 
forth in subsection (b) of Section 3-11 of this Code and | 
 (c) (Blank). | 
 (d) (Blank). | 
 | 
 (e) (Blank).  | 
 (f) (Blank).  | 
 (g) At least once every 2 years, a school board shall  | 
conduct in-service training for all school district employees  | 
on the methods to respond to trauma. The training must include  | 
instruction on how to respond to an incident involving  | 
life-threatening bleeding and, if applicable, how to use a  | 
school's trauma kit. A school board may satisfy the training  | 
requirements under this subsection by using the training,  | 
including online training, available from the American College  | 
of Surgeons or any other similar organization. | 
 School district employees who are trained to respond to  | 
trauma pursuant to this subsection (g) shall be immune from  | 
civil liability in the use of a trauma kit unless the action  | 
constitutes willful or wanton misconduct.  | 
 (h) (g) At least once every 2 years, a school board shall  | 
conduct in-service training on homelessness for all school  | 
personnel. The training shall include: | 
  (1) the definition of homeless children and youth  | 
 under Section 11434a of Title 42 of the United States  | 
 Code; | 
  (2) the signs of homelessness and housing insecurity; | 
  (3) the rights of students experiencing homelessness  | 
 under State and federal law; | 
  (4) the steps to take when a homeless or  | 
 housing-insecure student is identified; and | 
 | 
  (5) the appropriate referral techniques, including the  | 
 name and contact number of the school or school district  | 
 homeless liaison. | 
 A school board may work with a community-based  | 
organization that specializes in working with homeless  | 
children and youth to develop and provide the training.  | 
(Source: P.A. 102-197, eff. 7-30-21; 102-638, eff. 1-1-23;  | 
102-813, eff. 5-13-22; 103-41, eff. 8-20-24; 103-128, eff.  | 
6-30-23; 103-413, eff. 1-1-24; 103-542, eff. 7-1-24 (see  | 
Section 905 of P.A. 103-563 for effective date of P.A.  | 
103-542); revised 11-27-23.)
 | 
 (105 ILCS 5/14-7.02) (from Ch. 122, par. 14-7.02) | 
 Sec. 14-7.02. Children attending private schools, public  | 
out-of-state schools, public school residential facilities or  | 
private special education facilities.  | 
 (a) The General Assembly recognizes that non-public  | 
schools or special education facilities provide an important  | 
service in the educational system in Illinois. | 
 (b) If a student's individualized education program (IEP)  | 
team determines that because of his or her disability the  | 
special education program of a district is unable to meet the  | 
needs of the child and the child attends a non-public school or  | 
special education facility, a public out-of-state school or a  | 
special education facility owned and operated by a county  | 
government unit that provides special educational services  | 
 | 
required by the child and is in compliance with the  | 
appropriate rules and regulations of the State Superintendent  | 
of Education, the school district in which the child is a  | 
resident shall pay the actual cost of tuition for special  | 
education and related services provided during the regular  | 
school term and during the summer school term if the child's  | 
educational needs so require, excluding room, board and  | 
transportation costs charged the child by that non-public  | 
school or special education facility, public out-of-state  | 
school or county special education facility, or $4,500 per  | 
year, whichever is less, and shall provide him any necessary  | 
transportation. "Nonpublic special education facility" shall  | 
include a residential facility, within or without the State of  | 
Illinois, which provides special education and related  | 
services to meet the needs of the child by utilizing private  | 
schools or public schools, whether located on the site or off  | 
the site of the residential facility. Resident district  | 
financial responsibility and reimbursement applies for both  | 
nonpublic special education facilities that are approved by  | 
the State Board of Education pursuant to 23 Ill. Adm. Code 401  | 
or other applicable laws or rules and for emergency  | 
residential placements in nonpublic special education  | 
facilities that are not approved by the State Board of  | 
Education pursuant to 23 Ill. Adm. Code 401 or other  | 
applicable laws or rules, subject to the requirements of this  | 
Section. | 
 | 
 (c) Prior to the placement of a child in an out-of-state  | 
special education residential facility, the school district  | 
must refer to the child or the child's parent or guardian the  | 
option to place the child in a special education residential  | 
facility located within this State, if any, that provides  | 
treatment and services comparable to those provided by the  | 
out-of-state special education residential facility. The  | 
school district must review annually the placement of a child  | 
in an out-of-state special education residential facility. As  | 
a part of the review, the school district must refer to the  | 
child or the child's parent or guardian the option to place the  | 
child in a comparable special education residential facility  | 
located within this State, if any. | 
 (c-5) Before a provider that operates a nonpublic special  | 
education facility terminates a student's placement in that  | 
facility, the provider must request an IEP meeting from the  | 
contracting school district. If the provider elects to  | 
terminate the student's placement following the IEP meeting,  | 
the provider must give written notice to this effect to the  | 
parent or guardian, the contracting public school district,  | 
and the State Board of Education no later than 20 business days  | 
before the date of termination, unless the health and safety  | 
of any student are endangered. The notice must include the  | 
detailed reasons for the termination and any actions taken to  | 
address the reason for the termination.  | 
 (d) Payments shall be made by the resident school district  | 
 | 
to the entity providing the educational services, whether the  | 
entity is the nonpublic special education facility or the  | 
school district wherein the facility is located, no less than  | 
once per quarter, unless otherwise agreed to in writing by the  | 
parties. | 
 (e) A school district may residentially place a student in  | 
a nonpublic special education facility providing educational  | 
services, but not approved by the State Board of Education  | 
pursuant to 23 Ill. Adm. Code 401 or other applicable laws or  | 
rules, provided that the State Board of Education provides an  | 
emergency and student-specific approval for residential  | 
placement. The State Board of Education shall promptly, within  | 
10 days after the request, approve a request for emergency and  | 
student-specific approval for residential placement if the  | 
following have been demonstrated to the State Board of  | 
Education: | 
  (1) the facility demonstrates appropriate licensure of  | 
 teachers for the student population; | 
  (2) the facility demonstrates age-appropriate  | 
 curriculum; | 
  (3) the facility provides enrollment and attendance  | 
 data; | 
  (4) the facility demonstrates the ability to implement  | 
 the child's IEP; and | 
  (5) the school district demonstrates that it made good  | 
 faith efforts to residentially place the student in an  | 
 | 
 approved facility, but no approved facility has accepted  | 
 the student or has availability for immediate residential  | 
 placement of the student. | 
A resident school district may also submit such proof to the  | 
State Board of Education as may be required for its student.  | 
The State Board of Education may not unreasonably withhold  | 
approval once satisfactory proof is provided to the State  | 
Board. | 
 (f) If an impartial due process hearing officer who is  | 
contracted by the State Board of Education pursuant to this  | 
Article orders placement of a student with a disability in a  | 
residential facility that is not approved by the State Board  | 
of Education, then, for purposes of this Section, the facility  | 
shall be deemed approved for placement and school district  | 
payments and State reimbursements shall be made accordingly. | 
 (g) Emergency residential placement in a facility approved  | 
pursuant to subsection (e) or (f) may continue to be utilized  | 
so long as (i) the student's IEP team determines annually that  | 
such placement continues to be appropriate to meet the  | 
student's needs and (ii) at least every 3 years following the  | 
student's residential placement, the IEP team reviews  | 
appropriate placements approved by the State Board of  | 
Education pursuant to 23 Ill. Adm. Code 401 or other  | 
applicable laws or rules to determine whether there are any  | 
approved placements that can meet the student's needs, have  | 
accepted the student, and have availability for placement of  | 
 | 
the student.  | 
 (h) The State Board of Education shall promulgate rules  | 
and regulations for determining when placement in a private  | 
special education facility is appropriate. Such rules and  | 
regulations shall take into account the various types of  | 
services needed by a child and the availability of such  | 
services to the particular child in the public school. In  | 
developing these rules and regulations the State Board of  | 
Education shall consult with the Advisory Council on Education  | 
of Children with Disabilities and hold public hearings to  | 
secure recommendations from parents, school personnel, and  | 
others concerned about this matter. | 
 The State Board of Education shall also promulgate rules  | 
and regulations for transportation to and from a residential  | 
school. Transportation to and from home to a residential  | 
school more than once each school term shall be subject to  | 
prior approval by the State Superintendent in accordance with  | 
the rules and regulations of the State Board. | 
 (i) A school district making tuition payments pursuant to  | 
this Section is eligible for reimbursement from the State for  | 
the amount of such payments actually made in excess of the  | 
district per capita tuition charge for students not receiving  | 
special education services. Such reimbursement shall be  | 
approved in accordance with Section 14-12.01 and each district  | 
shall file its claims, computed in accordance with rules  | 
prescribed by the State Board of Education, on forms  | 
 | 
prescribed by the State Superintendent of Education. Data used  | 
as a basis of reimbursement claims shall be for the preceding  | 
regular school term and summer school term. Each school  | 
district shall transmit its claims to the State Board of  | 
Education on or before August 15. The State Board of  | 
Education, before approving any such claims, shall determine  | 
their accuracy and whether they are based upon services and  | 
facilities provided under approved programs. Upon approval the  | 
State Board shall cause vouchers to be prepared showing the  | 
amount due for payment of reimbursement claims to school  | 
districts, for transmittal to the State Comptroller on the  | 
30th day of September, December, and March, respectively, and  | 
the final voucher, no later than June 20. If the money  | 
appropriated by the General Assembly for such purpose for any  | 
year is insufficient, it shall be apportioned on the basis of  | 
the claims approved. | 
 (j) No child shall be placed in a special education  | 
program pursuant to this Section if the tuition cost for  | 
special education and related services increases more than 10  | 
percent over the tuition cost for the previous school year or  | 
exceeds $4,500 per year unless such costs have been approved  | 
by the Illinois Purchased Care Review Board. The Illinois  | 
Purchased Care Review Board shall consist of the following  | 
persons, or their designees: the Directors of Children and  | 
Family Services, Public Health, Public Aid, and the Governor's  | 
Office of Management and Budget; the Secretary of Human  | 
 | 
Services; the State Superintendent of Education; and such  | 
other persons as the Governor may designate. The Review Board  | 
shall also consist of one non-voting member who is an  | 
administrator of a private, nonpublic, special education  | 
school. The Review Board shall establish rules and regulations  | 
for its determination of allowable costs and payments made by  | 
local school districts for special education, room and board,  | 
and other related services provided by non-public schools or  | 
special education facilities and shall establish uniform  | 
standards and criteria which it shall follow. The Review Board  | 
shall approve the usual and customary rate or rates of a  | 
special education program that (i) is offered by an  | 
out-of-state, non-public provider of integrated autism  | 
specific educational and autism specific residential services,  | 
(ii) offers 2 or more levels of residential care, including at  | 
least one locked facility, and (iii) serves 12 or fewer  | 
Illinois students.  | 
 (k) In determining rates based on allowable costs, the  | 
Review Board shall consider any wage increases awarded by the  | 
General Assembly to front line personnel defined as direct  | 
support persons, aides, front-line supervisors, qualified  | 
intellectual disabilities professionals, nurses, and  | 
non-administrative support staff working in service settings  | 
in community-based settings within the State and adjust  | 
customary rates or rates of a special education program to be  | 
equitable to the wage increase awarded to similar staff  | 
 | 
positions in a community residential setting. Any wage  | 
increase awarded by the General Assembly to front line  | 
personnel defined as direct support persons, aides, front-line  | 
supervisors, qualified intellectual disabilities  | 
professionals, nurses, and non-administrative support staff  | 
working in community-based settings within the State,  | 
including the $0.75 per hour increase contained in Public Act  | 
100-23 and the $0.50 per hour increase included in Public Act  | 
100-23, shall also be a basis for any facility covered by this  | 
Section to appeal its rate before the Review Board under the  | 
process defined in Title 89, Part 900, Section 340 of the  | 
Illinois Administrative Code. Illinois Administrative Code  | 
Title 89, Part 900, Section 342 shall be updated to recognize  | 
wage increases awarded to community-based settings to be a  | 
basis for appeal. However, any wage increase that is captured  | 
upon appeal from a previous year shall not be counted by the  | 
Review Board as revenue for the purpose of calculating a  | 
facility's future rate. | 
 (l) Any definition used by the Review Board in  | 
administrative rule or policy to define "related  | 
organizations" shall include any and all exceptions contained  | 
in federal law or regulation as it pertains to the federal  | 
definition of "related organizations".  | 
 (m) The Review Board shall establish uniform definitions  | 
and criteria for accounting separately by special education,  | 
room and board and other related services costs. The Board  | 
 | 
shall also establish guidelines for the coordination of  | 
services and financial assistance provided by all State  | 
agencies to assure that no otherwise qualified child with a  | 
disability receiving services under Article 14 shall be  | 
excluded from participation in, be denied the benefits of or  | 
be subjected to discrimination under any program or activity  | 
provided by any State agency. | 
 (n) The Review Board shall review the costs for special  | 
education and related services provided by non-public schools  | 
or special education facilities and shall approve or  | 
disapprove such facilities in accordance with the rules and  | 
regulations established by it with respect to allowable costs. | 
 (o) The State Board of Education shall provide  | 
administrative and staff support for the Review Board as  | 
deemed reasonable by the State Superintendent of Education.  | 
This support shall not include travel expenses or other  | 
compensation for any Review Board member other than the State  | 
Superintendent of Education. | 
 (p) The Review Board shall seek the advice of the Advisory  | 
Council on Education of Children with Disabilities on the  | 
rules and regulations to be promulgated by it relative to  | 
providing special education services. | 
 (q) If a child has been placed in a program in which the  | 
actual per pupil costs of tuition for special education and  | 
related services based on program enrollment, excluding room,  | 
board and transportation costs, exceed $4,500 and such costs  | 
 | 
have been approved by the Review Board, the district shall pay  | 
such total costs which exceed $4,500. A district making such  | 
tuition payments in excess of $4,500 pursuant to this Section  | 
shall be responsible for an amount in excess of $4,500 equal to  | 
the district per capita tuition charge and shall be eligible  | 
for reimbursement from the State for the amount of such  | 
payments actually made in excess of the districts per capita  | 
tuition charge for students not receiving special education  | 
services. | 
 (r) If a child has been placed in an approved individual  | 
program and the tuition costs including room and board costs  | 
have been approved by the Review Board, then such room and  | 
board costs shall be paid by the appropriate State agency  | 
subject to the provisions of Section 14-8.01 of this Act. Room  | 
and board costs not provided by a State agency other than the  | 
State Board of Education shall be provided by the State Board  | 
of Education on a current basis. In no event, however, shall  | 
the State's liability for funding of these tuition costs begin  | 
until after the legal obligations of third party payors have  | 
been subtracted from such costs. If the money appropriated by  | 
the General Assembly for such purpose for any year is  | 
insufficient, it shall be apportioned on the basis of the  | 
claims approved. Each district shall submit estimated claims  | 
to the State Superintendent of Education. Upon approval of  | 
such claims, the State Superintendent of Education shall  | 
direct the State Comptroller to make payments on a monthly  | 
 | 
basis. The frequency for submitting estimated claims and the  | 
method of determining payment shall be prescribed in rules and  | 
regulations adopted by the State Board of Education. Such  | 
current state reimbursement shall be reduced by an amount  | 
equal to the proceeds which the child or child's parents are  | 
eligible to receive under any public or private insurance or  | 
assistance program. Nothing in this Section shall be construed  | 
as relieving an insurer or similar third party from an  | 
otherwise valid obligation to provide or to pay for services  | 
provided to a child with a disability. | 
 (s) If it otherwise qualifies, a school district is  | 
eligible for the transportation reimbursement under Section  | 
14-13.01 and for the reimbursement of tuition payments under  | 
this Section whether the non-public school or special  | 
education facility, public out-of-state school or county  | 
special education facility, attended by a child who resides in  | 
that district and requires special educational services, is  | 
within or outside of the State of Illinois. However, a  | 
district is not eligible to claim transportation reimbursement  | 
under this Section unless the district certifies to the State  | 
Superintendent of Education that the district is unable to  | 
provide special educational services required by the child for  | 
the current school year. | 
 (t) Nothing in this Section authorizes the reimbursement  | 
of a school district for the amount paid for tuition of a child  | 
attending a non-public school or special education facility,  | 
 | 
public out-of-state school or county special education  | 
facility unless the school district certifies to the State  | 
Superintendent of Education that the special education program  | 
of that district is unable to meet the needs of that child  | 
because of his disability and the State Superintendent of  | 
Education finds that the school district is in substantial  | 
compliance with Section 14-4.01. However, if a child is  | 
unilaterally placed by a State agency or any court in a  | 
non-public school or special education facility, public  | 
out-of-state school, or county special education facility, a  | 
school district shall not be required to certify to the State  | 
Superintendent of Education, for the purpose of tuition  | 
reimbursement, that the special education program of that  | 
district is unable to meet the needs of a child because of his  | 
or her disability. | 
 (u) Any educational or related services provided, pursuant  | 
to this Section in a non-public school or special education  | 
facility or a special education facility owned and operated by  | 
a county government unit shall be at no cost to the parent or  | 
guardian of the child. However, current law and practices  | 
relative to contributions by parents or guardians for costs  | 
other than educational or related services are not affected by  | 
this amendatory Act of 1978. | 
 (v) Reimbursement for children attending public school  | 
residential facilities shall be made in accordance with the  | 
provisions of this Section. | 
 | 
 (w) Notwithstanding any other provision of law, any school  | 
district receiving a payment under this Section or under  | 
Section 14-7.02b, 14-13.01, or 29-5 of this Code may classify  | 
all or a portion of the funds that it receives in a particular  | 
fiscal year or from general State aid pursuant to Section  | 
18-8.05 of this Code as funds received in connection with any  | 
funding program for which it is entitled to receive funds from  | 
the State in that fiscal year (including, without limitation,  | 
any funding program referenced in this Section), regardless of  | 
the source or timing of the receipt. The district may not  | 
classify more funds as funds received in connection with the  | 
funding program than the district is entitled to receive in  | 
that fiscal year for that program. Any classification by a  | 
district must be made by a resolution of its board of  | 
education. The resolution must identify the amount of any  | 
payments or general State aid to be classified under this  | 
paragraph and must specify the funding program to which the  | 
funds are to be treated as received in connection therewith.  | 
This resolution is controlling as to the classification of  | 
funds referenced therein. A certified copy of the resolution  | 
must be sent to the State Superintendent of Education. The  | 
resolution shall still take effect even though a copy of the  | 
resolution has not been sent to the State Superintendent of  | 
Education in a timely manner. No classification under this  | 
paragraph by a district shall affect the total amount or  | 
timing of money the district is entitled to receive under this  | 
 | 
Code. No classification under this paragraph by a district  | 
shall in any way relieve the district from or affect any  | 
requirements that otherwise would apply with respect to that  | 
funding program, including any accounting of funds by source,  | 
reporting expenditures by original source and purpose,  | 
reporting requirements, or requirements of providing services. | 
(Source: P.A. 102-254, eff. 8-6-21; 102-703, eff. 4-22-22;  | 
103-175, eff. 6-30-23; 103-546, eff. 8-11-23; revised  | 
8-30-23.)
 | 
 (105 ILCS 5/14-8.02) (from Ch. 122, par. 14-8.02) | 
 Sec. 14-8.02. Identification, evaluation, and placement of  | 
children.  | 
 (a) The State Board of Education shall make rules under  | 
which local school boards shall determine the eligibility of  | 
children to receive special education. Such rules shall ensure  | 
that a free appropriate public education be available to all  | 
children with disabilities as defined in Section 14-1.02. The  | 
State Board of Education shall require local school districts  | 
to administer non-discriminatory procedures or tests to  | 
English learners coming from homes in which a language other  | 
than English is used to determine their eligibility to receive  | 
special education. The placement of low English proficiency  | 
students in special education programs and facilities shall be  | 
made in accordance with the test results reflecting the  | 
student's linguistic, cultural and special education needs.  | 
 | 
For purposes of determining the eligibility of children the  | 
State Board of Education shall include in the rules  | 
definitions of "case study", "staff conference",  | 
"individualized educational program", and "qualified  | 
specialist" appropriate to each category of children with  | 
disabilities as defined in this Article. For purposes of  | 
determining the eligibility of children from homes in which a  | 
language other than English is used, the State Board of  | 
Education shall include in the rules definitions for  | 
"qualified bilingual specialists" and "linguistically and  | 
culturally appropriate individualized educational programs".  | 
For purposes of this Section, as well as Sections 14-8.02a,  | 
14-8.02b, and 14-8.02c of this Code, "parent" means a parent  | 
as defined in the federal Individuals with Disabilities  | 
Education Act (20 U.S.C. 1401(23)).  | 
 (b) No child shall be eligible for special education  | 
facilities except with a carefully completed case study fully  | 
reviewed by professional personnel in a multidisciplinary  | 
staff conference and only upon the recommendation of qualified  | 
specialists or a qualified bilingual specialist, if available.  | 
At the conclusion of the multidisciplinary staff conference,  | 
the parent of the child and, if the child is in the legal  | 
custody of the Department of Children and Family Services, the  | 
Department's Office of Education and Transition Services shall  | 
be given a copy of the multidisciplinary conference summary  | 
report and recommendations, which includes options considered,  | 
 | 
and, in the case of the parent, be informed of his or her right  | 
to obtain an independent educational evaluation if he or she  | 
disagrees with the evaluation findings conducted or obtained  | 
by the school district. If the school district's evaluation is  | 
shown to be inappropriate, the school district shall reimburse  | 
the parent for the cost of the independent evaluation. The  | 
State Board of Education shall, with advice from the State  | 
Advisory Council on Education of Children with Disabilities on  | 
the inclusion of specific independent educational evaluators,  | 
prepare a list of suggested independent educational  | 
evaluators. The State Board of Education shall include on the  | 
list clinical psychologists licensed pursuant to the Clinical  | 
Psychologist Licensing Act. Such psychologists shall not be  | 
paid fees in excess of the amount that would be received by a  | 
school psychologist for performing the same services. The  | 
State Board of Education shall supply school districts with  | 
such list and make the list available to parents at their  | 
request. School districts shall make the list available to  | 
parents at the time they are informed of their right to obtain  | 
an independent educational evaluation. However, the school  | 
district may initiate an impartial due process hearing under  | 
this Section within 5 days of any written parent request for an  | 
independent educational evaluation to show that its evaluation  | 
is appropriate. If the final decision is that the evaluation  | 
is appropriate, the parent still has a right to an independent  | 
educational evaluation, but not at public expense. An  | 
 | 
independent educational evaluation at public expense must be  | 
completed within 30 days of a parent's parent written request  | 
unless the school district initiates an impartial due process  | 
hearing or the parent or school district offers reasonable  | 
grounds to show that such 30-day time period should be  | 
extended. If the due process hearing decision indicates that  | 
the parent is entitled to an independent educational  | 
evaluation, it must be completed within 30 days of the  | 
decision unless the parent or the school district offers  | 
reasonable grounds to show that such 30-day period should be  | 
extended. If a parent disagrees with the summary report or  | 
recommendations of the multidisciplinary conference or the  | 
findings of any educational evaluation which results  | 
therefrom, the school district shall not proceed with a  | 
placement based upon such evaluation and the child shall  | 
remain in his or her regular classroom setting. No child shall  | 
be eligible for admission to a special class for children with  | 
a mental disability who are educable or for children with a  | 
mental disability who are trainable except with a  | 
psychological evaluation and recommendation by a school  | 
psychologist. Consent shall be obtained from the parent of a  | 
child before any evaluation is conducted. If consent is not  | 
given by the parent or if the parent disagrees with the  | 
findings of the evaluation, then the school district may  | 
initiate an impartial due process hearing under this Section.  | 
The school district may evaluate the child if that is the  | 
 | 
decision resulting from the impartial due process hearing and  | 
the decision is not appealed or if the decision is affirmed on  | 
appeal. The determination of eligibility shall be made and the  | 
IEP meeting shall be completed within 60 school days from the  | 
date of written parental consent. In those instances when  | 
written parental consent is obtained with fewer than 60 pupil  | 
attendance days left in the school year, the eligibility  | 
determination shall be made and the IEP meeting shall be  | 
completed prior to the first day of the following school year.  | 
Special education and related services must be provided in  | 
accordance with the student's IEP no later than 10 school  | 
attendance days after notice is provided to the parents  | 
pursuant to Section 300.503 of Title 34 of the Code of Federal  | 
Regulations and implementing rules adopted by the State Board  | 
of Education. The appropriate program pursuant to the  | 
individualized educational program of students whose native  | 
tongue is a language other than English shall reflect the  | 
special education, cultural and linguistic needs. No later  | 
than September 1, 1993, the State Board of Education shall  | 
establish standards for the development, implementation and  | 
monitoring of appropriate bilingual special individualized  | 
educational programs. The State Board of Education shall  | 
further incorporate appropriate monitoring procedures to  | 
verify implementation of these standards. The district shall  | 
indicate to the parent, the State Board of Education, and, if  | 
applicable, the Department's Office of Education and  | 
 | 
Transition Services the nature of the services the child will  | 
receive for the regular school term while awaiting placement  | 
in the appropriate special education class. At the child's  | 
initial IEP meeting and at each annual review meeting, the  | 
child's IEP team shall provide the child's parent or guardian  | 
and, if applicable, the Department's Office of Education and  | 
Transition Services with a written notification that informs  | 
the parent or guardian or the Department's Office of Education  | 
and Transition Services that the IEP team is required to  | 
consider whether the child requires assistive technology in  | 
order to receive free, appropriate public education. The  | 
notification must also include a toll-free telephone number  | 
and internet address for the State's assistive technology  | 
program.  | 
 If the child is deaf, hard of hearing, blind, or visually  | 
impaired or has an orthopedic impairment or physical  | 
disability and he or she might be eligible to receive services  | 
from the Illinois School for the Deaf, the Illinois School for  | 
the Visually Impaired, or the Illinois Center for  | 
Rehabilitation and Education-Roosevelt, the school district  | 
shall notify the parents, in writing, of the existence of  | 
these schools and the services they provide and shall make a  | 
reasonable effort to inform the parents of the existence of  | 
other, local schools that provide similar services and the  | 
services that these other schools provide. This notification  | 
shall include, without limitation, information on school  | 
 | 
services, school admissions criteria, and school contact  | 
information. | 
 In the development of the individualized education program  | 
for a student who has a disability on the autism spectrum  | 
(which includes autistic disorder, Asperger's disorder,  | 
pervasive developmental disorder not otherwise specified,  | 
childhood disintegrative disorder, and Rett Syndrome, as  | 
defined in the Diagnostic and Statistical Manual of Mental  | 
Disorders, fourth edition (DSM-IV, 2000)), the IEP team shall  | 
consider all of the following factors: | 
  (1) The verbal and nonverbal communication needs of  | 
 the child. | 
  (2) The need to develop social interaction skills and  | 
 proficiencies. | 
  (3) The needs resulting from the child's unusual  | 
 responses to sensory experiences. | 
  (4) The needs resulting from resistance to  | 
 environmental change or change in daily routines. | 
  (5) The needs resulting from engagement in repetitive  | 
 activities and stereotyped movements. | 
  (6) The need for any positive behavioral  | 
 interventions, strategies, and supports to address any  | 
 behavioral difficulties resulting from autism spectrum  | 
 disorder. | 
  (7) Other needs resulting from the child's disability  | 
 that impact progress in the general curriculum, including  | 
 | 
 social and emotional development. | 
Public Act 95-257 does not create any new entitlement to a  | 
service, program, or benefit, but must not affect any  | 
entitlement to a service, program, or benefit created by any  | 
other law.  | 
 If the student may be eligible to participate in the  | 
Home-Based Support Services Program for Adults with Mental  | 
Disabilities authorized under the Developmental Disability and  | 
Mental Disability Services Act upon becoming an adult, the  | 
student's individualized education program shall include plans  | 
for (i) determining the student's eligibility for those  | 
home-based services, (ii) enrolling the student in the program  | 
of home-based services, and (iii) developing a plan for the  | 
student's most effective use of the home-based services after  | 
the student becomes an adult and no longer receives special  | 
educational services under this Article. The plans developed  | 
under this paragraph shall include specific actions to be  | 
taken by specified individuals, agencies, or officials. | 
 (c) In the development of the individualized education  | 
program for a student who is functionally blind, it shall be  | 
presumed that proficiency in Braille reading and writing is  | 
essential for the student's satisfactory educational progress.  | 
For purposes of this subsection, the State Board of Education  | 
shall determine the criteria for a student to be classified as  | 
functionally blind. Students who are not currently identified  | 
as functionally blind who are also entitled to Braille  | 
 | 
instruction include: (i) those whose vision loss is so severe  | 
that they are unable to read and write at a level comparable to  | 
their peers solely through the use of vision, and (ii) those  | 
who show evidence of progressive vision loss that may result  | 
in functional blindness. Each student who is functionally  | 
blind shall be entitled to Braille reading and writing  | 
instruction that is sufficient to enable the student to  | 
communicate with the same level of proficiency as other  | 
students of comparable ability. Instruction should be provided  | 
to the extent that the student is physically and cognitively  | 
able to use Braille. Braille instruction may be used in  | 
combination with other special education services appropriate  | 
to the student's educational needs. The assessment of each  | 
student who is functionally blind for the purpose of  | 
developing the student's individualized education program  | 
shall include documentation of the student's strengths and  | 
weaknesses in Braille skills. Each person assisting in the  | 
development of the individualized education program for a  | 
student who is functionally blind shall receive information  | 
describing the benefits of Braille instruction. The  | 
individualized education program for each student who is  | 
functionally blind shall specify the appropriate learning  | 
medium or media based on the assessment report. | 
 (d) To the maximum extent appropriate, the placement shall  | 
provide the child with the opportunity to be educated with  | 
children who do not have a disability; provided that children  | 
 | 
with disabilities who are recommended to be placed into  | 
regular education classrooms are provided with supplementary  | 
services to assist the children with disabilities to benefit  | 
from the regular classroom instruction and are included on the  | 
teacher's regular education class register. Subject to the  | 
limitation of the preceding sentence, placement in special  | 
classes, separate schools or other removal of the child with a  | 
disability from the regular educational environment shall  | 
occur only when the nature of the severity of the disability is  | 
such that education in the regular classes with the use of  | 
supplementary aids and services cannot be achieved  | 
satisfactorily. The placement of English learners with  | 
disabilities shall be in non-restrictive environments which  | 
provide for integration with peers who do not have  | 
disabilities in bilingual classrooms. Annually, each January,  | 
school districts shall report data on students from  | 
non-English speaking backgrounds receiving special education  | 
and related services in public and private facilities as  | 
prescribed in Section 2-3.30. If there is a disagreement  | 
between parties involved regarding the special education  | 
placement of any child, either in-state or out-of-state, the  | 
placement is subject to impartial due process procedures  | 
described in Article 10 of the Rules and Regulations to Govern  | 
the Administration and Operation of Special Education. | 
 (e) No child who comes from a home in which a language  | 
other than English is the principal language used may be  | 
 | 
assigned to any class or program under this Article until he  | 
has been given, in the principal language used by the child and  | 
used in his home, tests reasonably related to his cultural  | 
environment. All testing and evaluation materials and  | 
procedures utilized for evaluation and placement shall not be  | 
linguistically, racially or culturally discriminatory. | 
 (f) Nothing in this Article shall be construed to require  | 
any child to undergo any physical examination or medical  | 
treatment whose parents object thereto on the grounds that  | 
such examination or treatment conflicts with his religious  | 
beliefs. | 
 (g) School boards or their designee shall provide to the  | 
parents of a child or, if applicable, the Department of  | 
Children and Family Services' Office of Education and  | 
Transition Services prior written notice of any decision (a)  | 
proposing to initiate or change, or (b) refusing to initiate  | 
or change, the identification, evaluation, or educational  | 
placement of the child or the provision of a free appropriate  | 
public education to their child, and the reasons therefor. For  | 
a parent, such written notification shall also inform the  | 
parent of the opportunity to present complaints with respect  | 
to any matter relating to the educational placement of the  | 
student, or the provision of a free appropriate public  | 
education and to have an impartial due process hearing on the  | 
complaint. The notice shall inform the parents in the parents'  | 
native language, unless it is clearly not feasible to do so, of  | 
 | 
their rights and all procedures available pursuant to this Act  | 
and the federal Individuals with Disabilities Education  | 
Improvement Act of 2004 (Public Law 108-446); it shall be the  | 
responsibility of the State Superintendent to develop uniform  | 
notices setting forth the procedures available under this Act  | 
and the federal Individuals with Disabilities Education  | 
Improvement Act of 2004 (Public Law 108-446) to be used by all  | 
school boards. The notice shall also inform the parents of the  | 
availability upon request of a list of free or low-cost legal  | 
and other relevant services available locally to assist  | 
parents in initiating an impartial due process hearing. The  | 
State Superintendent shall revise the uniform notices required  | 
by this subsection (g) to reflect current law and procedures  | 
at least once every 2 years. Any parent who is deaf or does not  | 
normally communicate using spoken English and who participates  | 
in a meeting with a representative of a local educational  | 
agency for the purposes of developing an individualized  | 
educational program or attends a multidisciplinary conference  | 
shall be entitled to the services of an interpreter. The State  | 
Board of Education must adopt rules to establish the criteria,  | 
standards, and competencies for a bilingual language  | 
interpreter who attends an individualized education program  | 
meeting under this subsection to assist a parent who has  | 
limited English proficiency.  | 
 (g-5) For purposes of this subsection (g-5), "qualified  | 
professional" means an individual who holds credentials to  | 
 | 
evaluate the child in the domain or domains for which an  | 
evaluation is sought or an intern working under the direct  | 
supervision of a qualified professional, including a master's  | 
or doctoral degree candidate. | 
 To ensure that a parent can participate fully and  | 
effectively with school personnel in the development of  | 
appropriate educational and related services for his or her  | 
child, the parent, an independent educational evaluator, or a  | 
qualified professional retained by or on behalf of a parent or  | 
child must be afforded reasonable access to educational  | 
facilities, personnel, classrooms, and buildings and to the  | 
child as provided in this subsection (g-5). The requirements  | 
of this subsection (g-5) apply to any public school facility,  | 
building, or program and to any facility, building, or program  | 
supported in whole or in part by public funds. Prior to  | 
visiting a school, school building, or school facility, the  | 
parent, independent educational evaluator, or qualified  | 
professional may be required by the school district to inform  | 
the building principal or supervisor in writing of the  | 
proposed visit, the purpose of the visit, and the approximate  | 
duration of the visit. The visitor and the school district  | 
shall arrange the visit or visits at times that are mutually  | 
agreeable. Visitors shall comply with school safety, security,  | 
and visitation policies at all times. School district  | 
visitation policies must not conflict with this subsection  | 
(g-5). Visitors shall be required to comply with the  | 
 | 
requirements of applicable privacy laws, including those laws  | 
protecting the confidentiality of education records such as  | 
the federal Family Educational Rights and Privacy Act and the  | 
Illinois School Student Records Act. The visitor shall not  | 
disrupt the educational process. | 
  (1) A parent must be afforded reasonable access of  | 
 sufficient duration and scope for the purpose of observing  | 
 his or her child in the child's current educational  | 
 placement, services, or program or for the purpose of  | 
 visiting an educational placement or program proposed for  | 
 the child. | 
  (2) An independent educational evaluator or a  | 
 qualified professional retained by or on behalf of a  | 
 parent or child must be afforded reasonable access of  | 
 sufficient duration and scope for the purpose of  | 
 conducting an evaluation of the child, the child's  | 
 performance, the child's current educational program,  | 
 placement, services, or environment, or any educational  | 
 program, placement, services, or environment proposed for  | 
 the child, including interviews of educational personnel,  | 
 child observations, assessments, tests or assessments of  | 
 the child's educational program, services, or placement or  | 
 of any proposed educational program, services, or  | 
 placement. If one or more interviews of school personnel  | 
 are part of the evaluation, the interviews must be  | 
 conducted at a mutually agreed-upon agreed upon time,  | 
 | 
 date, and place that do not interfere with the school  | 
 employee's school duties. The school district may limit  | 
 interviews to personnel having information relevant to the  | 
 child's current educational services, program, or  | 
 placement or to a proposed educational service, program,  | 
 or placement. | 
 (h) In the development of the individualized education  | 
program or federal Section 504 plan for a student, if the  | 
student needs extra accommodation during emergencies,  | 
including natural disasters or an active shooter situation,  | 
then that accommodation shall be taken into account when  | 
developing the student's individualized education program or  | 
federal Section 504 plan.  | 
(Source: P.A. 102-199, eff. 7-1-22; 102-264, eff. 8-6-21;  | 
102-558, eff. 8-20-21; 102-813, eff. 5-13-22; 102-1072, eff.  | 
6-10-22; 103-197, eff. 1-1-24; revised 1-30-24.)
 | 
 (105 ILCS 5/18-8.15) | 
 Sec. 18-8.15. Evidence-Based Funding for student success  | 
for the 2017-2018 and subsequent school years.  | 
 (a) General provisions.  | 
  (1) The purpose of this Section is to ensure that, by  | 
 June 30, 2027 and beyond, this State has a kindergarten  | 
 through grade 12 public education system with the capacity  | 
 to ensure the educational development of all persons to  | 
 the limits of their capacities in accordance with Section  | 
 | 
 1 of Article X of the Constitution of the State of  | 
 Illinois. To accomplish that objective, this Section  | 
 creates a method of funding public education that is  | 
 evidence-based; is sufficient to ensure every student  | 
 receives a meaningful opportunity to learn irrespective of  | 
 race, ethnicity, sexual orientation, gender, or  | 
 community-income level; and is sustainable and  | 
 predictable. When fully funded under this Section, every  | 
 school shall have the resources, based on what the  | 
 evidence indicates is needed, to:  | 
   (A) provide all students with a high quality  | 
 education that offers the academic, enrichment, social  | 
 and emotional support, technical, and career-focused  | 
 programs that will allow them to become competitive  | 
 workers, responsible parents, productive citizens of  | 
 this State, and active members of our national  | 
 democracy; | 
   (B) ensure all students receive the education they  | 
 need to graduate from high school with the skills  | 
 required to pursue post-secondary education and  | 
 training for a rewarding career; | 
   (C) reduce, with a goal of eliminating, the  | 
 achievement gap between at-risk and non-at-risk  | 
 students by raising the performance of at-risk  | 
 students and not by reducing standards; and | 
   (D) ensure this State satisfies its obligation to  | 
 | 
 assume the primary responsibility to fund public  | 
 education and simultaneously relieve the  | 
 disproportionate burden placed on local property taxes  | 
 to fund schools.  | 
  (2) The Evidence-Based Funding formula under this  | 
 Section shall be applied to all Organizational Units in  | 
 this State. The Evidence-Based Funding formula outlined in  | 
 this Act is based on the formula outlined in Senate Bill 1  | 
 of the 100th General Assembly, as passed by both  | 
 legislative chambers. As further defined and described in  | 
 this Section, there are 4 major components of the  | 
 Evidence-Based Funding model:  | 
   (A) First, the model calculates a unique Adequacy  | 
 Target for each Organizational Unit in this State that  | 
 considers the costs to implement research-based  | 
 activities, the unit's student demographics, and  | 
 regional wage differences. | 
   (B) Second, the model calculates each  | 
 Organizational Unit's Local Capacity, or the amount  | 
 each Organizational Unit is assumed to contribute  | 
 toward its Adequacy Target from local resources. | 
   (C) Third, the model calculates how much funding  | 
 the State currently contributes to the Organizational  | 
 Unit and adds that to the unit's Local Capacity to  | 
 determine the unit's overall current adequacy of  | 
 funding. | 
 | 
   (D) Finally, the model's distribution method  | 
 allocates new State funding to those Organizational  | 
 Units that are least well-funded, considering both  | 
 Local Capacity and State funding, in relation to their  | 
 Adequacy Target.  | 
  (3) An Organizational Unit receiving any funding under  | 
 this Section may apply those funds to any fund so received  | 
 for which that Organizational Unit is authorized to make  | 
 expenditures by law. | 
  (4) As used in this Section, the following terms shall  | 
 have the meanings ascribed in this paragraph (4):  | 
  "Adequacy Target" is defined in paragraph (1) of  | 
 subsection (b) of this Section. | 
  "Adjusted EAV" is defined in paragraph (4) of  | 
 subsection (d) of this Section.  | 
  "Adjusted Local Capacity Target" is defined in  | 
 paragraph (3) of subsection (c) of this Section. | 
  "Adjusted Operating Tax Rate" means a tax rate for all  | 
 Organizational Units, for which the State Superintendent  | 
 shall calculate and subtract for the Operating Tax Rate a  | 
 transportation rate based on total expenses for  | 
 transportation services under this Code, as reported on  | 
 the most recent Annual Financial Report in Pupil  | 
 Transportation Services, function 2550 in both the  | 
 Education and Transportation funds and functions 4110 and  | 
 4120 in the Transportation fund, less any corresponding  | 
 | 
 fiscal year State of Illinois scheduled payments excluding  | 
 net adjustments for prior years for regular, vocational,  | 
 or special education transportation reimbursement pursuant  | 
 to Section 29-5 or subsection (b) of Section 14-13.01 of  | 
 this Code divided by the Adjusted EAV. If an  | 
 Organizational Unit's corresponding fiscal year State of  | 
 Illinois scheduled payments excluding net adjustments for  | 
 prior years for regular, vocational, or special education  | 
 transportation reimbursement pursuant to Section 29-5 or  | 
 subsection (b) of Section 14-13.01 of this Code exceed the  | 
 total transportation expenses, as defined in this  | 
 paragraph, no transportation rate shall be subtracted from  | 
 the Operating Tax Rate.  | 
  "Allocation Rate" is defined in paragraph (3) of  | 
 subsection (g) of this Section. | 
  "Alternative School" means a public school that is  | 
 created and operated by a regional superintendent of  | 
 schools and approved by the State Board. | 
  "Applicable Tax Rate" is defined in paragraph (1) of  | 
 subsection (d) of this Section. | 
  "Assessment" means any of those benchmark, progress  | 
 monitoring, formative, diagnostic, and other assessments,  | 
 in addition to the State accountability assessment, that  | 
 assist teachers' needs in understanding the skills and  | 
 meeting the needs of the students they serve. | 
  "Assistant principal" means a school administrator  | 
 | 
 duly endorsed to be employed as an assistant principal in  | 
 this State. | 
  "At-risk student" means a student who is at risk of  | 
 not meeting the Illinois Learning Standards or not  | 
 graduating from elementary or high school and who  | 
 demonstrates a need for vocational support or social  | 
 services beyond that provided by the regular school  | 
 program. All students included in an Organizational Unit's  | 
 Low-Income Count, as well as all English learner and  | 
 disabled students attending the Organizational Unit, shall  | 
 be considered at-risk students under this Section. | 
  "Average Student Enrollment" or "ASE" for fiscal year  | 
 2018 means, for an Organizational Unit, the greater of the  | 
 average number of students (grades K through 12) reported  | 
 to the State Board as enrolled in the Organizational Unit  | 
 on October 1 in the immediately preceding school year,  | 
 plus the pre-kindergarten students who receive special  | 
 education services of 2 or more hours a day as reported to  | 
 the State Board on December 1 in the immediately preceding  | 
 school year, or the average number of students (grades K  | 
 through 12) reported to the State Board as enrolled in the  | 
 Organizational Unit on October 1, plus the  | 
 pre-kindergarten students who receive special education  | 
 services of 2 or more hours a day as reported to the State  | 
 Board on December 1, for each of the immediately preceding  | 
 3 school years. For fiscal year 2019 and each subsequent  | 
 | 
 fiscal year, "Average Student Enrollment" or "ASE" means,  | 
 for an Organizational Unit, the greater of the average  | 
 number of students (grades K through 12) reported to the  | 
 State Board as enrolled in the Organizational Unit on  | 
 October 1 and March 1 in the immediately preceding school  | 
 year, plus the pre-kindergarten students who receive  | 
 special education services as reported to the State Board  | 
 on October 1 and March 1 in the immediately preceding  | 
 school year, or the average number of students (grades K  | 
 through 12) reported to the State Board as enrolled in the  | 
 Organizational Unit on October 1 and March 1, plus the  | 
 pre-kindergarten students who receive special education  | 
 services as reported to the State Board on October 1 and  | 
 March 1, for each of the immediately preceding 3 school  | 
 years. For the purposes of this definition, "enrolled in  | 
 the Organizational Unit" means the number of students  | 
 reported to the State Board who are enrolled in schools  | 
 within the Organizational Unit that the student attends or  | 
 would attend if not placed or transferred to another  | 
 school or program to receive needed services. For the  | 
 purposes of calculating "ASE", all students, grades K  | 
 through 12, excluding those attending kindergarten for a  | 
 half day and students attending an alternative education  | 
 program operated by a regional office of education or  | 
 intermediate service center, shall be counted as 1.0. All  | 
 students attending kindergarten for a half day shall be  | 
 | 
 counted as 0.5, unless in 2017 by June 15 or by March 1 in  | 
 subsequent years, the school district reports to the State  | 
 Board of Education the intent to implement full-day  | 
 kindergarten district-wide for all students, then all  | 
 students attending kindergarten shall be counted as 1.0.  | 
 Special education pre-kindergarten students shall be  | 
 counted as 0.5 each. If the State Board does not collect or  | 
 has not collected both an October 1 and March 1 enrollment  | 
 count by grade or a December 1 collection of special  | 
 education pre-kindergarten students as of August 31, 2017  | 
 (the effective date of Public Act 100-465), it shall  | 
 establish such collection for all future years. For any  | 
 year in which a count by grade level was collected only  | 
 once, that count shall be used as the single count  | 
 available for computing a 3-year average ASE. Funding for  | 
 programs operated by a regional office of education or an  | 
 intermediate service center must be calculated using the  | 
 Evidence-Based Funding formula under this Section for the  | 
 2019-2020 school year and each subsequent school year  | 
 until separate adequacy formulas are developed and adopted  | 
 for each type of program. ASE for a program operated by a  | 
 regional office of education or an intermediate service  | 
 center must be determined by the March 1 enrollment for  | 
 the program. For the 2019-2020 school year, the ASE used  | 
 in the calculation must be the first-year ASE and, in that  | 
 year only, the assignment of students served by a regional  | 
 | 
 office of education or intermediate service center shall  | 
 not result in a reduction of the March enrollment for any  | 
 school district. For the 2020-2021 school year, the ASE  | 
 must be the greater of the current-year ASE or the 2-year  | 
 average ASE. Beginning with the 2021-2022 school year, the  | 
 ASE must be the greater of the current-year ASE or the  | 
 3-year average ASE. School districts shall submit the data  | 
 for the ASE calculation to the State Board within 45 days  | 
 of the dates required in this Section for submission of  | 
 enrollment data in order for it to be included in the ASE  | 
 calculation. For fiscal year 2018 only, the ASE  | 
 calculation shall include only enrollment taken on October  | 
 1. In recognition of the impact of COVID-19, the  | 
 definition of "Average Student Enrollment" or "ASE" shall  | 
 be adjusted for calculations under this Section for fiscal  | 
 years 2022 through 2024. For fiscal years 2022 through  | 
 2024, the enrollment used in the calculation of ASE  | 
 representing the 2020-2021 school year shall be the  | 
 greater of the enrollment for the 2020-2021 school year or  | 
 the 2019-2020 school year. | 
  "Base Funding Guarantee" is defined in paragraph (10)  | 
 of subsection (g) of this Section.  | 
  "Base Funding Minimum" is defined in subsection (e) of  | 
 this Section. | 
  "Base Tax Year" means the property tax levy year used  | 
 to calculate the Budget Year allocation of primary State  | 
 | 
 aid. | 
  "Base Tax Year's Extension" means the product of the  | 
 equalized assessed valuation utilized by the county clerk  | 
 in the Base Tax Year multiplied by the limiting rate as  | 
 calculated by the county clerk and defined in PTELL. | 
  "Bilingual Education Allocation" means the amount of  | 
 an Organizational Unit's final Adequacy Target  | 
 attributable to bilingual education divided by the  | 
 Organizational Unit's final Adequacy Target, the product  | 
 of which shall be multiplied by the amount of new funding  | 
 received pursuant to this Section. An Organizational  | 
 Unit's final Adequacy Target attributable to bilingual  | 
 education shall include all additional investments in  | 
 English learner students' adequacy elements. | 
  "Budget Year" means the school year for which primary  | 
 State aid is calculated and awarded under this Section.  | 
  "Central office" means individual administrators and  | 
 support service personnel charged with managing the  | 
 instructional programs, business and operations, and  | 
 security of the Organizational Unit. | 
  "Comparable Wage Index" or "CWI" means a regional cost  | 
 differentiation metric that measures systemic, regional  | 
 variations in the salaries of college graduates who are  | 
 not educators. The CWI utilized for this Section shall,  | 
 for the first 3 years of Evidence-Based Funding  | 
 implementation, be the CWI initially developed by the  | 
 | 
 National Center for Education Statistics, as most recently  | 
 updated by Texas A & M University. In the fourth and  | 
 subsequent years of Evidence-Based Funding implementation,  | 
 the State Superintendent shall re-determine the CWI using  | 
 a similar methodology to that identified in the Texas A & M  | 
 University study, with adjustments made no less frequently  | 
 than once every 5 years. | 
  "Computer technology and equipment" means computers  | 
 servers, notebooks, network equipment, copiers, printers,  | 
 instructional software, security software, curriculum  | 
 management courseware, and other similar materials and  | 
 equipment.  | 
  "Computer technology and equipment investment  | 
 allocation" means the final Adequacy Target amount of an  | 
 Organizational Unit assigned to Tier 1 or Tier 2 in the  | 
 prior school year attributable to the additional $285.50  | 
 per student computer technology and equipment investment  | 
 grant divided by the Organizational Unit's final Adequacy  | 
 Target, the result of which shall be multiplied by the  | 
 amount of new funding received pursuant to this Section.  | 
 An Organizational Unit assigned to a Tier 1 or Tier 2 final  | 
 Adequacy Target attributable to the received computer  | 
 technology and equipment investment grant shall include  | 
 all additional investments in computer technology and  | 
 equipment adequacy elements.  | 
  "Core subject" means mathematics; science; reading,  | 
 | 
 English, writing, and language arts; history and social  | 
 studies; world languages; and subjects taught as Advanced  | 
 Placement in high schools. | 
  "Core teacher" means a regular classroom teacher in  | 
 elementary schools and teachers of a core subject in  | 
 middle and high schools. | 
  "Core Intervention teacher (tutor)" means a licensed  | 
 teacher providing one-on-one or small group tutoring to  | 
 students struggling to meet proficiency in core subjects. | 
  "CPPRT" means corporate personal property replacement  | 
 tax funds paid to an Organizational Unit during the  | 
 calendar year one year before the calendar year in which a  | 
 school year begins, pursuant to "An Act in relation to the  | 
 abolition of ad valorem personal property tax and the  | 
 replacement of revenues lost thereby, and amending and  | 
 repealing certain Acts and parts of Acts in connection  | 
 therewith", certified August 14, 1979, as amended (Public  | 
 Act 81-1st S.S.-1). | 
  "EAV" means equalized assessed valuation as defined in  | 
 paragraph (2) of subsection (d) of this Section and  | 
 calculated in accordance with paragraph (3) of subsection  | 
 (d) of this Section. | 
  "ECI" means the Bureau of Labor Statistics' national  | 
 employment cost index for civilian workers in educational  | 
 services in elementary and secondary schools on a  | 
 cumulative basis for the 12-month calendar year preceding  | 
 | 
 the fiscal year of the Evidence-Based Funding calculation. | 
  "EIS Data" means the employment information system  | 
 data maintained by the State Board on educators within  | 
 Organizational Units. | 
  "Employee benefits" means health, dental, and vision  | 
 insurance offered to employees of an Organizational Unit,  | 
 the costs associated with the statutorily required payment  | 
 of the normal cost of the Organizational Unit's teacher  | 
 pensions, Social Security employer contributions, and  | 
 Illinois Municipal Retirement Fund employer contributions. | 
  "English learner" or "EL" means a child included in  | 
 the definition of "English learners" under Section 14C-2  | 
 of this Code participating in a program of transitional  | 
 bilingual education or a transitional program of  | 
 instruction meeting the requirements and program  | 
 application procedures of Article 14C of this Code. For  | 
 the purposes of collecting the number of EL students  | 
 enrolled, the same collection and calculation methodology  | 
 as defined above for "ASE" shall apply to English  | 
 learners, with the exception that EL student enrollment  | 
 shall include students in grades pre-kindergarten through  | 
 12. | 
  "Essential Elements" means those elements, resources,  | 
 and educational programs that have been identified through  | 
 academic research as necessary to improve student success,  | 
 improve academic performance, close achievement gaps, and  | 
 | 
 provide for other per student costs related to the  | 
 delivery and leadership of the Organizational Unit, as  | 
 well as the maintenance and operations of the unit, and  | 
 which are specified in paragraph (2) of subsection (b) of  | 
 this Section. | 
  "Evidence-Based Funding" means State funding provided  | 
 to an Organizational Unit pursuant to this Section. | 
  "Extended day" means academic and enrichment programs  | 
 provided to students outside the regular school day before  | 
 and after school or during non-instructional times during  | 
 the school day. | 
  "Extension Limitation Ratio" means a numerical ratio  | 
 in which the numerator is the Base Tax Year's Extension  | 
 and the denominator is the Preceding Tax Year's Extension. | 
  "Final Percent of Adequacy" is defined in paragraph  | 
 (4) of subsection (f) of this Section. | 
  "Final Resources" is defined in paragraph (3) of  | 
 subsection (f) of this Section. | 
  "Full-time equivalent" or "FTE" means the full-time  | 
 equivalency compensation for staffing the relevant  | 
 position at an Organizational Unit. | 
  "Funding Gap" is defined in paragraph (1) of  | 
 subsection (g). | 
  "Hybrid District" means a partial elementary unit  | 
 district created pursuant to Article 11E of this Code. | 
  "Instructional assistant" means a core or special  | 
 | 
 education, non-licensed employee who assists a teacher in  | 
 the classroom and provides academic support to students.  | 
  "Instructional facilitator" means a qualified teacher  | 
 or licensed teacher leader who facilitates and coaches  | 
 continuous improvement in classroom instruction; provides  | 
 instructional support to teachers in the elements of  | 
 research-based instruction or demonstrates the alignment  | 
 of instruction with curriculum standards and assessment  | 
 tools; develops or coordinates instructional programs or  | 
 strategies; develops and implements training; chooses  | 
 standards-based instructional materials; provides  | 
 teachers with an understanding of current research; serves  | 
 as a mentor, site coach, curriculum specialist, or lead  | 
 teacher; or otherwise works with fellow teachers, in  | 
 collaboration, to use data to improve instructional  | 
 practice or develop model lessons. | 
  "Instructional materials" means relevant  | 
 instructional materials for student instruction,  | 
 including, but not limited to, textbooks, consumable  | 
 workbooks, laboratory equipment, library books, and other  | 
 similar materials. | 
  "Laboratory School" means a public school that is  | 
 created and operated by a public university and approved  | 
 by the State Board. | 
  "Librarian" means a teacher with an endorsement as a  | 
 library information specialist or another individual whose  | 
 | 
 primary responsibility is overseeing library resources  | 
 within an Organizational Unit. | 
  "Limiting rate for Hybrid Districts" means the  | 
 combined elementary school and high school limiting rates.  | 
  "Local Capacity" is defined in paragraph (1) of  | 
 subsection (c) of this Section. | 
  "Local Capacity Percentage" is defined in subparagraph  | 
 (A) of paragraph (2) of subsection (c) of this Section. | 
  "Local Capacity Ratio" is defined in subparagraph (B)  | 
 of paragraph (2) of subsection (c) of this Section. | 
  "Local Capacity Target" is defined in paragraph (2) of  | 
 subsection (c) of this Section. | 
  "Low-Income Count" means, for an Organizational Unit  | 
 in a fiscal year, the higher of the average number of  | 
 students for the prior school year or the immediately  | 
 preceding 3 school years who, as of July 1 of the  | 
 immediately preceding fiscal year (as determined by the  | 
 Department of Human Services), are eligible for at least  | 
 one of the following low-income programs: Medicaid, the  | 
 Children's Health Insurance Program, Temporary Assistance  | 
 for Needy Families (TANF), or the Supplemental Nutrition  | 
 Assistance Program, excluding pupils who are eligible for  | 
 services provided by the Department of Children and Family  | 
 Services. Until such time that grade level low-income  | 
 populations become available, grade level low-income  | 
 populations shall be determined by applying the low-income  | 
 | 
 percentage to total student enrollments by grade level.  | 
 The low-income percentage is determined by dividing the  | 
 Low-Income Count by the Average Student Enrollment. The  | 
 low-income percentage for programs operated by a regional  | 
 office of education or an intermediate service center must  | 
 be set to the weighted average of the low-income  | 
 percentages of all of the school districts in the service  | 
 region. The weighted low-income percentage is the result  | 
 of multiplying the low-income percentage of each school  | 
 district served by the regional office of education or  | 
 intermediate service center by each school district's  | 
 Average Student Enrollment, summarizing those products and  | 
 dividing the total by the total Average Student Enrollment  | 
 for the service region. | 
  "Maintenance and operations" means custodial services,  | 
 facility and ground maintenance, facility operations,  | 
 facility security, routine facility repairs, and other  | 
 similar services and functions. | 
  "Minimum Funding Level" is defined in paragraph (9) of  | 
 subsection (g) of this Section. | 
  "New Property Tax Relief Pool Funds" means, for any  | 
 given fiscal year, all State funds appropriated under  | 
 Section 2-3.170 of this Code.  | 
  "New State Funds" means, for a given school year, all  | 
 State funds appropriated for Evidence-Based Funding in  | 
 excess of the amount needed to fund the Base Funding  | 
 | 
 Minimum for all Organizational Units in that school year. | 
  "Nurse" means an individual licensed as a certified  | 
 school nurse, in accordance with the rules established for  | 
 nursing services by the State Board, who is an employee of  | 
 and is available to provide health care-related services  | 
 for students of an Organizational Unit. | 
  "Operating Tax Rate" means the rate utilized in the  | 
 previous year to extend property taxes for all purposes,  | 
 except Bond and Interest, Summer School, Rent, Capital  | 
 Improvement, and Vocational Education Building purposes.  | 
 For Hybrid Districts, the Operating Tax Rate shall be the  | 
 combined elementary and high school rates utilized in the  | 
 previous year to extend property taxes for all purposes,  | 
 except Bond and Interest, Summer School, Rent, Capital  | 
 Improvement, and Vocational Education Building purposes.  | 
  "Organizational Unit" means a Laboratory School or any  | 
 public school district that is recognized as such by the  | 
 State Board and that contains elementary schools typically  | 
 serving kindergarten through 5th grades, middle schools  | 
 typically serving 6th through 8th grades, high schools  | 
 typically serving 9th through 12th grades, a program  | 
 established under Section 2-3.66 or 2-3.41, or a program  | 
 operated by a regional office of education or an  | 
 intermediate service center under Article 13A or 13B. The  | 
 General Assembly acknowledges that the actual grade levels  | 
 served by a particular Organizational Unit may vary  | 
 | 
 slightly from what is typical. | 
  "Organizational Unit CWI" is determined by calculating  | 
 the CWI in the region and original county in which an  | 
 Organizational Unit's primary administrative office is  | 
 located as set forth in this paragraph, provided that if  | 
 the Organizational Unit CWI as calculated in accordance  | 
 with this paragraph is less than 0.9, the Organizational  | 
 Unit CWI shall be increased to 0.9. Each county's current  | 
 CWI value shall be adjusted based on the CWI value of that  | 
 county's neighboring Illinois counties, to create a  | 
 "weighted adjusted index value". This shall be calculated  | 
 by summing the CWI values of all of a county's adjacent  | 
 Illinois counties and dividing by the number of adjacent  | 
 Illinois counties, then taking the weighted value of the  | 
 original county's CWI value and the adjacent Illinois  | 
 county average. To calculate this weighted value, if the  | 
 number of adjacent Illinois counties is greater than 2,  | 
 the original county's CWI value will be weighted at 0.25  | 
 and the adjacent Illinois county average will be weighted  | 
 at 0.75. If the number of adjacent Illinois counties is 2,  | 
 the original county's CWI value will be weighted at 0.33  | 
 and the adjacent Illinois county average will be weighted  | 
 at 0.66. The greater of the county's current CWI value and  | 
 its weighted adjusted index value shall be used as the  | 
 Organizational Unit CWI. | 
  "Preceding Tax Year" means the property tax levy year  | 
 | 
 immediately preceding the Base Tax Year. | 
  "Preceding Tax Year's Extension" means the product of  | 
 the equalized assessed valuation utilized by the county  | 
 clerk in the Preceding Tax Year multiplied by the  | 
 Operating Tax Rate.  | 
  "Preliminary Percent of Adequacy" is defined in  | 
 paragraph (2) of subsection (f) of this Section. | 
  "Preliminary Resources" is defined in paragraph (2) of  | 
 subsection (f) of this Section. | 
  "Principal" means a school administrator duly endorsed  | 
 to be employed as a principal in this State. | 
  "Professional development" means training programs for  | 
 licensed staff in schools, including, but not limited to,  | 
 programs that assist in implementing new curriculum  | 
 programs, provide data focused or academic assessment data  | 
 training to help staff identify a student's weaknesses and  | 
 strengths, target interventions, improve instruction,  | 
 encompass instructional strategies for English learner,  | 
 gifted, or at-risk students, address inclusivity, cultural  | 
 sensitivity, or implicit bias, or otherwise provide  | 
 professional support for licensed staff. | 
  "Prototypical" means 450 special education  | 
 pre-kindergarten and kindergarten through grade 5 students  | 
 for an elementary school, 450 grade 6 through 8 students  | 
 for a middle school, and 600 grade 9 through 12 students  | 
 for a high school. | 
 | 
  "PTELL" means the Property Tax Extension Limitation  | 
 Law. | 
  "PTELL EAV" is defined in paragraph (4) of subsection  | 
 (d) of this Section. | 
  "Pupil support staff" means a nurse, psychologist,  | 
 social worker, family liaison personnel, or other staff  | 
 member who provides support to at-risk or struggling  | 
 students. | 
  "Real Receipts" is defined in paragraph (1) of  | 
 subsection (d) of this Section. | 
  "Regionalization Factor" means, for a particular  | 
 Organizational Unit, the figure derived by dividing the  | 
 Organizational Unit CWI by the Statewide Weighted CWI. | 
  "School counselor" means a licensed school counselor  | 
 who provides guidance and counseling support for students  | 
 within an Organizational Unit. | 
  "School site staff" means the primary school secretary  | 
 and any additional clerical personnel assigned to a  | 
 school. | 
  "Special education" means special educational  | 
 facilities and services, as defined in Section 14-1.08 of  | 
 this Code. | 
  "Special Education Allocation" means the amount of an  | 
 Organizational Unit's final Adequacy Target attributable  | 
 to special education divided by the Organizational Unit's  | 
 final Adequacy Target, the product of which shall be  | 
 | 
 multiplied by the amount of new funding received pursuant  | 
 to this Section. An Organizational Unit's final Adequacy  | 
 Target attributable to special education shall include all  | 
 special education investment adequacy elements.  | 
  "Specialist teacher" means a teacher who provides  | 
 instruction in subject areas not included in core  | 
 subjects, including, but not limited to, art, music,  | 
 physical education, health, driver education,  | 
 career-technical education, and such other subject areas  | 
 as may be mandated by State law or provided by an  | 
 Organizational Unit. | 
  "Specially Funded Unit" means an Alternative School,  | 
 safe school, Department of Juvenile Justice school,  | 
 special education cooperative or entity recognized by the  | 
 State Board as a special education cooperative,  | 
 State-approved charter school, or alternative learning  | 
 opportunities program that received direct funding from  | 
 the State Board during the 2016-2017 school year through  | 
 any of the funding sources included within the calculation  | 
 of the Base Funding Minimum or Glenwood Academy. | 
  "Supplemental Grant Funding" means supplemental  | 
 general State aid funding received by an Organizational  | 
 Unit during the 2016-2017 school year pursuant to  | 
 subsection (H) of Section 18-8.05 of this Code (now  | 
 repealed).  | 
  "State Adequacy Level" is the sum of the Adequacy  | 
 | 
 Targets of all Organizational Units. | 
  "State Board" means the State Board of Education. | 
  "State Superintendent" means the State Superintendent  | 
 of Education. | 
  "Statewide Weighted CWI" means a figure determined by  | 
 multiplying each Organizational Unit CWI times the ASE for  | 
 that Organizational Unit creating a weighted value,  | 
 summing all Organizational Units' weighted values, and  | 
 dividing by the total ASE of all Organizational Units,  | 
 thereby creating an average weighted index. | 
  "Student activities" means non-credit producing  | 
 after-school programs, including, but not limited to,  | 
 clubs, bands, sports, and other activities authorized by  | 
 the school board of the Organizational Unit. | 
  "Substitute teacher" means an individual teacher or  | 
 teaching assistant who is employed by an Organizational  | 
 Unit and is temporarily serving the Organizational Unit on  | 
 a per diem or per period-assignment basis to replace  | 
 another staff member. | 
  "Summer school" means academic and enrichment programs  | 
 provided to students during the summer months outside of  | 
 the regular school year. | 
  "Supervisory aide" means a non-licensed staff member  | 
 who helps in supervising students of an Organizational  | 
 Unit, but does so outside of the classroom, in situations  | 
 such as, but not limited to, monitoring hallways and  | 
 | 
 playgrounds, supervising lunchrooms, or supervising  | 
 students when being transported in buses serving the  | 
 Organizational Unit. | 
  "Target Ratio" is defined in paragraph (4) of  | 
 subsection (g). | 
  "Tier 1", "Tier 2", "Tier 3", and "Tier 4" are defined  | 
 in paragraph (3) of subsection (g). | 
  "Tier 1 Aggregate Funding", "Tier 2 Aggregate  | 
 Funding", "Tier 3 Aggregate Funding", and "Tier 4  | 
 Aggregate Funding" are defined in paragraph (1) of  | 
 subsection (g).  | 
 (b) Adequacy Target calculation.  | 
  (1) Each Organizational Unit's Adequacy Target is the  | 
 sum of the Organizational Unit's cost of providing  | 
 Essential Elements, as calculated in accordance with this  | 
 subsection (b), with the salary amounts in the Essential  | 
 Elements multiplied by a Regionalization Factor calculated  | 
 pursuant to paragraph (3) of this subsection (b). | 
  (2) The Essential Elements are attributable on a pro  | 
 rata basis related to defined subgroups of the ASE of each  | 
 Organizational Unit as specified in this paragraph (2),  | 
 with investments and FTE positions pro rata funded based  | 
 on ASE counts in excess of or less than the thresholds set  | 
 forth in this paragraph (2). The method for calculating  | 
 attributable pro rata costs and the defined subgroups  | 
 thereto are as follows:  | 
 | 
   (A) Core class size investments. Each  | 
 Organizational Unit shall receive the funding required  | 
 to support that number of FTE core teacher positions  | 
 as is needed to keep the respective class sizes of the  | 
 Organizational Unit to the following maximum numbers: | 
    (i) For grades kindergarten through 3, the  | 
 Organizational Unit shall receive funding required  | 
 to support one FTE core teacher position for every  | 
 15 Low-Income Count students in those grades and  | 
 one FTE core teacher position for every 20  | 
 non-Low-Income Count students in those grades. | 
    (ii) For grades 4 through 12, the  | 
 Organizational Unit shall receive funding required  | 
 to support one FTE core teacher position for every  | 
 20 Low-Income Count students in those grades and  | 
 one FTE core teacher position for every 25  | 
 non-Low-Income Count students in those grades. | 
   The number of non-Low-Income Count students in a  | 
 grade shall be determined by subtracting the  | 
 Low-Income students in that grade from the ASE of the  | 
 Organizational Unit for that grade. | 
   (B) Specialist teacher investments. Each  | 
 Organizational Unit shall receive the funding needed  | 
 to cover that number of FTE specialist teacher  | 
 positions that correspond to the following  | 
 percentages:  | 
 | 
    (i) if the Organizational Unit operates an  | 
 elementary or middle school, then 20.00% of the  | 
 number of the Organizational Unit's core teachers,  | 
 as determined under subparagraph (A) of this  | 
 paragraph (2); and | 
    (ii) if such Organizational Unit operates a  | 
 high school, then 33.33% of the number of the  | 
 Organizational Unit's core teachers.  | 
   (C) Instructional facilitator investments. Each  | 
 Organizational Unit shall receive the funding needed  | 
 to cover one FTE instructional facilitator position  | 
 for every 200 combined ASE of pre-kindergarten  | 
 children with disabilities and all kindergarten  | 
 through grade 12 students of the Organizational Unit. | 
   (D) Core intervention teacher (tutor) investments.  | 
 Each Organizational Unit shall receive the funding  | 
 needed to cover one FTE teacher position for each  | 
 prototypical elementary, middle, and high school. | 
   (E) Substitute teacher investments. Each  | 
 Organizational Unit shall receive the funding needed  | 
 to cover substitute teacher costs that is equal to  | 
 5.70% of the minimum pupil attendance days required  | 
 under Section 10-19 of this Code for all full-time  | 
 equivalent core, specialist, and intervention  | 
 teachers, school nurses, special education teachers  | 
 and instructional assistants, instructional  | 
 | 
 facilitators, and summer school and extended day  | 
 teacher positions, as determined under this paragraph  | 
 (2), at a salary rate of 33.33% of the average salary  | 
 for grade K through 12 teachers and 33.33% of the  | 
 average salary of each instructional assistant  | 
 position. | 
   (F) Core school counselor investments. Each  | 
 Organizational Unit shall receive the funding needed  | 
 to cover one FTE school counselor for each 450  | 
 combined ASE of pre-kindergarten children with  | 
 disabilities and all kindergarten through grade 5  | 
 students, plus one FTE school counselor for each 250  | 
 grades 6 through 8 ASE middle school students, plus  | 
 one FTE school counselor for each 250 grades 9 through  | 
 12 ASE high school students. | 
   (G) Nurse investments. Each Organizational Unit  | 
 shall receive the funding needed to cover one FTE  | 
 nurse for each 750 combined ASE of pre-kindergarten  | 
 children with disabilities and all kindergarten  | 
 through grade 12 students across all grade levels it  | 
 serves. | 
   (H) Supervisory aide investments. Each  | 
 Organizational Unit shall receive the funding needed  | 
 to cover one FTE for each 225 combined ASE of  | 
 pre-kindergarten children with disabilities and all  | 
 kindergarten through grade 5 students, plus one FTE  | 
 | 
 for each 225 ASE middle school students, plus one FTE  | 
 for each 200 ASE high school students. | 
   (I) Librarian investments. Each Organizational  | 
 Unit shall receive the funding needed to cover one FTE  | 
 librarian for each prototypical elementary school,  | 
 middle school, and high school and one FTE aide or  | 
 media technician for every 300 combined ASE of  | 
 pre-kindergarten children with disabilities and all  | 
 kindergarten through grade 12 students. | 
   (J) Principal investments. Each Organizational  | 
 Unit shall receive the funding needed to cover one FTE  | 
 principal position for each prototypical elementary  | 
 school, plus one FTE principal position for each  | 
 prototypical middle school, plus one FTE principal  | 
 position for each prototypical high school. | 
   (K) Assistant principal investments. Each  | 
 Organizational Unit shall receive the funding needed  | 
 to cover one FTE assistant principal position for each  | 
 prototypical elementary school, plus one FTE assistant  | 
 principal position for each prototypical middle  | 
 school, plus one FTE assistant principal position for  | 
 each prototypical high school. | 
   (L) School site staff investments. Each  | 
 Organizational Unit shall receive the funding needed  | 
 for one FTE position for each 225 ASE of  | 
 pre-kindergarten children with disabilities and all  | 
 | 
 kindergarten through grade 5 students, plus one FTE  | 
 position for each 225 ASE middle school students, plus  | 
 one FTE position for each 200 ASE high school  | 
 students. | 
   (M) Gifted investments. Each Organizational Unit  | 
 shall receive $40 per kindergarten through grade 12  | 
 ASE. | 
   (N) Professional development investments. Each  | 
 Organizational Unit shall receive $125 per student of  | 
 the combined ASE of pre-kindergarten children with  | 
 disabilities and all kindergarten through grade 12  | 
 students for trainers and other professional  | 
 development-related expenses for supplies and  | 
 materials. | 
   (O) Instructional material investments. Each  | 
 Organizational Unit shall receive $190 per student of  | 
 the combined ASE of pre-kindergarten children with  | 
 disabilities and all kindergarten through grade 12  | 
 students to cover instructional material costs. | 
   (P) Assessment investments. Each Organizational  | 
 Unit shall receive $25 per student of the combined ASE  | 
 of pre-kindergarten children with disabilities and all  | 
 kindergarten through grade 12 students to cover  | 
 assessment costs. | 
   (Q) Computer technology and equipment investments.  | 
 Each Organizational Unit shall receive $285.50 per  | 
 | 
 student of the combined ASE of pre-kindergarten  | 
 children with disabilities and all kindergarten  | 
 through grade 12 students to cover computer technology  | 
 and equipment costs. For the 2018-2019 school year and  | 
 subsequent school years, Organizational Units assigned  | 
 to Tier 1 and Tier 2 in the prior school year shall  | 
 receive an additional $285.50 per student of the  | 
 combined ASE of pre-kindergarten children with  | 
 disabilities and all kindergarten through grade 12  | 
 students to cover computer technology and equipment  | 
 costs in the Organizational Unit's Adequacy Target.  | 
 The State Board may establish additional requirements  | 
 for Organizational Unit expenditures of funds received  | 
 pursuant to this subparagraph (Q), including a  | 
 requirement that funds received pursuant to this  | 
 subparagraph (Q) may be used only for serving the  | 
 technology needs of the district. It is the intent of  | 
 Public Act 100-465 that all Tier 1 and Tier 2 districts  | 
 receive the addition to their Adequacy Target in the  | 
 following year, subject to compliance with the  | 
 requirements of the State Board. | 
   (R) Student activities investments. Each  | 
 Organizational Unit shall receive the following  | 
 funding amounts to cover student activities: $100 per  | 
 kindergarten through grade 5 ASE student in elementary  | 
 school, plus $200 per ASE student in middle school,  | 
 | 
 plus $675 per ASE student in high school. | 
   (S) Maintenance and operations investments. Each  | 
 Organizational Unit shall receive $1,038 per student  | 
 of the combined ASE of pre-kindergarten children with  | 
 disabilities and all kindergarten through grade 12  | 
 students for day-to-day maintenance and operations  | 
 expenditures, including salary, supplies, and  | 
 materials, as well as purchased services, but  | 
 excluding employee benefits. The proportion of salary  | 
 for the application of a Regionalization Factor and  | 
 the calculation of benefits is equal to $352.92. | 
   (T) Central office investments. Each  | 
 Organizational Unit shall receive $742 per student of  | 
 the combined ASE of pre-kindergarten children with  | 
 disabilities and all kindergarten through grade 12  | 
 students to cover central office operations, including  | 
 administrators and classified personnel charged with  | 
 managing the instructional programs, business and  | 
 operations of the school district, and security  | 
 personnel. The proportion of salary for the  | 
 application of a Regionalization Factor and the  | 
 calculation of benefits is equal to $368.48. | 
   (U) Employee benefit investments. Each  | 
 Organizational Unit shall receive 30% of the total of  | 
 all salary-calculated elements of the Adequacy Target,  | 
 excluding substitute teachers and student activities  | 
 | 
 investments, to cover benefit costs. For central  | 
 office and maintenance and operations investments, the  | 
 benefit calculation shall be based upon the salary  | 
 proportion of each investment. If at any time the  | 
 responsibility for funding the employer normal cost of  | 
 teacher pensions is assigned to school districts, then  | 
 that amount certified by the Teachers' Retirement  | 
 System of the State of Illinois to be paid by the  | 
 Organizational Unit for the preceding school year  | 
 shall be added to the benefit investment. For any  | 
 fiscal year in which a school district organized under  | 
 Article 34 of this Code is responsible for paying the  | 
 employer normal cost of teacher pensions, then that  | 
 amount of its employer normal cost plus the amount for  | 
 retiree health insurance as certified by the Public  | 
 School Teachers' Pension and Retirement Fund of  | 
 Chicago to be paid by the school district for the  | 
 preceding school year that is statutorily required to  | 
 cover employer normal costs and the amount for retiree  | 
 health insurance shall be added to the 30% specified  | 
 in this subparagraph (U). The Teachers' Retirement  | 
 System of the State of Illinois and the Public School  | 
 Teachers' Pension and Retirement Fund of Chicago shall  | 
 submit such information as the State Superintendent  | 
 may require for the calculations set forth in this  | 
 subparagraph (U).  | 
 | 
   (V) Additional investments in low-income students.  | 
 In addition to and not in lieu of all other funding  | 
 under this paragraph (2), each Organizational Unit  | 
 shall receive funding based on the average teacher  | 
 salary for grades K through 12 to cover the costs of: | 
    (i) one FTE intervention teacher (tutor)  | 
 position for every 125 Low-Income Count students; | 
    (ii) one FTE pupil support staff position for  | 
 every 125 Low-Income Count students; | 
    (iii) one FTE extended day teacher position  | 
 for every 120 Low-Income Count students; and | 
    (iv) one FTE summer school teacher position  | 
 for every 120 Low-Income Count students. | 
   (W) Additional investments in English learner  | 
 students. In addition to and not in lieu of all other  | 
 funding under this paragraph (2), each Organizational  | 
 Unit shall receive funding based on the average  | 
 teacher salary for grades K through 12 to cover the  | 
 costs of:  | 
    (i) one FTE intervention teacher (tutor)  | 
 position for every 125 English learner students; | 
    (ii) one FTE pupil support staff position for  | 
 every 125 English learner students; | 
    (iii) one FTE extended day teacher position  | 
 for every 120 English learner students; | 
    (iv) one FTE summer school teacher position  | 
 | 
 for every 120 English learner students; and | 
    (v) one FTE core teacher position for every  | 
 100 English learner students.  | 
   (X) Special education investments. Each  | 
 Organizational Unit shall receive funding based on the  | 
 average teacher salary for grades K through 12 to  | 
 cover special education as follows:  | 
    (i) one FTE teacher position for every 141  | 
 combined ASE of pre-kindergarten children with  | 
 disabilities and all kindergarten through grade 12  | 
 students; | 
    (ii) one FTE instructional assistant for every  | 
 141 combined ASE of pre-kindergarten children with  | 
 disabilities and all kindergarten through grade 12  | 
 students; and | 
    (iii) one FTE psychologist position for every  | 
 1,000 combined ASE of pre-kindergarten children  | 
 with disabilities and all kindergarten through  | 
 grade 12 students.  | 
  (3) For calculating the salaries included within the  | 
 Essential Elements, the State Superintendent shall  | 
 annually calculate average salaries to the nearest dollar  | 
 using the employment information system data maintained by  | 
 the State Board, limited to public schools only and  | 
 excluding special education and vocational cooperatives,  | 
 schools operated by the Department of Juvenile Justice,  | 
 | 
 and charter schools, for the following positions:  | 
   (A) Teacher for grades K through 8. | 
   (B) Teacher for grades 9 through 12. | 
   (C) Teacher for grades K through 12. | 
   (D) School counselor for grades K through 8. | 
   (E) School counselor for grades 9 through 12. | 
   (F) School counselor for grades K through 12. | 
   (G) Social worker. | 
   (H) Psychologist. | 
   (I) Librarian. | 
   (J) Nurse. | 
   (K) Principal. | 
   (L) Assistant principal.  | 
  For the purposes of this paragraph (3), "teacher"  | 
 includes core teachers, specialist and elective teachers,  | 
 instructional facilitators, tutors, special education  | 
 teachers, pupil support staff teachers, English learner  | 
 teachers, extended day teachers, and summer school  | 
 teachers. Where specific grade data is not required for  | 
 the Essential Elements, the average salary for  | 
 corresponding positions shall apply. For substitute  | 
 teachers, the average teacher salary for grades K through  | 
 12 shall apply.  | 
  For calculating the salaries included within the  | 
 Essential Elements for positions not included within EIS  | 
 Data, the following salaries shall be used in the first  | 
 | 
 year of implementation of Evidence-Based Funding:  | 
   (i) school site staff, $30,000; and | 
   (ii) non-instructional assistant, instructional  | 
 assistant, library aide, library media tech, or  | 
 supervisory aide: $25,000.  | 
  In the second and subsequent years of implementation  | 
 of Evidence-Based Funding, the amounts in items (i) and  | 
 (ii) of this paragraph (3) shall annually increase by the  | 
 ECI.  | 
  The salary amounts for the Essential Elements  | 
 determined pursuant to subparagraphs (A) through (L), (S)  | 
 and (T), and (V) through (X) of paragraph (2) of  | 
 subsection (b) of this Section shall be multiplied by a  | 
 Regionalization Factor.  | 
 (c) Local Capacity calculation.  | 
  (1) Each Organizational Unit's Local Capacity  | 
 represents an amount of funding it is assumed to  | 
 contribute toward its Adequacy Target for purposes of the  | 
 Evidence-Based Funding formula calculation. "Local  | 
 Capacity" means either (i) the Organizational Unit's Local  | 
 Capacity Target as calculated in accordance with paragraph  | 
 (2) of this subsection (c) if its Real Receipts are equal  | 
 to or less than its Local Capacity Target or (ii) the  | 
 Organizational Unit's Adjusted Local Capacity, as  | 
 calculated in accordance with paragraph (3) of this  | 
 subsection (c) if Real Receipts are more than its Local  | 
 | 
 Capacity Target. | 
  (2) "Local Capacity Target" means, for an  | 
 Organizational Unit, that dollar amount that is obtained  | 
 by multiplying its Adequacy Target by its Local Capacity  | 
 Ratio.  | 
   (A) An Organizational Unit's Local Capacity  | 
 Percentage is the conversion of the Organizational  | 
 Unit's Local Capacity Ratio, as such ratio is  | 
 determined in accordance with subparagraph (B) of this  | 
 paragraph (2), into a cumulative distribution  | 
 resulting in a percentile ranking to determine each  | 
 Organizational Unit's relative position to all other  | 
 Organizational Units in this State. The calculation of  | 
 Local Capacity Percentage is described in subparagraph  | 
 (C) of this paragraph (2). | 
   (B) An Organizational Unit's Local Capacity Ratio  | 
 in a given year is the percentage obtained by dividing  | 
 its Adjusted EAV or PTELL EAV, whichever is less, by  | 
 its Adequacy Target, with the resulting ratio further  | 
 adjusted as follows:  | 
    (i) for Organizational Units serving grades  | 
 kindergarten through 12 and Hybrid Districts, no  | 
 further adjustments shall be made; | 
    (ii) for Organizational Units serving grades  | 
 kindergarten through 8, the ratio shall be  | 
 multiplied by 9/13; | 
 | 
    (iii) for Organizational Units serving grades  | 
 9 through 12, the Local Capacity Ratio shall be  | 
 multiplied by 4/13; and | 
    (iv) for an Organizational Unit with a  | 
 different grade configuration than those specified  | 
 in items (i) through (iii) of this subparagraph  | 
 (B), the State Superintendent shall determine a  | 
 comparable adjustment based on the grades served.  | 
   (C) The Local Capacity Percentage is equal to the  | 
 percentile ranking of the district. Local Capacity  | 
 Percentage converts each Organizational Unit's Local  | 
 Capacity Ratio to a cumulative distribution resulting  | 
 in a percentile ranking to determine each  | 
 Organizational Unit's relative position to all other  | 
 Organizational Units in this State. The Local Capacity  | 
 Percentage cumulative distribution resulting in a  | 
 percentile ranking for each Organizational Unit shall  | 
 be calculated using the standard normal distribution  | 
 of the score in relation to the weighted mean and  | 
 weighted standard deviation and Local Capacity Ratios  | 
 of all Organizational Units. If the value assigned to  | 
 any Organizational Unit is in excess of 90%, the value  | 
 shall be adjusted to 90%. For Laboratory Schools, the  | 
 Local Capacity Percentage shall be set at 10% in  | 
 recognition of the absence of EAV and resources from  | 
 the public university that are allocated to the  | 
 | 
 Laboratory School. For programs operated by a regional  | 
 office of education or an intermediate service center,  | 
 the Local Capacity Percentage must be set at 10% in  | 
 recognition of the absence of EAV and resources from  | 
 school districts that are allocated to the regional  | 
 office of education or intermediate service center.  | 
 The weighted mean for the Local Capacity Percentage  | 
 shall be determined by multiplying each Organizational  | 
 Unit's Local Capacity Ratio times the ASE for the unit  | 
 creating a weighted value, summing the weighted values  | 
 of all Organizational Units, and dividing by the total  | 
 ASE of all Organizational Units. The weighted standard  | 
 deviation shall be determined by taking the square  | 
 root of the weighted variance of all Organizational  | 
 Units' Local Capacity Ratio, where the variance is  | 
 calculated by squaring the difference between each  | 
 unit's Local Capacity Ratio and the weighted mean,  | 
 then multiplying the variance for each unit times the  | 
 ASE for the unit to create a weighted variance for each  | 
 unit, then summing all units' weighted variance and  | 
 dividing by the total ASE of all units. | 
   (D) For any Organizational Unit, the  | 
 Organizational Unit's Adjusted Local Capacity Target  | 
 shall be reduced by either (i) the school board's  | 
 remaining contribution pursuant to paragraph (ii) of  | 
 subsection (b-4) of Section 16-158 of the Illinois  | 
 | 
 Pension Code in a given year or (ii) the board of  | 
 education's remaining contribution pursuant to  | 
 paragraph (iv) of subsection (b) of Section 17-129 of  | 
 the Illinois Pension Code absent the employer normal  | 
 cost portion of the required contribution and amount  | 
 allowed pursuant to subdivision (3) of Section  | 
 17-142.1 of the Illinois Pension Code in a given year.  | 
 In the preceding sentence, item (i) shall be certified  | 
 to the State Board of Education by the Teachers'  | 
 Retirement System of the State of Illinois and item  | 
 (ii) shall be certified to the State Board of  | 
 Education by the Public School Teachers' Pension and  | 
 Retirement Fund of the City of Chicago.  | 
  (3) If an Organizational Unit's Real Receipts are more  | 
 than its Local Capacity Target, then its Local Capacity  | 
 shall equal an Adjusted Local Capacity Target as  | 
 calculated in accordance with this paragraph (3). The  | 
 Adjusted Local Capacity Target is calculated as the sum of  | 
 the Organizational Unit's Local Capacity Target and its  | 
 Real Receipts Adjustment. The Real Receipts Adjustment  | 
 equals the Organizational Unit's Real Receipts less its  | 
 Local Capacity Target, with the resulting figure  | 
 multiplied by the Local Capacity Percentage. | 
  As used in this paragraph (3), "Real Percent of  | 
 Adequacy" means the sum of an Organizational Unit's Real  | 
 Receipts, CPPRT, and Base Funding Minimum, with the  | 
 | 
 resulting figure divided by the Organizational Unit's  | 
 Adequacy Target.  | 
 (d) Calculation of Real Receipts, EAV, and Adjusted EAV  | 
for purposes of the Local Capacity calculation.  | 
  (1) An Organizational Unit's Real Receipts are the  | 
 product of its Applicable Tax Rate and its Adjusted EAV.  | 
 An Organizational Unit's Applicable Tax Rate is its  | 
 Adjusted Operating Tax Rate for property within the  | 
 Organizational Unit. | 
  (2) The State Superintendent shall calculate the  | 
 equalized assessed valuation, or EAV, of all taxable  | 
 property of each Organizational Unit as of September 30 of  | 
 the previous year in accordance with paragraph (3) of this  | 
 subsection (d). The State Superintendent shall then  | 
 determine the Adjusted EAV of each Organizational Unit in  | 
 accordance with paragraph (4) of this subsection (d),  | 
 which Adjusted EAV figure shall be used for the purposes  | 
 of calculating Local Capacity. | 
  (3) To calculate Real Receipts and EAV, the Department  | 
 of Revenue shall supply to the State Superintendent the  | 
 value as equalized or assessed by the Department of  | 
 Revenue of all taxable property of every Organizational  | 
 Unit, together with (i) the applicable tax rate used in  | 
 extending taxes for the funds of the Organizational Unit  | 
 as of September 30 of the previous year and (ii) the  | 
 limiting rate for all Organizational Units subject to  | 
 | 
 property tax extension limitations as imposed under PTELL.  | 
   (A) The Department of Revenue shall add to the  | 
 equalized assessed value of all taxable property of  | 
 each Organizational Unit situated entirely or  | 
 partially within a county that is or was subject to the  | 
 provisions of Section 15-176 or 15-177 of the Property  | 
 Tax Code (i) an amount equal to the total amount by  | 
 which the homestead exemption allowed under Section  | 
 15-176 or 15-177 of the Property Tax Code for real  | 
 property situated in that Organizational Unit exceeds  | 
 the total amount that would have been allowed in that  | 
 Organizational Unit if the maximum reduction under  | 
 Section 15-176 was (I) $4,500 in Cook County or $3,500  | 
 in all other counties in tax year 2003 or (II) $5,000  | 
 in all counties in tax year 2004 and thereafter and  | 
 (ii) an amount equal to the aggregate amount for the  | 
 taxable year of all additional exemptions under  | 
 Section 15-175 of the Property Tax Code for owners  | 
 with a household income of $30,000 or less. The county  | 
 clerk of any county that is or was subject to the  | 
 provisions of Section 15-176 or 15-177 of the Property  | 
 Tax Code shall annually calculate and certify to the  | 
 Department of Revenue for each Organizational Unit all  | 
 homestead exemption amounts under Section 15-176 or  | 
 15-177 of the Property Tax Code and all amounts of  | 
 additional exemptions under Section 15-175 of the  | 
 | 
 Property Tax Code for owners with a household income  | 
 of $30,000 or less. It is the intent of this  | 
 subparagraph (A) that if the general homestead  | 
 exemption for a parcel of property is determined under  | 
 Section 15-176 or 15-177 of the Property Tax Code  | 
 rather than Section 15-175, then the calculation of  | 
 EAV shall not be affected by the difference, if any,  | 
 between the amount of the general homestead exemption  | 
 allowed for that parcel of property under Section  | 
 15-176 or 15-177 of the Property Tax Code and the  | 
 amount that would have been allowed had the general  | 
 homestead exemption for that parcel of property been  | 
 determined under Section 15-175 of the Property Tax  | 
 Code. It is further the intent of this subparagraph  | 
 (A) that if additional exemptions are allowed under  | 
 Section 15-175 of the Property Tax Code for owners  | 
 with a household income of less than $30,000, then the  | 
 calculation of EAV shall not be affected by the  | 
 difference, if any, because of those additional  | 
 exemptions. | 
   (B) With respect to any part of an Organizational  | 
 Unit within a redevelopment project area in respect to  | 
 which a municipality has adopted tax increment  | 
 allocation financing pursuant to the Tax Increment  | 
 Allocation Redevelopment Act, Division 74.4 of Article  | 
 11 of the Illinois Municipal Code, or the Industrial  | 
 | 
 Jobs Recovery Law, Division 74.6 of Article 11 of the  | 
 Illinois Municipal Code, no part of the current EAV of  | 
 real property located in any such project area that is  | 
 attributable to an increase above the total initial  | 
 EAV of such property shall be used as part of the EAV  | 
 of the Organizational Unit, until such time as all  | 
 redevelopment project costs have been paid, as  | 
 provided in Section 11-74.4-8 of the Tax Increment  | 
 Allocation Redevelopment Act or in Section 11-74.6-35  | 
 of the Industrial Jobs Recovery Law. For the purpose  | 
 of the EAV of the Organizational Unit, the total  | 
 initial EAV or the current EAV, whichever is lower,  | 
 shall be used until such time as all redevelopment  | 
 project costs have been paid. | 
   (B-5) The real property equalized assessed  | 
 valuation for a school district shall be adjusted by  | 
 subtracting from the real property value, as equalized  | 
 or assessed by the Department of Revenue, for the  | 
 district an amount computed by dividing the amount of  | 
 any abatement of taxes under Section 18-170 of the  | 
 Property Tax Code by 3.00% for a district maintaining  | 
 grades kindergarten through 12, by 2.30% for a  | 
 district maintaining grades kindergarten through 8, or  | 
 by 1.05% for a district maintaining grades 9 through  | 
 12 and adjusted by an amount computed by dividing the  | 
 amount of any abatement of taxes under subsection (a)  | 
 | 
 of Section 18-165 of the Property Tax Code by the same  | 
 percentage rates for district type as specified in  | 
 this subparagraph (B-5).  | 
   (C) For Organizational Units that are Hybrid  | 
 Districts, the State Superintendent shall use the  | 
 lesser of the adjusted equalized assessed valuation  | 
 for property within the partial elementary unit  | 
 district for elementary purposes, as defined in  | 
 Article 11E of this Code, or the adjusted equalized  | 
 assessed valuation for property within the partial  | 
 elementary unit district for high school purposes, as  | 
 defined in Article 11E of this Code.  | 
   (D) If a school district's boundaries span  | 
 multiple counties, then the Department of Revenue  | 
 shall send to the State Board, for the purposes of  | 
 calculating Evidence-Based Funding, the limiting rate  | 
 and individual rates by purpose for the county that  | 
 contains the majority of the school district's  | 
 equalized assessed valuation.  | 
  (4) An Organizational Unit's Adjusted EAV shall be the  | 
 average of its EAV over the immediately preceding 3 years  | 
 or the lesser of its EAV in the immediately preceding year  | 
 or the average of its EAV over the immediately preceding 3  | 
 years if the EAV in the immediately preceding year has  | 
 declined by 10% or more when comparing the 2 most recent  | 
 years. In the event of Organizational Unit reorganization,  | 
 | 
 consolidation, or annexation, the Organizational Unit's  | 
 Adjusted EAV for the first 3 years after such change shall  | 
 be as follows: the most current EAV shall be used in the  | 
 first year, the average of a 2-year EAV or its EAV in the  | 
 immediately preceding year if the EAV declines by 10% or  | 
 more when comparing the 2 most recent years for the second  | 
 year, and the lesser of a 3-year average EAV or its EAV in  | 
 the immediately preceding year if the Adjusted EAV  | 
 declines by 10% or more when comparing the 2 most recent  | 
 years for the third year. For any school district whose  | 
 EAV in the immediately preceding year is used in  | 
 calculations, in the following year, the Adjusted EAV  | 
 shall be the average of its EAV over the immediately  | 
 preceding 2 years or the immediately preceding year if  | 
 that year represents a decline of 10% or more when  | 
 comparing the 2 most recent years.  | 
  "PTELL EAV" means a figure calculated by the State  | 
 Board for Organizational Units subject to PTELL as  | 
 described in this paragraph (4) for the purposes of  | 
 calculating an Organizational Unit's Local Capacity Ratio.  | 
 Except as otherwise provided in this paragraph (4), the  | 
 PTELL EAV of an Organizational Unit shall be equal to the  | 
 product of the equalized assessed valuation last used in  | 
 the calculation of general State aid under Section 18-8.05  | 
 of this Code (now repealed) or Evidence-Based Funding  | 
 under this Section and the Organizational Unit's Extension  | 
 | 
 Limitation Ratio. If an Organizational Unit has approved  | 
 or does approve an increase in its limiting rate, pursuant  | 
 to Section 18-190 of the Property Tax Code, affecting the  | 
 Base Tax Year, the PTELL EAV shall be equal to the product  | 
 of the equalized assessed valuation last used in the  | 
 calculation of general State aid under Section 18-8.05 of  | 
 this Code (now repealed) or Evidence-Based Funding under  | 
 this Section multiplied by an amount equal to one plus the  | 
 percentage increase, if any, in the Consumer Price Index  | 
 for All Urban Consumers for all items published by the  | 
 United States Department of Labor for the 12-month  | 
 calendar year preceding the Base Tax Year, plus the  | 
 equalized assessed valuation of new property, annexed  | 
 property, and recovered tax increment value and minus the  | 
 equalized assessed valuation of disconnected property. | 
  As used in this paragraph (4), "new property" and  | 
 "recovered tax increment value" shall have the meanings  | 
 set forth in the Property Tax Extension Limitation Law. | 
 (e) Base Funding Minimum calculation.  | 
  (1) For the 2017-2018 school year, the Base Funding  | 
 Minimum of an Organizational Unit or a Specially Funded  | 
 Unit shall be the amount of State funds distributed to the  | 
 Organizational Unit or Specially Funded Unit during the  | 
 2016-2017 school year prior to any adjustments and  | 
 specified appropriation amounts described in this  | 
 paragraph (1) from the following Sections, as calculated  | 
 | 
 by the State Superintendent: Section 18-8.05 of this Code  | 
 (now repealed); Section 5 of Article 224 of Public Act  | 
 99-524 (equity grants); Section 14-7.02b of this Code  | 
 (funding for children requiring special education  | 
 services); Section 14-13.01 of this Code (special  | 
 education facilities and staffing), except for  | 
 reimbursement of the cost of transportation pursuant to  | 
 Section 14-13.01; Section 14C-12 of this Code (English  | 
 learners); and Section 18-4.3 of this Code (summer  | 
 school), based on an appropriation level of $13,121,600.  | 
 For a school district organized under Article 34 of this  | 
 Code, the Base Funding Minimum also includes (i) the funds  | 
 allocated to the school district pursuant to Section 1D-1  | 
 of this Code attributable to funding programs authorized  | 
 by the Sections of this Code listed in the preceding  | 
 sentence and (ii) the difference between (I) the funds  | 
 allocated to the school district pursuant to Section 1D-1  | 
 of this Code attributable to the funding programs  | 
 authorized by Section 14-7.02 (non-public special  | 
 education reimbursement), subsection (b) of Section  | 
 14-13.01 (special education transportation), Section 29-5  | 
 (transportation), Section 2-3.80 (agricultural  | 
 education), Section 2-3.66 (truants' alternative  | 
 education), Section 2-3.62 (educational service centers),  | 
 and Section 14-7.03 (special education - orphanage) of  | 
 this Code and Section 15 of the Childhood Hunger Relief  | 
 | 
 Act (free breakfast program) and (II) the school  | 
 district's actual expenditures for its non-public special  | 
 education, special education transportation,  | 
 transportation programs, agricultural education, truants'  | 
 alternative education, services that would otherwise be  | 
 performed by a regional office of education, special  | 
 education orphanage expenditures, and free breakfast, as  | 
 most recently calculated and reported pursuant to  | 
 subsection (f) of Section 1D-1 of this Code. The Base  | 
 Funding Minimum for Glenwood Academy shall be $952,014.  | 
 For programs operated by a regional office of education or  | 
 an intermediate service center, the Base Funding Minimum  | 
 must be the total amount of State funds allocated to those  | 
 programs in the 2018-2019 school year and amounts provided  | 
 pursuant to Article 34 of Public Act 100-586 and Section  | 
 3-16 of this Code. All programs established after June 5,  | 
 2019 (the effective date of Public Act 101-10) and  | 
 administered by a regional office of education or an  | 
 intermediate service center must have an initial Base  | 
 Funding Minimum set to an amount equal to the first-year  | 
 ASE multiplied by the amount of per pupil funding received  | 
 in the previous school year by the lowest funded similar  | 
 existing program type. If the enrollment for a program  | 
 operated by a regional office of education or an  | 
 intermediate service center is zero, then it may not  | 
 receive Base Funding Minimum funds for that program in the  | 
 | 
 next fiscal year, and those funds must be distributed to  | 
 Organizational Units under subsection (g). | 
  (2) For the 2018-2019 and subsequent school years, the  | 
 Base Funding Minimum of Organizational Units and Specially  | 
 Funded Units shall be the sum of (i) the amount of  | 
 Evidence-Based Funding for the prior school year, (ii) the  | 
 Base Funding Minimum for the prior school year, and (iii)  | 
 any amount received by a school district pursuant to  | 
 Section 7 of Article 97 of Public Act 100-21.  | 
  For the 2022-2023 school year, the Base Funding  | 
 Minimum of Organizational Units shall be the amounts  | 
 recalculated by the State Board of Education for Fiscal  | 
 Year 2019 through Fiscal Year 2022 that were necessary due  | 
 to average student enrollment errors for districts  | 
 organized under Article 34 of this Code, plus the Fiscal  | 
 Year 2022 property tax relief grants provided under  | 
 Section 2-3.170 of this Code, ensuring each Organizational  | 
 Unit has the correct amount of resources for Fiscal Year  | 
 2023 Evidence-Based Funding calculations and that Fiscal  | 
 Year 2023 Evidence-Based Funding Distributions are made in  | 
 accordance with this Section.  | 
  (3) Subject to approval by the General Assembly as  | 
 provided in this paragraph (3), an Organizational Unit  | 
 that meets all of the following criteria, as determined by  | 
 the State Board, shall have District Intervention Money  | 
 added to its Base Funding Minimum at the time the Base  | 
 | 
 Funding Minimum is calculated by the State Board:  | 
   (A) The Organizational Unit is operating under an  | 
 Independent Authority under Section 2-3.25f-5 of this  | 
 Code for a minimum of 4 school years or is subject to  | 
 the control of the State Board pursuant to a court  | 
 order for a minimum of 4 school years. | 
   (B) The Organizational Unit was designated as a  | 
 Tier 1 or Tier 2 Organizational Unit in the previous  | 
 school year under paragraph (3) of subsection (g) of  | 
 this Section. | 
   (C) The Organizational Unit demonstrates  | 
 sustainability through a 5-year financial and  | 
 strategic plan. | 
   (D) The Organizational Unit has made sufficient  | 
 progress and achieved sufficient stability in the  | 
 areas of governance, academic growth, and finances.  | 
  As part of its determination under this paragraph (3),  | 
 the State Board may consider the Organizational Unit's  | 
 summative designation, any accreditations of the  | 
 Organizational Unit, or the Organizational Unit's  | 
 financial profile, as calculated by the State Board. | 
  If the State Board determines that an Organizational  | 
 Unit has met the criteria set forth in this paragraph (3),  | 
 it must submit a report to the General Assembly, no later  | 
 than January 2 of the fiscal year in which the State Board  | 
 makes it determination, on the amount of District  | 
 | 
 Intervention Money to add to the Organizational Unit's  | 
 Base Funding Minimum. The General Assembly must review the  | 
 State Board's report and may approve or disapprove, by  | 
 joint resolution, the addition of District Intervention  | 
 Money. If the General Assembly fails to act on the report  | 
 within 40 calendar days from the receipt of the report,  | 
 the addition of District Intervention Money is deemed  | 
 approved. If the General Assembly approves the amount of  | 
 District Intervention Money to be added to the  | 
 Organizational Unit's Base Funding Minimum, the District  | 
 Intervention Money must be added to the Base Funding  | 
 Minimum annually thereafter. | 
  For the first 4 years following the initial year that  | 
 the State Board determines that an Organizational Unit has  | 
 met the criteria set forth in this paragraph (3) and has  | 
 received funding under this Section, the Organizational  | 
 Unit must annually submit to the State Board, on or before  | 
 November 30, a progress report regarding its financial and  | 
 strategic plan under subparagraph (C) of this paragraph  | 
 (3). The plan shall include the financial data from the  | 
 past 4 annual financial reports or financial audits that  | 
 must be presented to the State Board by November 15 of each  | 
 year and the approved budget financial data for the  | 
 current year. The plan shall be developed according to the  | 
 guidelines presented to the Organizational Unit by the  | 
 State Board. The plan shall further include financial  | 
 | 
 projections for the next 3 fiscal years and include a  | 
 discussion and financial summary of the Organizational  | 
 Unit's facility needs. If the Organizational Unit does not  | 
 demonstrate sufficient progress toward its 5-year plan or  | 
 if it has failed to file an annual financial report, an  | 
 annual budget, a financial plan, a deficit reduction plan,  | 
 or other financial information as required by law, the  | 
 State Board may establish a Financial Oversight Panel  | 
 under Article 1H of this Code. However, if the  | 
 Organizational Unit already has a Financial Oversight  | 
 Panel, the State Board may extend the duration of the  | 
 Panel.  | 
 (f) Percent of Adequacy and Final Resources calculation.  | 
  (1) The Evidence-Based Funding formula establishes a  | 
 Percent of Adequacy for each Organizational Unit in order  | 
 to place such units into tiers for the purposes of the  | 
 funding distribution system described in subsection (g) of  | 
 this Section. Initially, an Organizational Unit's  | 
 Preliminary Resources and Preliminary Percent of Adequacy  | 
 are calculated pursuant to paragraph (2) of this  | 
 subsection (f). Then, an Organizational Unit's Final  | 
 Resources and Final Percent of Adequacy are calculated to  | 
 account for the Organizational Unit's poverty  | 
 concentration levels pursuant to paragraphs (3) and (4) of  | 
 this subsection (f). | 
  (2) An Organizational Unit's Preliminary Resources are  | 
 | 
 equal to the sum of its Local Capacity Target, CPPRT, and  | 
 Base Funding Minimum. An Organizational Unit's Preliminary  | 
 Percent of Adequacy is the lesser of (i) its Preliminary  | 
 Resources divided by its Adequacy Target or (ii) 100%. | 
  (3) Except for Specially Funded Units, an  | 
 Organizational Unit's Final Resources are equal to the sum  | 
 of its Local Capacity, CPPRT, and Adjusted Base Funding  | 
 Minimum. The Base Funding Minimum of each Specially Funded  | 
 Unit shall serve as its Final Resources, except that the  | 
 Base Funding Minimum for State-approved charter schools  | 
 shall not include any portion of general State aid  | 
 allocated in the prior year based on the per capita  | 
 tuition charge times the charter school enrollment. | 
  (4) An Organizational Unit's Final Percent of Adequacy  | 
 is its Final Resources divided by its Adequacy Target. An  | 
 Organizational Unit's Adjusted Base Funding Minimum is  | 
 equal to its Base Funding Minimum less its Supplemental  | 
 Grant Funding, with the resulting figure added to the  | 
 product of its Supplemental Grant Funding and Preliminary  | 
 Percent of Adequacy.  | 
 (g) Evidence-Based Funding formula distribution system.  | 
  (1) In each school year under the Evidence-Based  | 
 Funding formula, each Organizational Unit receives funding  | 
 equal to the sum of its Base Funding Minimum and the unit's  | 
 allocation of New State Funds determined pursuant to this  | 
 subsection (g). To allocate New State Funds, the  | 
 | 
 Evidence-Based Funding formula distribution system first  | 
 places all Organizational Units into one of 4 tiers in  | 
 accordance with paragraph (3) of this subsection (g),  | 
 based on the Organizational Unit's Final Percent of  | 
 Adequacy. New State Funds are allocated to each of the 4  | 
 tiers as follows: Tier 1 Aggregate Funding equals 50% of  | 
 all New State Funds, Tier 2 Aggregate Funding equals 49%  | 
 of all New State Funds, Tier 3 Aggregate Funding equals  | 
 0.9% of all New State Funds, and Tier 4 Aggregate Funding  | 
 equals 0.1% of all New State Funds. Each Organizational  | 
 Unit within Tier 1 or Tier 2 receives an allocation of New  | 
 State Funds equal to its tier Funding Gap, as defined in  | 
 the following sentence, multiplied by the tier's  | 
 Allocation Rate determined pursuant to paragraph (4) of  | 
 this subsection (g). For Tier 1, an Organizational Unit's  | 
 Funding Gap equals the tier's Target Ratio, as specified  | 
 in paragraph (5) of this subsection (g), multiplied by the  | 
 Organizational Unit's Adequacy Target, with the resulting  | 
 amount reduced by the Organizational Unit's Final  | 
 Resources. For Tier 2, an Organizational Unit's Funding  | 
 Gap equals the tier's Target Ratio, as described in  | 
 paragraph (5) of this subsection (g), multiplied by the  | 
 Organizational Unit's Adequacy Target, with the resulting  | 
 amount reduced by the Organizational Unit's Final  | 
 Resources and its Tier 1 funding allocation. To determine  | 
 the Organizational Unit's Funding Gap, the resulting  | 
 | 
 amount is then multiplied by a factor equal to one minus  | 
 the Organizational Unit's Local Capacity Target  | 
 percentage. Each Organizational Unit within Tier 3 or Tier  | 
 4 receives an allocation of New State Funds equal to the  | 
 product of its Adequacy Target and the tier's Allocation  | 
 Rate, as specified in paragraph (4) of this subsection  | 
 (g). | 
  (2) To ensure equitable distribution of dollars for  | 
 all Tier 2 Organizational Units, no Tier 2 Organizational  | 
 Unit shall receive fewer dollars per ASE than any Tier 3  | 
 Organizational Unit. Each Tier 2 and Tier 3 Organizational  | 
 Unit shall have its funding allocation divided by its ASE.  | 
 Any Tier 2 Organizational Unit with a funding allocation  | 
 per ASE below the greatest Tier 3 allocation per ASE shall  | 
 get a funding allocation equal to the greatest Tier 3  | 
 funding allocation per ASE multiplied by the  | 
 Organizational Unit's ASE. Each Tier 2 Organizational  | 
 Unit's Tier 2 funding allocation shall be multiplied by  | 
 the percentage calculated by dividing the original Tier 2  | 
 Aggregate Funding by the sum of all Tier 2 Organizational  | 
 Units' Tier 2 funding allocation after adjusting  | 
 districts' funding below Tier 3 levels.  | 
  (3) Organizational Units are placed into one of 4  | 
 tiers as follows:  | 
   (A) Tier 1 consists of all Organizational Units,  | 
 except for Specially Funded Units, with a Percent of  | 
 | 
 Adequacy less than the Tier 1 Target Ratio. The Tier 1  | 
 Target Ratio is the ratio level that allows for Tier 1  | 
 Aggregate Funding to be distributed, with the Tier 1  | 
 Allocation Rate determined pursuant to paragraph (4)  | 
 of this subsection (g). | 
   (B) Tier 2 consists of all Tier 1 Units and all  | 
 other Organizational Units, except for Specially  | 
 Funded Units, with a Percent of Adequacy of less than  | 
 0.90. | 
   (C) Tier 3 consists of all Organizational Units,  | 
 except for Specially Funded Units, with a Percent of  | 
 Adequacy of at least 0.90 and less than 1.0. | 
   (D) Tier 4 consists of all Organizational Units  | 
 with a Percent of Adequacy of at least 1.0.  | 
  (4) The Allocation Rates for Tiers 1 through 4 are  | 
 determined as follows:  | 
   (A) The Tier 1 Allocation Rate is 30%. | 
   (B) The Tier 2 Allocation Rate is the result of the  | 
 following equation: Tier 2 Aggregate Funding, divided  | 
 by the sum of the Funding Gaps for all Tier 2  | 
 Organizational Units, unless the result of such  | 
 equation is higher than 1.0. If the result of such  | 
 equation is higher than 1.0, then the Tier 2  | 
 Allocation Rate is 1.0.  | 
   (C) The Tier 3 Allocation Rate is the result of the  | 
 following equation: Tier 3 Aggregate Funding, divided  | 
 | 
 by the sum of the Adequacy Targets of all Tier 3  | 
 Organizational Units. | 
   (D) The Tier 4 Allocation Rate is the result of the  | 
 following equation: Tier 4 Aggregate Funding, divided  | 
 by the sum of the Adequacy Targets of all Tier 4  | 
 Organizational Units.  | 
  (5) A tier's Target Ratio is determined as follows:  | 
   (A) The Tier 1 Target Ratio is the ratio level that  | 
 allows for Tier 1 Aggregate Funding to be distributed  | 
 with the Tier 1 Allocation Rate. | 
   (B) The Tier 2 Target Ratio is 0.90. | 
   (C) The Tier 3 Target Ratio is 1.0. | 
  (6) If, at any point, the Tier 1 Target Ratio is  | 
 greater than 90%, then all Tier 1 funding shall be  | 
 allocated to Tier 2 and no Tier 1 Organizational Unit's  | 
 funding may be identified. | 
  (7) In the event that all Tier 2 Organizational Units  | 
 receive funding at the Tier 2 Target Ratio level, any  | 
 remaining New State Funds shall be allocated to Tier 3 and  | 
 Tier 4 Organizational Units.  | 
  (8) If any Specially Funded Units, excluding Glenwood  | 
 Academy, recognized by the State Board do not qualify for  | 
 direct funding following the implementation of Public Act  | 
 100-465 from any of the funding sources included within  | 
 the definition of Base Funding Minimum, the unqualified  | 
 portion of the Base Funding Minimum shall be transferred  | 
 | 
 to one or more appropriate Organizational Units as  | 
 determined by the State Superintendent based on the prior  | 
 year ASE of the Organizational Units. | 
  (8.5) If a school district withdraws from a special  | 
 education cooperative, the portion of the Base Funding  | 
 Minimum that is attributable to the school district may be  | 
 redistributed to the school district upon withdrawal. The  | 
 school district and the cooperative must include the  | 
 amount of the Base Funding Minimum that is to be  | 
 reapportioned in their withdrawal agreement and notify the  | 
 State Board of the change with a copy of the agreement upon  | 
 withdrawal.  | 
  (9) The Minimum Funding Level is intended to establish  | 
 a target for State funding that will keep pace with  | 
 inflation and continue to advance equity through the  | 
 Evidence-Based Funding formula. The target for State  | 
 funding of New Property Tax Relief Pool Funds is  | 
 $50,000,000 for State fiscal year 2019 and subsequent  | 
 State fiscal years. The Minimum Funding Level is equal to  | 
 $350,000,000. In addition to any New State Funds, no more  | 
 than $50,000,000 New Property Tax Relief Pool Funds may be  | 
 counted toward the Minimum Funding Level. If the sum of  | 
 New State Funds and applicable New Property Tax Relief  | 
 Pool Funds are less than the Minimum Funding Level, than  | 
 funding for tiers shall be reduced in the following  | 
 manner: | 
 | 
   (A) First, Tier 4 funding shall be reduced by an  | 
 amount equal to the difference between the Minimum  | 
 Funding Level and New State Funds until such time as  | 
 Tier 4 funding is exhausted. | 
   (B) Next, Tier 3 funding shall be reduced by an  | 
 amount equal to the difference between the Minimum  | 
 Funding Level and New State Funds and the reduction in  | 
 Tier 4 funding until such time as Tier 3 funding is  | 
 exhausted. | 
   (C) Next, Tier 2 funding shall be reduced by an  | 
 amount equal to the difference between the Minimum  | 
 Funding Level and New State Funds and the reduction in  | 
 Tier 4 and Tier 3. | 
   (D) Finally, Tier 1 funding shall be reduced by an  | 
 amount equal to the difference between the Minimum  | 
 Funding level and New State Funds and the reduction in  | 
 Tier 2, 3, and 4 funding. In addition, the Allocation  | 
 Rate for Tier 1 shall be reduced to a percentage equal  | 
 to the Tier 1 Allocation Rate set by paragraph (4) of  | 
 this subsection (g), multiplied by the result of New  | 
 State Funds divided by the Minimum Funding Level. | 
  (9.5) For State fiscal year 2019 and subsequent State  | 
 fiscal years, if New State Funds exceed $300,000,000, then  | 
 any amount in excess of $300,000,000 shall be dedicated  | 
 for purposes of Section 2-3.170 of this Code up to a  | 
 maximum of $50,000,000.  | 
 | 
  (10) In the event of a decrease in the amount of the  | 
 appropriation for this Section in any fiscal year after  | 
 implementation of this Section, the Organizational Units  | 
 receiving Tier 1 and Tier 2 funding, as determined under  | 
 paragraph (3) of this subsection (g), shall be held  | 
 harmless by establishing a Base Funding Guarantee equal to  | 
 the per pupil kindergarten through grade 12 funding  | 
 received in accordance with this Section in the prior  | 
 fiscal year. Reductions shall be made to the Base Funding  | 
 Minimum of Organizational Units in Tier 3 and Tier 4 on a  | 
 per pupil basis equivalent to the total number of the ASE  | 
 in Tier 3-funded and Tier 4-funded Organizational Units  | 
 divided by the total reduction in State funding. The Base  | 
 Funding Minimum as reduced shall continue to be applied to  | 
 Tier 3 and Tier 4 Organizational Units and adjusted by the  | 
 relative formula when increases in appropriations for this  | 
 Section resume. In no event may State funding reductions  | 
 to Organizational Units in Tier 3 or Tier 4 exceed an  | 
 amount that would be less than the Base Funding Minimum  | 
 established in the first year of implementation of this  | 
 Section. If additional reductions are required, all school  | 
 districts shall receive a reduction by a per pupil amount  | 
 equal to the aggregate additional appropriation reduction  | 
 divided by the total ASE of all Organizational Units.  | 
  (11) The State Superintendent shall make minor  | 
 adjustments to the distribution formula set forth in this  | 
 | 
 subsection (g) to account for the rounding of percentages  | 
 to the nearest tenth of a percentage and dollar amounts to  | 
 the nearest whole dollar.  | 
 (h) State Superintendent administration of funding and  | 
district submission requirements.  | 
  (1) The State Superintendent shall, in accordance with  | 
 appropriations made by the General Assembly, meet the  | 
 funding obligations created under this Section. | 
  (2) The State Superintendent shall calculate the  | 
 Adequacy Target for each Organizational Unit under this  | 
 Section. No Evidence-Based Funding shall be distributed  | 
 within an Organizational Unit without the approval of the  | 
 unit's school board. | 
  (3) Annually, the State Superintendent shall calculate  | 
 and report to each Organizational Unit the unit's  | 
 aggregate financial adequacy amount, which shall be the  | 
 sum of the Adequacy Target for each Organizational Unit.  | 
 The State Superintendent shall calculate and report  | 
 separately for each Organizational Unit the unit's total  | 
 State funds allocated for its students with disabilities.  | 
 The State Superintendent shall calculate and report  | 
 separately for each Organizational Unit the amount of  | 
 funding and applicable FTE calculated for each Essential  | 
 Element of the unit's Adequacy Target. | 
  (4) Annually, the State Superintendent shall calculate  | 
 and report to each Organizational Unit the amount the unit  | 
 | 
 must expend on special education and bilingual education  | 
 and computer technology and equipment for Organizational  | 
 Units assigned to Tier 1 or Tier 2 that received an  | 
 additional $285.50 per student computer technology and  | 
 equipment investment grant to their Adequacy Target  | 
 pursuant to the unit's Base Funding Minimum, Special  | 
 Education Allocation, Bilingual Education Allocation, and  | 
 computer technology and equipment investment allocation. | 
  (5) Moneys distributed under this Section shall be  | 
 calculated on a school year basis, but paid on a fiscal  | 
 year basis, with payments beginning in August and  | 
 extending through June. Unless otherwise provided, the  | 
 moneys appropriated for each fiscal year shall be  | 
 distributed in 22 equal payments at least 2 times monthly  | 
 to each Organizational Unit. If moneys appropriated for  | 
 any fiscal year are distributed other than monthly, the  | 
 distribution shall be on the same basis for each  | 
 Organizational Unit. | 
  (6) Any school district that fails, for any given  | 
 school year, to maintain school as required by law or to  | 
 maintain a recognized school is not eligible to receive  | 
 Evidence-Based Funding. In case of non-recognition of one  | 
 or more attendance centers in a school district otherwise  | 
 operating recognized schools, the claim of the district  | 
 shall be reduced in the proportion that the enrollment in  | 
 the attendance center or centers bears to the enrollment  | 
 | 
 of the school district. "Recognized school" means any  | 
 public school that meets the standards for recognition by  | 
 the State Board. A school district or attendance center  | 
 not having recognition status at the end of a school term  | 
 is entitled to receive State aid payments due upon a legal  | 
 claim that was filed while it was recognized. | 
  (7) School district claims filed under this Section  | 
 are subject to Sections 18-9 and 18-12 of this Code,  | 
 except as otherwise provided in this Section. | 
  (8) Each fiscal year, the State Superintendent shall  | 
 calculate for each Organizational Unit an amount of its  | 
 Base Funding Minimum and Evidence-Based Funding that shall  | 
 be deemed attributable to the provision of special  | 
 educational facilities and services, as defined in Section  | 
 14-1.08 of this Code, in a manner that ensures compliance  | 
 with maintenance of State financial support requirements  | 
 under the federal Individuals with Disabilities Education  | 
 Act. An Organizational Unit must use such funds only for  | 
 the provision of special educational facilities and  | 
 services, as defined in Section 14-1.08 of this Code, and  | 
 must comply with any expenditure verification procedures  | 
 adopted by the State Board. | 
  (9) All Organizational Units in this State must submit  | 
 annual spending plans, as part of the budget submission  | 
 process, no later than October 31 of each year to the State  | 
 Board. The spending plan shall describe how each  | 
 | 
 Organizational Unit will utilize the Base Funding Minimum  | 
 and Evidence-Based Funding it receives from this State  | 
 under this Section with specific identification of the  | 
 intended utilization of Low-Income, English learner, and  | 
 special education resources. Additionally, the annual  | 
 spending plans of each Organizational Unit shall describe  | 
 how the Organizational Unit expects to achieve student  | 
 growth and how the Organizational Unit will achieve State  | 
 education goals, as defined by the State Board. The State  | 
 Superintendent may, from time to time, identify additional  | 
 requisites for Organizational Units to satisfy when  | 
 compiling the annual spending plans required under this  | 
 subsection (h). The format and scope of annual spending  | 
 plans shall be developed by the State Superintendent and  | 
 the State Board of Education. School districts that serve  | 
 students under Article 14C of this Code shall continue to  | 
 submit information as required under Section 14C-12 of  | 
 this Code.  | 
  (10) No later than January 1, 2018, the State  | 
 Superintendent shall develop a 5-year strategic plan for  | 
 all Organizational Units to help in planning for adequacy  | 
 funding under this Section. The State Superintendent shall  | 
 submit the plan to the Governor and the General Assembly,  | 
 as provided in Section 3.1 of the General Assembly  | 
 Organization Act. The plan shall include recommendations  | 
 for:  | 
 | 
   (A) a framework for collaborative, professional,  | 
 innovative, and 21st century learning environments  | 
 using the Evidence-Based Funding model; | 
   (B) ways to prepare and support this State's  | 
 educators for successful instructional careers; | 
   (C) application and enhancement of the current  | 
 financial accountability measures, the approved State  | 
 plan to comply with the federal Every Student Succeeds  | 
 Act, and the Illinois Balanced Accountability Measures  | 
 in relation to student growth and elements of the  | 
 Evidence-Based Funding model; and | 
   (D) implementation of an effective school adequacy  | 
 funding system based on projected and recommended  | 
 funding levels from the General Assembly.  | 
  (11) On an annual basis, the State Superintendent must  | 
 recalibrate all of the following per pupil elements of the  | 
 Adequacy Target and applied to the formulas, based on the  | 
 study of average expenses and as reported in the most  | 
 recent annual financial report: | 
   (A) Gifted under subparagraph (M) of paragraph (2)  | 
 of subsection (b). | 
   (B) Instructional materials under subparagraph (O)  | 
 of paragraph (2) of subsection (b). | 
   (C) Assessment under subparagraph (P) of paragraph  | 
 (2) of subsection (b). | 
   (D) Student activities under subparagraph (R) of  | 
 | 
 paragraph (2) of subsection (b). | 
   (E) Maintenance and operations under subparagraph  | 
 (S) of paragraph (2) of subsection (b). | 
   (F) Central office under subparagraph (T) of  | 
 paragraph (2) of subsection (b).  | 
 (i) Professional Review Panel.  | 
  (1) A Professional Review Panel is created to study  | 
 and review topics related to the implementation and effect  | 
 of Evidence-Based Funding, as assigned by a joint  | 
 resolution or Public Act of the General Assembly or a  | 
 motion passed by the State Board of Education. The Panel  | 
 must provide recommendations to and serve the Governor,  | 
 the General Assembly, and the State Board. The State  | 
 Superintendent or his or her designee must serve as a  | 
 voting member and chairperson of the Panel. The State  | 
 Superintendent must appoint a vice chairperson from the  | 
 membership of the Panel. The Panel must advance  | 
 recommendations based on a three-fifths majority vote of  | 
 Panel members present and voting. A minority opinion may  | 
 also accompany any recommendation of the Panel. The Panel  | 
 shall be appointed by the State Superintendent, except as  | 
 otherwise provided in paragraph (2) of this subsection (i)  | 
 and include the following members:  | 
   (A) Two appointees that represent district  | 
 superintendents, recommended by a statewide  | 
 organization that represents district superintendents. | 
 | 
   (B) Two appointees that represent school boards,  | 
 recommended by a statewide organization that  | 
 represents school boards. | 
   (C) Two appointees from districts that represent  | 
 school business officials, recommended by a statewide  | 
 organization that represents school business  | 
 officials. | 
   (D) Two appointees that represent school  | 
 principals, recommended by a statewide organization  | 
 that represents school principals. | 
   (E) Two appointees that represent teachers,  | 
 recommended by a statewide organization that  | 
 represents teachers. | 
   (F) Two appointees that represent teachers,  | 
 recommended by another statewide organization that  | 
 represents teachers. | 
   (G) Two appointees that represent regional  | 
 superintendents of schools, recommended by  | 
 organizations that represent regional superintendents. | 
   (H) Two independent experts selected solely by the  | 
 State Superintendent. | 
   (I) Two independent experts recommended by public  | 
 universities in this State. | 
   (J) One member recommended by a statewide  | 
 organization that represents parents. | 
   (K) Two representatives recommended by collective  | 
 | 
 impact organizations that represent major metropolitan  | 
 areas or geographic areas in Illinois. | 
   (L) One member from a statewide organization  | 
 focused on research-based education policy to support  | 
 a school system that prepares all students for  | 
 college, a career, and democratic citizenship.  | 
   (M) One representative from a school district  | 
 organized under Article 34 of this Code.  | 
  The State Superintendent shall ensure that the  | 
 membership of the Panel includes representatives from  | 
 school districts and communities reflecting the  | 
 geographic, socio-economic, racial, and ethnic diversity  | 
 of this State. The State Superintendent shall additionally  | 
 ensure that the membership of the Panel includes  | 
 representatives with expertise in bilingual education and  | 
 special education. Staff from the State Board shall staff  | 
 the Panel.  | 
  (2) In addition to those Panel members appointed by  | 
 the State Superintendent, 4 members of the General  | 
 Assembly shall be appointed as follows: one member of the  | 
 House of Representatives appointed by the Speaker of the  | 
 House of Representatives, one member of the Senate  | 
 appointed by the President of the Senate, one member of  | 
 the House of Representatives appointed by the Minority  | 
 Leader of the House of Representatives, and one member of  | 
 the Senate appointed by the Minority Leader of the Senate.  | 
 | 
 There shall be one additional member appointed by the  | 
 Governor. All members appointed by legislative leaders or  | 
 the Governor shall be non-voting, ex officio members. | 
  (3) The Panel must study topics at the direction of  | 
 the General Assembly or State Board of Education, as  | 
 provided under paragraph (1). The Panel may also study the  | 
 following topics at the direction of the chairperson:  | 
   (A) The format and scope of annual spending plans  | 
 referenced in paragraph (9) of subsection (h) of this  | 
 Section. | 
   (B) The Comparable Wage Index under this Section. | 
   (C) Maintenance and operations, including capital  | 
 maintenance and construction costs. | 
   (D) "At-risk student" definition. | 
   (E) Benefits. | 
   (F) Technology. | 
   (G) Local Capacity Target. | 
   (H) Funding for Alternative Schools, Laboratory  | 
 Schools, safe schools, and alternative learning  | 
 opportunities programs. | 
   (I) Funding for college and career acceleration  | 
 strategies. | 
   (J) Special education investments.  | 
   (K) Early childhood investments, in collaboration  | 
 with the Illinois Early Learning Council. | 
  (4) (Blank).  | 
 | 
  (5) Within 5 years after the implementation of this  | 
 Section, and every 5 years thereafter, the Panel shall  | 
 complete an evaluative study of the entire Evidence-Based  | 
 Funding model, including an assessment of whether or not  | 
 the formula is achieving State goals. The Panel shall  | 
 report to the State Board, the General Assembly, and the  | 
 Governor on the findings of the study. | 
  (6) (Blank).  | 
  (7) To ensure that (i) the Adequacy Target calculation  | 
 under subsection (b) accurately reflects the needs of  | 
 students living in poverty or attending schools located in  | 
 areas of high poverty, (ii) racial equity within the  | 
 Evidence-Based Funding formula is explicitly explored and  | 
 advanced, and (iii) the funding goals of the formula  | 
 distribution system established under this Section are  | 
 sufficient to provide adequate funding for every student  | 
 and to fully fund every school in this State, the Panel  | 
 shall review the Essential Elements under paragraph (2) of  | 
 subsection (b). The Panel shall consider all of the  | 
 following in its review: | 
   (A) The financial ability of school districts to  | 
 provide instruction in a foreign language to every  | 
 student and whether an additional Essential Element  | 
 should be added to the formula to ensure that every  | 
 student has access to instruction in a foreign  | 
 language. | 
 | 
   (B) The adult-to-student ratio for each Essential  | 
 Element in which a ratio is identified. The Panel  | 
 shall consider whether the ratio accurately reflects  | 
 the staffing needed to support students living in  | 
 poverty or who have traumatic backgrounds. | 
   (C) Changes to the Essential Elements that may be  | 
 required to better promote racial equity and eliminate  | 
 structural racism within schools. | 
   (D) The impact of investing $350,000,000 in  | 
 additional funds each year under this Section and an  | 
 estimate of when the school system will become fully  | 
 funded under this level of appropriation. | 
   (E) Provide an overview of alternative funding  | 
 structures that would enable the State to become fully  | 
 funded at an earlier date. | 
   (F) The potential to increase efficiency and to  | 
 find cost savings within the school system to expedite  | 
 the journey to a fully funded system. | 
   (G) The appropriate levels for reenrolling and  | 
 graduating high-risk high school students who have  | 
 been previously out of school. These outcomes shall  | 
 include enrollment, attendance, skill gains, credit  | 
 gains, graduation or promotion to the next grade  | 
 level, and the transition to college, training, or  | 
 employment, with an emphasis on progressively  | 
 increasing the overall attendance. | 
 | 
   (H) The evidence-based or research-based practices  | 
 that are shown to reduce the gaps and disparities  | 
 experienced by African American students in academic  | 
 achievement and educational performance, including  | 
 practices that have been shown to reduce disparities  | 
 in disciplinary rates, drop-out rates, graduation  | 
 rates, college matriculation rates, and college  | 
 completion rates.  | 
  On or before December 31, 2021, the Panel shall report  | 
 to the State Board, the General Assembly, and the Governor  | 
 on the findings of its review. This paragraph (7) is  | 
 inoperative on and after July 1, 2022. | 
  (8) On or before April 1, 2024, the Panel must submit a  | 
 report to the General Assembly on annual adjustments to  | 
 Glenwood Academy's base-funding minimum in a similar  | 
 fashion to school districts under this Section.  | 
 (j) References. Beginning July 1, 2017, references in  | 
other laws to general State aid funds or calculations under  | 
Section 18-8.05 of this Code (now repealed) shall be deemed to  | 
be references to evidence-based model formula funds or  | 
calculations under this Section.  | 
(Source: P.A. 102-33, eff. 6-25-21; 102-197, eff. 7-30-21;  | 
102-558, eff. 8-20-21; 102-699, eff. 4-19-22; 102-782, eff.  | 
1-1-23; 102-813, eff. 5-13-22; 102-894, eff. 5-20-22; 103-8,  | 
eff. 6-7-23; 103-154, eff. 6-30-23; 103-175, eff. 6-30-23;  | 
revised 8-30-23.)
 | 
 | 
 (105 ILCS 5/19-6) (from Ch. 122, par. 19-6) | 
 Sec. 19-6. Bond money to school treasurer; delivery  | 
treasurer - Delivery of bonds; record; payment bonds - Record - | 
 Payment. All moneys borrowed under the authority of this  | 
Act, except money borrowed by school districts having a  | 
population of more than 500,000 inhabitants, shall be paid to  | 
the school treasurer of the district. The treasurer shall,  | 
before receiving any of the money, execute a bond with a surety  | 
company authorized to do business in this State, as surety,  | 
payable to the school board of the district in Class I county  | 
school units or township trustees in Class II county school  | 
units and conditioned upon the faithful discharge of his  | 
duties, except that the bond required of the school treasurer  | 
of a school district which is located in a Class II county  | 
school unit but which no longer is subject to the jurisdiction  | 
and authority of a township treasurer or trustees of schools  | 
of a township because the district has withdrawn from the  | 
jurisdiction and authority of the township treasurer and  | 
trustees of schools of the township or because those offices  | 
have been abolished as provided in subsection (b) or (c) of  | 
Section 5-1 shall be payable to the school board of such  | 
district and conditioned upon the faithful discharge of his  | 
duties. The bond shall be submitted for approval or rejection  | 
to the school board of the district or to the township trustees  | 
to which such bond is payable. The penalty of the bond or bonds  | 
 | 
shall be an amount no less than 10% of the amount of such bond  | 
issue, whether individuals act as surety or whether the surety  | 
is given by a surety company authorized to transact business  | 
in this State. The bond shall be in substantially the same form  | 
as that required by Section 8-2 of this Act and when so given  | 
shall fully describe the bond issue which it specifically  | 
covers and shall remain in force until the funds of the bond  | 
issue are taken into account in determining the penalty amount  | 
for the surety bond required by Section 8-2 of this Code. Upon  | 
receiving such moneys the treasurer shall deliver the bonds  | 
issued therefor to the persons entitled to receive them, and  | 
shall credit the funds received to the district issuing the  | 
bonds. The treasurer shall record the amount received for each  | 
bond issued. When any bonds are paid the treasurer shall  | 
cancel them and shall enter, against the record of the bonds,  | 
the words, "paid and cancelled the .... day of ...., 1 ....,"  | 
filling the blanks with the day, month, and year corresponding  | 
to the date of payment. | 
(Source: P.A. 103-49, eff. 6-9-23; revised 9-20-23.)
 | 
 (105 ILCS 5/21B-30) | 
 Sec. 21B-30. Educator testing. | 
 (a) (Blank). | 
 (b) The State Board of Education, in consultation with the  | 
State Educator Preparation and Licensure Board, shall design  | 
and implement a system of examinations, which shall be  | 
 | 
required prior to the issuance of educator licenses. These  | 
examinations and indicators must be based on national and  | 
State professional teaching standards, as determined by the  | 
State Board of Education, in consultation with the State  | 
Educator Preparation and Licensure Board. The State Board of  | 
Education may adopt such rules as may be necessary to  | 
implement and administer this Section. | 
 (c) (Blank). | 
 (c-5) The State Board must adopt rules to implement a  | 
paraprofessional competency test. This test would allow an  | 
applicant seeking an Educator License with Stipulations with a  | 
paraprofessional educator endorsement to obtain the  | 
endorsement if he or she passes the test and meets the other  | 
requirements of subparagraph (J) of paragraph (2) of Section  | 
21B-20 other than the higher education requirements.  | 
 (d) All applicants seeking a State license shall be  | 
required to pass a test of content area knowledge for each area  | 
of endorsement for which there is an applicable test. There  | 
shall be no exception to this requirement. No candidate shall  | 
be allowed to student teach or serve as the teacher of record  | 
until he or she has passed the applicable content area test. | 
 (d-5) The State Board shall consult with any applicable  | 
vendors within 90 days after July 28, 2023 (the effective date  | 
of Public Act 103-402) this amendatory Act of the 103rd  | 
General Assembly to develop a plan to transition the test of  | 
content area knowledge in the endorsement area of elementary  | 
 | 
education, grades one through 6, by July 1, 2026 to a content  | 
area test that contains testing elements that cover  | 
bilingualism, biliteracy, oral language development,  | 
foundational literacy skills, and developmentally appropriate  | 
higher-order comprehension and on which a valid and reliable  | 
language and literacy subscore can be determined. The State  | 
Board shall base its rules concerning the passing subscore on  | 
the language and literacy portion of the test on the  | 
recommended cut-score determined in the formal  | 
standard-setting process. Candidates need not achieve a  | 
particular subscore in the area of language and literacy. The  | 
State Board shall aggregate and publish the number of  | 
candidates in each preparation program who take the test and  | 
the number who pass the language and literacy portion. | 
 (e) (Blank). | 
 (f) Beginning on August 4, 2023 (the effective date of  | 
Public Act 103-488) this amendatory Act of the 103rd General  | 
Assembly through August 31, 2025, no candidate completing a  | 
teacher preparation program in this State or candidate subject  | 
to Section 21B-35 of this Code is required to pass a teacher  | 
performance assessment. Except as otherwise provided in this  | 
Article, beginning on September 1, 2015 until August 4, 2023  | 
(the effective date of Public Act 103-488) this amendatory Act  | 
of the 103rd General Assembly and beginning again on September  | 
1, 2025, all candidates completing teacher preparation  | 
programs in this State and all candidates subject to Section  | 
 | 
21B-35 of this Code are required to pass a teacher performance  | 
assessment approved by the State Board of Education, in  | 
consultation with the State Educator Preparation and Licensure  | 
Board. A candidate may not be required to submit test  | 
materials by video submission. Subject to appropriation, an  | 
individual who holds a Professional Educator License and is  | 
employed for a minimum of one school year by a school district  | 
designated as Tier 1 under Section 18-8.15 may, after  | 
application to the State Board, receive from the State Board a  | 
refund for any costs associated with completing the teacher  | 
performance assessment under this subsection.  | 
 (f-5) The Teacher Performance Assessment Task Force is  | 
created to evaluate potential performance-based and objective  | 
teacher performance assessment systems for implementation  | 
across all educator preparation programs in this State, with  | 
the intention of ensuring consistency across programs and  | 
supporting a thoughtful and well-rounded licensure system.  | 
Members appointed to the Task Force must reflect the racial,  | 
ethnic, and geographic diversity of this State. The Task Force  | 
shall consist of all of the following members: | 
  (1) One member of the Senate, appointed by the  | 
 President of the Senate. | 
  (2) One member of the Senate, appointed by the  | 
 Minority Leader of the Senate. | 
  (3) One member of the House of Representatives,  | 
 appointed by the Speaker of the House of Representatives. | 
 | 
  (4) One member of the House of Representatives,  | 
 appointed by the Minority Leader of the House of  | 
 Representatives. | 
  (5) One member who represents a statewide professional  | 
 teachers' organization, appointed by the State  | 
 Superintendent of Education. | 
  (6) One member who represents a different statewide  | 
 professional teachers' organization, appointed by the  | 
 State Superintendent of Education. | 
  (7) One member from a statewide organization  | 
 representing school principals, appointed by the State  | 
 Superintendent of Education. | 
  (8) One member from a statewide organization  | 
 representing regional superintendents of schools,  | 
 appointed by the State Superintendent of Education. | 
  (9) One member from a statewide organization  | 
 representing school administrators, appointed by the State  | 
 Superintendent of Education. | 
  (10) One member representing a school district  | 
 organized under Article 34 of this Code, appointed by the  | 
 State Superintendent of Education. | 
  (11) One member of an association representing rural  | 
 and small schools, appointed by the State Superintendent  | 
 of Education. | 
  (12) One member representing a suburban school  | 
 district, appointed by the State Superintendent of  | 
 | 
 Education. | 
  (13) One member from a statewide organization  | 
 representing school districts in the southern suburbs of  | 
 the City of Chicago, appointed by the State Superintendent  | 
 of Education. | 
  (14) One member from a statewide organization  | 
 representing large unit school districts, appointed by the  | 
 State Superintendent of Education. | 
  (15) One member from a statewide organization  | 
 representing school districts in the collar counties of  | 
 the City of Chicago, appointed by the State Superintendent  | 
 of Education. | 
  (16) Three members, each representing a different  | 
 public university in this State and each a current member  | 
 of the faculty of an approved educator preparation  | 
 program, appointed by the State Superintendent of  | 
 Education. | 
  (17) Three members, each representing a different  | 
 4-year nonpublic university or college in this State and  | 
 each a current member of the faculty of an approved  | 
 educator preparation program, appointed by the State  | 
 Superintendent of Education. | 
  (18) One member of the Board of Higher Education,  | 
 appointed by the State Superintendent of Education. | 
  (19) One member representing a statewide policy  | 
 organization advocating on behalf of multilingual students  | 
 | 
 and families, appointed by the State Superintendent of  | 
 Education. | 
  (20) One member representing a statewide organization  | 
 focused on research-based education policy to support a  | 
 school system that prepares all students for college, a  | 
 career, and democratic citizenship, appointed by the State  | 
 Superintendent of Education. | 
  (21) Two members representing an early childhood  | 
 advocacy organization, appointed by the State  | 
 Superintendent of Education. | 
  (22) One member representing a statewide organization  | 
 that partners with educator preparation programs and  | 
 school districts to support the growth and development of  | 
 preservice teachers, appointed by the State Superintendent  | 
 of Education.  | 
  (23) One member representing a statewide organization  | 
 that advocates for educational equity and racial justice  | 
 in schools, appointed by the State Superintendent of  | 
 Education. | 
  (24) One member representing a statewide organization  | 
 that represents school boards, appointed by the State  | 
 Superintendent of Education. | 
  (25) One member who has, within the last 5 years,  | 
 served as a cooperating teacher, appointed by the State  | 
 Superintendent of Education.  | 
 Members of the Task Force shall serve without  | 
 | 
compensation. The Task Force shall first meet at the call of  | 
the State Superintendent of Education, and each subsequent  | 
meeting shall be called by the chairperson of the Task Force,  | 
who shall be designated by the State Superintendent of  | 
Education. The State Board of Education shall provide  | 
administrative and other support to the Task Force. | 
 On or before August 1, 2024, the Task Force shall report on  | 
its work, including recommendations on a teacher performance  | 
assessment system in this State, to the State Board of  | 
Education and the General Assembly. The Task Force is  | 
dissolved upon submission of this report.  | 
 (g) The content area knowledge test and the teacher  | 
performance assessment shall be the tests that from time to  | 
time are designated by the State Board of Education, in  | 
consultation with the State Educator Preparation and Licensure  | 
Board, and may be tests prepared by an educational testing  | 
organization or tests designed by the State Board of  | 
Education, in consultation with the State Educator Preparation  | 
and Licensure Board. The test of content area knowledge shall  | 
assess content knowledge in a specific subject field. The  | 
tests must be designed to be racially neutral to ensure that no  | 
person taking the tests is discriminated against on the basis  | 
of race, color, national origin, or other factors unrelated to  | 
the person's ability to perform as a licensed employee. The  | 
score required to pass the tests shall be fixed by the State  | 
Board of Education, in consultation with the State Educator  | 
 | 
Preparation and Licensure Board. The tests shall be  | 
administered not fewer than 3 times a year at such time and  | 
place as may be designated by the State Board of Education, in  | 
consultation with the State Educator Preparation and Licensure  | 
Board.  | 
 The State Board shall implement a test or tests to assess  | 
the speaking, reading, writing, and grammar skills of  | 
applicants for an endorsement or a license issued under  | 
subdivision (G) of paragraph (2) of Section 21B-20 of this  | 
Code in the English language and in the language of the  | 
transitional bilingual education program requested by the  | 
applicant.  | 
 (h) Except as provided in Section 34-6 of this Code, the  | 
provisions of this Section shall apply equally in any school  | 
district subject to Article 34 of this Code. | 
 (i) The rules developed to implement and enforce the  | 
testing requirements under this Section shall include, without  | 
limitation, provisions governing test selection, test  | 
validation, and determination of a passing score,  | 
administration of the tests, frequency of administration,  | 
applicant fees, frequency of applicants taking the tests, the  | 
years for which a score is valid, and appropriate special  | 
accommodations. The State Board of Education shall develop  | 
such rules as may be needed to ensure uniformity from year to  | 
year in the level of difficulty for each form of an assessment. | 
(Source: P.A. 102-301, eff. 8-26-21; 103-402, eff. 7-28-23;  | 
 | 
103-488, eff. 8-4-23; revised 9-1-23.)
 | 
 (105 ILCS 5/21B-50) | 
 Sec. 21B-50. Alternative Educator Licensure Program for  | 
Teachers. | 
 (a) There is established an alternative educator licensure  | 
program, to be known as the Alternative Educator Licensure  | 
Program for Teachers. | 
 (b) The Alternative Educator Licensure Program for  | 
Teachers may be offered by a recognized institution approved  | 
to offer educator preparation programs by the State Board of  | 
Education, in consultation with the State Educator Preparation  | 
and Licensure Board. | 
 The program shall be comprised of up to 3 phases: | 
  (1) A course of study that at a minimum includes  | 
 instructional planning; instructional strategies,  | 
 including special education, reading, and English language  | 
 learning; classroom management; and the assessment of  | 
 students and use of data to drive instruction. | 
  (2) A year of residency, which is a candidate's  | 
 assignment to a full-time teaching position or as a  | 
 co-teacher for one full school year. An individual must  | 
 hold an Educator License with Stipulations with an  | 
 alternative provisional educator endorsement in order to  | 
 enter the residency. In residency, the candidate must: be  | 
 assigned an effective, fully licensed teacher by the  | 
 | 
 principal or principal equivalent to act as a mentor and  | 
 coach the candidate through residency, complete additional  | 
 program requirements that address required State and  | 
 national standards, pass the State Board's teacher  | 
 performance assessment, if required under Section 21B-30,  | 
 and be recommended by the principal or qualified  | 
 equivalent of a principal, as required under subsection  | 
 (d) of this Section, and the program coordinator to be  | 
 recommended for full licensure or to continue with a  | 
 second year of the residency. | 
  (3) (Blank). | 
  (4) A comprehensive assessment of the candidate's  | 
 teaching effectiveness, as evaluated by the principal or  | 
 qualified equivalent of a principal, as required under  | 
 subsection (d) of this Section, and the program  | 
 coordinator, at the end of either the first or the second  | 
 year of residency. If there is disagreement between the 2  | 
 evaluators about the candidate's teaching effectiveness at  | 
 the end of the first year of residency, a second year of  | 
 residency shall be required. If there is disagreement  | 
 between the 2 evaluators at the end of the second year of  | 
 residency, the candidate may complete one additional year  | 
 of residency teaching under a professional development  | 
 plan developed by the principal or qualified equivalent  | 
 and the preparation program. At the completion of the  | 
 third year, a candidate must have positive evaluations and  | 
 | 
 a recommendation for full licensure from both the  | 
 principal or qualified equivalent and the program  | 
 coordinator or no Professional Educator License shall be  | 
 issued. | 
 Successful completion of the program shall be deemed to  | 
satisfy any other practice or student teaching and content  | 
matter requirements established by law. | 
 (c) An alternative provisional educator endorsement on an  | 
Educator License with Stipulations is valid for up to 2 years  | 
of teaching in the public schools, including without  | 
limitation a preschool educational program under Section  | 
2-3.71 of this Code or charter school, or in a  | 
State-recognized nonpublic school in which the chief  | 
administrator is required to have the licensure necessary to  | 
be a principal in a public school in this State and in which a  | 
majority of the teachers are required to have the licensure  | 
necessary to be instructors in a public school in this State,  | 
but may be renewed for a third year if needed to complete the  | 
Alternative Educator Licensure Program for Teachers. The  | 
endorsement shall be issued only once to an individual who  | 
meets all of the following requirements: | 
  (1) Has graduated from a regionally accredited college  | 
 or university with a bachelor's degree or higher. | 
  (2) (Blank). | 
  (3) Has completed a major in the content area if  | 
 seeking a middle or secondary level endorsement or, if  | 
 | 
 seeking an early childhood, elementary, or special  | 
 education endorsement, has completed a major in the  | 
 content area of early childhood reading, English/language  | 
 arts, mathematics, or one of the sciences. If the  | 
 individual does not have a major in a content area for any  | 
 level of teaching, he or she must submit transcripts to  | 
 the State Board of Education to be reviewed for  | 
 equivalency. | 
  (4) Has successfully completed phase (1) of subsection  | 
 (b) of this Section. | 
  (5) Has passed a content area test required for the  | 
 specific endorsement for admission into the program, as  | 
 required under Section 21B-30 of this Code. | 
 A candidate possessing the alternative provisional  | 
educator endorsement may receive a salary, benefits, and any  | 
other terms of employment offered to teachers in the school  | 
who are members of an exclusive bargaining representative, if  | 
any, but a school is not required to provide these benefits  | 
during the years of residency if the candidate is serving only  | 
as a co-teacher. If the candidate is serving as the teacher of  | 
record, the candidate must receive a salary, benefits, and any  | 
other terms of employment. Residency experiences must not be  | 
counted towards tenure. | 
 (d) The recognized institution offering the Alternative  | 
Educator Licensure Program for Teachers must partner with a  | 
school district, including without limitation a preschool  | 
 | 
educational program under Section 2-3.71 of this Code or  | 
charter school, or a State-recognized, nonpublic school in  | 
this State in which the chief administrator is required to  | 
have the licensure necessary to be a principal in a public  | 
school in this State and in which a majority of the teachers  | 
are required to have the licensure necessary to be instructors  | 
in a public school in this State. A recognized institution  | 
that partners with a public school district administering a  | 
preschool educational program under Section 2-3.71 of this  | 
Code must require a principal to recommend or evaluate  | 
candidates in the program. A recognized institution that  | 
partners with an eligible entity administering a preschool  | 
educational program under Section 2-3.71 of this Code and that  | 
is not a public school district must require a principal or  | 
qualified equivalent of a principal to recommend or evaluate  | 
candidates in the program. The program presented for approval  | 
by the State Board of Education must demonstrate the supports  | 
that are to be provided to assist the provisional teacher  | 
during the one-year 1-year or 2-year residency period and if  | 
the residency period is to be less than 2 years in length,  | 
assurances from the partner school districts to provide  | 
intensive mentoring and supports through at least the end of  | 
the second full year of teaching for educators who completed  | 
the Alternative Educator Educators Licensure Program for  | 
Teachers in less than 2 years. These supports must, at a  | 
minimum, provide additional contact hours with mentors during  | 
 | 
the first year of residency. | 
 (e) Upon completion of phases under paragraphs (1), (2),  | 
(4), and, if needed, (3) in subsection (b) of this Section and  | 
all assessments required under Section 21B-30 of this Code, an  | 
individual shall receive a Professional Educator License. | 
 (f) The State Board of Education, in consultation with the  | 
State Educator Preparation and Licensure Board, may adopt such  | 
rules as may be necessary to establish and implement the  | 
Alternative Educator Licensure Program for Teachers. | 
(Source: P.A. 103-111, eff. 6-29-23; 103-488, eff. 8-4-23;  | 
revised 9-1-23.)
 | 
 (105 ILCS 5/21B-70) | 
 Sec. 21B-70. Illinois Teaching Excellence Program. | 
 (a) As used in this Section: | 
 "Diverse candidate" means a candidate who identifies with  | 
any of the ethnicities reported on the Illinois Report Card  | 
other than White.  | 
 "Hard-to-staff school" means a public school in which no  | 
less than 30% of the student enrollment is considered  | 
low-income as reported by the report card under Section 10-17a  | 
of this Code.  | 
 "National Board certified teacher candidate cohort  | 
facilitator" means a National Board certified teacher who  | 
collaborates to advance the goal of supporting all other  | 
candidate cohorts other than diverse candidate cohorts through  | 
 | 
the Illinois National Board for Professional Teaching  | 
Standards Comprehensive Support System.  | 
 "National Board certified teacher diverse candidate cohort  | 
facilitator" means a National Board certified teacher who  | 
collaborates to advance the goal of supporting racially and  | 
ethnically diverse candidates through the Illinois National  | 
Board for Professional Teaching Standards Comprehensive  | 
Support System. | 
 "National Board certified teacher diverse liaison" means  | 
an individual or entity that supports the National Board  | 
certified teacher leading a diverse candidate cohort. | 
 "National Board certified teacher liaison" means an  | 
individual or entity that supports the National Board  | 
certified teacher leading candidate cohorts other than diverse  | 
candidate cohorts.  | 
 "National Board certified teacher rural or remote or  | 
distant candidate cohort facilitator" means a National Board  | 
certified teacher who collaborates to advance the goal of  | 
supporting rural or remote candidates through the Illinois  | 
National Board for Professional Teaching Standards  | 
Comprehensive Support System.  | 
 "National Board certified teacher rural or remote or  | 
distant liaison" means an individual or entity that supports  | 
the National Board certified teacher leading a rural or remote  | 
candidate cohort.  | 
 "Qualified educator" means a teacher or school counselor  | 
 | 
currently employed in a school district who is in the process  | 
of obtaining certification through the National Board for  | 
Professional Teaching Standards or who has completed  | 
certification and holds a current Professional Educator  | 
License with a National Board for Professional Teaching  | 
Standards designation or a retired teacher or school counselor  | 
who holds a Professional Educator License with a National  | 
Board for Professional Teaching Standards designation. | 
 "Rural or remote" or "rural or remote or distant" means  | 
local codes 32, 33, 41, 42, and 43 of the New Urban-Centric  | 
Locale Codes, as defined by the National Center for Education  | 
Statistics.  | 
 "Tier 1" has the meaning given to that term under Section  | 
18-8.15.  | 
 "Tier 2" has the meaning given to that term under Section  | 
18-8.15.  | 
 (b) Any funds appropriated for the Illinois Teaching  | 
Excellence Program must be used to provide monetary assistance  | 
and incentives for qualified educators who are employed by or  | 
retired from school districts and who have or are in the  | 
process of obtaining licensure through the National Board for  | 
Professional Teaching Standards. The goal of the program is to  | 
improve instruction and student performance. | 
 The State Board of Education shall allocate an amount as  | 
annually appropriated by the General Assembly for the Illinois  | 
Teaching Excellence Program for (i) application or re-take  | 
 | 
fees for each qualified educator seeking to complete  | 
certification through the National Board for Professional  | 
Teaching Standards, to be paid directly to the National Board  | 
for Professional Teaching Standards, and (ii) incentives under  | 
paragraphs (1), (2), and (3) of subsection (c) for each  | 
qualified educator, to be distributed to the respective school  | 
district, and incentives under paragraph (5) of subsection  | 
(c), to be distributed to the respective school district or  | 
directly to the qualified educator. The school district shall  | 
distribute this payment to each eligible teacher or school  | 
counselor as a single payment. | 
 The State Board of Education's annual budget must set out  | 
by separate line item the appropriation for the program.  | 
Unless otherwise provided by appropriation, qualified  | 
educators are eligible for monetary assistance and incentives  | 
outlined in subsections (c) and (d) of this Section. | 
 (c) When there are adequate funds available, monetary  | 
assistance and incentives shall include the following: | 
  (1) A maximum of $2,000 toward towards the application  | 
 or re-take fee for teachers or school counselors in a Tier  | 
 1 school district who apply on a first-come, first-serve  | 
 basis for National Board certification. | 
  (2) A maximum of $2,000 toward towards the application  | 
 or re-take fee for teachers or school counselors in a  | 
 school district other than a Tier 1 school district who  | 
 apply on a first-come, first-serve basis for National  | 
 | 
 Board certification. | 
  (3) A maximum of $1,000 toward towards the National  | 
 Board for Professional Teaching Standards' renewal  | 
 application fee. | 
  (4) (Blank). | 
  (5) An annual incentive of no more than $2,250  | 
 prorated at $50 per hour, which shall be paid to each  | 
 qualified educator currently employed in a school district  | 
 who holds both a National Board for Professional Teaching  | 
 Standards designation and a current corresponding  | 
 certificate issued by the National Board for Professional  | 
 Teaching Standards and who agrees, in writing, to provide  | 
 up to 45 hours of mentoring or National Board for  | 
 Professional Teaching Standards professional development  | 
 or both during the school year to classroom teachers or  | 
 school counselors, as applicable. Funds must be disbursed  | 
 on a first-come, first-serve basis, with priority given to  | 
 Tier 1 school districts. Mentoring shall include, either  | 
 singly or in combination, the following: | 
   (A) National Board for Professional Teaching  | 
 Standards certification candidates. | 
   (B) National Board for Professional Teaching  | 
 Standards re-take candidates. | 
   (C) National Board for Professional Teaching  | 
 Standards renewal candidates. | 
   (D) (Blank). | 
 | 
 Funds may also be used for professional development  | 
training provided by the National Board Resource Center.  | 
 Funds may also be used for instructional leadership  | 
training for qualified educators interested in supporting  | 
implementation of the Illinois Learning Standards or teaching  | 
and learning priorities of the State Board of Education or  | 
both.  | 
 (d) In addition to the monetary assistance and incentives  | 
provided under subsection (c), if adequate funds are  | 
available, incentives shall include the following incentives  | 
for the program in rural or remote schools or school districts  | 
or for programs working with diverse candidates or for  | 
retention bonuses for hard-to-staff hard to staff schools, to  | 
be distributed to the respective school district or directly  | 
to the qualified educator or entity:  | 
  (1) A one-time incentive of $3,000 payable to National  | 
 Board certified teachers teaching in Tier 1 or Tier 2  | 
 rural or remote school districts or rural or remote  | 
 schools in Tier 1 or Tier 2 school districts, with  | 
 priority given to teachers teaching in Tier 1 rural or  | 
 remote school districts or rural or remote schools in Tier  | 
 1 school districts.  | 
  (2) An annual incentive of $3,200 for National Board  | 
 certified teacher rural or remote or distant candidate  | 
 cohort facilitators, diverse candidate cohort  | 
 facilitators, and candidate cohort facilitators. Priority  | 
 | 
 shall be given to rural or remote candidate cohort  | 
 facilitators and diverse candidate cohort facilitators.  | 
  (3) An annual incentive of $2,500 for National Board  | 
 certified teacher rural or remote or distant liaisons,  | 
 diverse liaisons, and liaisons. Priority shall be given to  | 
 rural or remote liaisons and diverse liaisons.  | 
  (4) An annual retention bonus of $4,000 per year for 2  | 
 consecutive years shall be awarded to National Board  | 
 certified teachers employed in hard-to-staff schools.  | 
 Funds must be disbursed on a first-come, first-served  | 
 basis. | 
(Source: P.A. 103-122, eff. 6-30-23; 103-207, eff. 1-1-24;  | 
revised 12-12-23.)
 | 
 (105 ILCS 5/22-30) | 
 (Text of Section before amendment by P.A. 103-542) | 
 Sec. 22-30. Self-administration and self-carry of asthma  | 
medication and epinephrine injectors; administration of  | 
undesignated epinephrine injectors; administration of an  | 
opioid antagonist; administration of undesignated asthma  | 
medication; supply of undesignated oxygen tanks; asthma  | 
episode emergency response protocol. | 
 (a) For the purpose of this Section only, the following  | 
terms shall have the meanings set forth below: | 
 "Asthma action plan" means a written plan developed with a  | 
pupil's medical provider to help control the pupil's asthma.  | 
 | 
The goal of an asthma action plan is to reduce or prevent  | 
flare-ups and emergency department visits through day-to-day  | 
management and to serve as a student-specific document to be  | 
referenced in the event of an asthma episode. | 
 "Asthma episode emergency response protocol" means a  | 
procedure to provide assistance to a pupil experiencing  | 
symptoms of wheezing, coughing, shortness of breath, chest  | 
tightness, or breathing difficulty. | 
 "Epinephrine injector" includes an auto-injector approved  | 
by the United States Food and Drug Administration for the  | 
administration of epinephrine and a pre-filled syringe  | 
approved by the United States Food and Drug Administration and  | 
used for the administration of epinephrine that contains a  | 
pre-measured dose of epinephrine that is equivalent to the  | 
dosages used in an auto-injector.  | 
 "Asthma medication" means quick-relief asthma medication,  | 
including albuterol or other short-acting bronchodilators,  | 
that is approved by the United States Food and Drug  | 
Administration for the treatment of respiratory distress.  | 
"Asthma medication" includes medication delivered through a  | 
device, including a metered dose inhaler with a reusable or  | 
disposable spacer or a nebulizer with a mouthpiece or mask. | 
 "Opioid antagonist" means a drug that binds to opioid  | 
receptors and blocks or inhibits the effect of opioids acting  | 
on those receptors, including, but not limited to, naloxone  | 
hydrochloride or any other similarly acting drug approved by  | 
 | 
the U.S. Food and Drug Administration.  | 
 "Respiratory distress" means the perceived or actual  | 
presence of wheezing, coughing, shortness of breath, chest  | 
tightness, breathing difficulty, or any other symptoms  | 
consistent with asthma. Respiratory distress may be  | 
categorized as "mild-to-moderate" or "severe".  | 
 "School nurse" means a registered nurse working in a  | 
school with or without licensure endorsed in school nursing.  | 
 "Self-administration" means a pupil's discretionary use of  | 
his or her prescribed asthma medication or epinephrine  | 
injector. | 
 "Self-carry" means a pupil's ability to carry his or her  | 
prescribed asthma medication or epinephrine injector. | 
 "Standing protocol" may be issued by (i) a physician  | 
licensed to practice medicine in all its branches, (ii) a  | 
licensed physician assistant with prescriptive authority, or  | 
(iii) a licensed advanced practice registered nurse with  | 
prescriptive authority.  | 
 "Trained personnel" means any school employee or volunteer  | 
personnel authorized in Sections 10-22.34, 10-22.34a, and  | 
10-22.34b of this Code who has completed training under  | 
subsection (g) of this Section to recognize and respond to  | 
anaphylaxis, an opioid overdose, or respiratory distress. | 
 "Undesignated asthma medication" means asthma medication  | 
prescribed in the name of a school district, public school,  | 
charter school, or nonpublic school. | 
 | 
 "Undesignated epinephrine injector" means an epinephrine  | 
injector prescribed in the name of a school district, public  | 
school, charter school, or nonpublic school.  | 
 (b) A school, whether public, charter, or nonpublic, must  | 
permit the self-administration and self-carry of asthma  | 
medication by a pupil with asthma or the self-administration  | 
and self-carry of an epinephrine injector by a pupil, provided  | 
that: | 
  (1) the parents or guardians of the pupil provide to  | 
 the school (i) written authorization from the parents or  | 
 guardians for (A) the self-administration and self-carry  | 
 of asthma medication or (B) the self-carry of asthma  | 
 medication or (ii) for (A) the self-administration and  | 
 self-carry of an epinephrine injector or (B) the  | 
 self-carry of an epinephrine injector, written  | 
 authorization from the pupil's physician, physician  | 
 assistant, or advanced practice registered nurse; and | 
  (2) the parents or guardians of the pupil provide to  | 
 the school (i) the prescription label, which must contain  | 
 the name of the asthma medication, the prescribed dosage,  | 
 and the time at which or circumstances under which the  | 
 asthma medication is to be administered, or (ii) for the  | 
 self-administration or self-carry of an epinephrine  | 
 injector, a written statement from the pupil's physician,  | 
 physician assistant, or advanced practice registered nurse  | 
 containing the following information: | 
 | 
   (A) the name and purpose of the epinephrine  | 
 injector; | 
   (B) the prescribed dosage; and | 
   (C) the time or times at which or the special  | 
 circumstances under which the epinephrine injector is  | 
 to be administered. | 
The information provided shall be kept on file in the office of  | 
the school nurse or, in the absence of a school nurse, the  | 
school's administrator. | 
 (b-5) A school district, public school, charter school, or  | 
nonpublic school may authorize the provision of a  | 
student-specific or undesignated epinephrine injector to a  | 
student or any personnel authorized under a student's  | 
Individual Health Care Action Plan, allergy emergency action  | 
plan, or plan pursuant to Section 504 of the federal  | 
Rehabilitation Act of 1973 to administer an epinephrine  | 
injector to the student, that meets the student's prescription  | 
on file. | 
 (b-10) The school district, public school, charter school,  | 
or nonpublic school may authorize a school nurse or trained  | 
personnel to do the following: (i) provide an undesignated  | 
epinephrine injector to a student for self-administration only  | 
or any personnel authorized under a student's Individual  | 
Health Care Action Plan, allergy emergency action plan, plan  | 
pursuant to Section 504 of the federal Rehabilitation Act of  | 
1973, or individualized education program plan to administer  | 
 | 
to the student that meets the student's prescription on file;  | 
(ii) administer an undesignated epinephrine injector that  | 
meets the prescription on file to any student who has an  | 
Individual Health Care Action Plan, allergy emergency action  | 
plan, plan pursuant to Section 504 of the federal  | 
Rehabilitation Act of 1973, or individualized education  | 
program plan that authorizes the use of an epinephrine  | 
injector; (iii) administer an undesignated epinephrine  | 
injector to any person that the school nurse or trained  | 
personnel in good faith believes is having an anaphylactic  | 
reaction; (iv) administer an opioid antagonist to any person  | 
that the school nurse or trained personnel in good faith  | 
believes is having an opioid overdose; (v) provide  | 
undesignated asthma medication to a student for  | 
self-administration only or to any personnel authorized under  | 
a student's Individual Health Care Action Plan or asthma  | 
action plan, plan pursuant to Section 504 of the federal  | 
Rehabilitation Act of 1973, or individualized education  | 
program plan to administer to the student that meets the  | 
student's prescription on file; (vi) administer undesignated  | 
asthma medication that meets the prescription on file to any  | 
student who has an Individual Health Care Action Plan or  | 
asthma action plan, plan pursuant to Section 504 of the  | 
federal Rehabilitation Act of 1973, or individualized  | 
education program plan that authorizes the use of asthma  | 
medication; and (vii) administer undesignated asthma  | 
 | 
medication to any person that the school nurse or trained  | 
personnel believes in good faith is having respiratory  | 
distress.  | 
 (c) The school district, public school, charter school, or  | 
nonpublic school must inform the parents or guardians of the  | 
pupil, in writing, that the school district, public school,  | 
charter school, or nonpublic school and its employees and  | 
agents, including a physician, physician assistant, or  | 
advanced practice registered nurse providing standing protocol  | 
and a prescription for school epinephrine injectors, an opioid  | 
antagonist, or undesignated asthma medication, are to incur no  | 
liability or professional discipline, except for willful and  | 
wanton conduct, as a result of any injury arising from the  | 
administration of asthma medication, an epinephrine injector,  | 
or an opioid antagonist regardless of whether authorization  | 
was given by the pupil's parents or guardians or by the pupil's  | 
physician, physician assistant, or advanced practice  | 
registered nurse. The parents or guardians of the pupil must  | 
sign a statement acknowledging that the school district,  | 
public school, charter school, or nonpublic school and its  | 
employees and agents are to incur no liability, except for  | 
willful and wanton conduct, as a result of any injury arising  | 
from the administration of asthma medication, an epinephrine  | 
injector, or an opioid antagonist regardless of whether  | 
authorization was given by the pupil's parents or guardians or  | 
by the pupil's physician, physician assistant, or advanced  | 
 | 
practice registered nurse and that the parents or guardians  | 
must indemnify and hold harmless the school district, public  | 
school, charter school, or nonpublic school and its employees  | 
and agents against any claims, except a claim based on willful  | 
and wanton conduct, arising out of the administration of  | 
asthma medication, an epinephrine injector, or an opioid  | 
antagonist regardless of whether authorization was given by  | 
the pupil's parents or guardians or by the pupil's physician,  | 
physician assistant, or advanced practice registered nurse. | 
 (c-5) When a school nurse or trained personnel administers  | 
an undesignated epinephrine injector to a person whom the  | 
school nurse or trained personnel in good faith believes is  | 
having an anaphylactic reaction, administers an opioid  | 
antagonist to a person whom the school nurse or trained  | 
personnel in good faith believes is having an opioid overdose,  | 
or administers undesignated asthma medication to a person whom  | 
the school nurse or trained personnel in good faith believes  | 
is having respiratory distress, notwithstanding the lack of  | 
notice to the parents or guardians of the pupil or the absence  | 
of the parents or guardians signed statement acknowledging no  | 
liability, except for willful and wanton conduct, the school  | 
district, public school, charter school, or nonpublic school  | 
and its employees and agents, and a physician, a physician  | 
assistant, or an advanced practice registered nurse providing  | 
standing protocol and a prescription for undesignated  | 
epinephrine injectors, an opioid antagonist, or undesignated  | 
 | 
asthma medication, are to incur no liability or professional  | 
discipline, except for willful and wanton conduct, as a result  | 
of any injury arising from the use of an undesignated  | 
epinephrine injector, the use of an opioid antagonist, or the  | 
use of undesignated asthma medication, regardless of whether  | 
authorization was given by the pupil's parents or guardians or  | 
by the pupil's physician, physician assistant, or advanced  | 
practice registered nurse. | 
 (d) The permission for self-administration and self-carry  | 
of asthma medication or the self-administration and self-carry  | 
of an epinephrine injector is effective for the school year  | 
for which it is granted and shall be renewed each subsequent  | 
school year upon fulfillment of the requirements of this  | 
Section. | 
 (e) Provided that the requirements of this Section are  | 
fulfilled, a pupil with asthma may self-administer and  | 
self-carry his or her asthma medication or a pupil may  | 
self-administer and self-carry an epinephrine injector (i)  | 
while in school, (ii) while at a school-sponsored activity,  | 
(iii) while under the supervision of school personnel, or (iv)  | 
before or after normal school activities, such as while in  | 
before-school or after-school care on school-operated property  | 
or while being transported on a school bus. | 
 (e-5) Provided that the requirements of this Section are  | 
fulfilled, a school nurse or trained personnel may administer  | 
an undesignated epinephrine injector to any person whom the  | 
 | 
school nurse or trained personnel in good faith believes to be  | 
having an anaphylactic reaction (i) while in school, (ii)  | 
while at a school-sponsored activity, (iii) while under the  | 
supervision of school personnel, or (iv) before or after  | 
normal school activities, such as while in before-school or  | 
after-school care on school-operated property or while being  | 
transported on a school bus. A school nurse or trained  | 
personnel may carry undesignated epinephrine injectors on his  | 
or her person while in school or at a school-sponsored  | 
activity.  | 
 (e-10) Provided that the requirements of this Section are  | 
fulfilled, a school nurse or trained personnel may administer  | 
an opioid antagonist to any person whom the school nurse or  | 
trained personnel in good faith believes to be having an  | 
opioid overdose (i) while in school, (ii) while at a  | 
school-sponsored activity, (iii) while under the supervision  | 
of school personnel, or (iv) before or after normal school  | 
activities, such as while in before-school or after-school  | 
care on school-operated property. A school nurse or trained  | 
personnel may carry an opioid antagonist on his or her person  | 
while in school or at a school-sponsored activity.  | 
 (e-15) If the requirements of this Section are met, a  | 
school nurse or trained personnel may administer undesignated  | 
asthma medication to any person whom the school nurse or  | 
trained personnel in good faith believes to be experiencing  | 
respiratory distress (i) while in school, (ii) while at a  | 
 | 
school-sponsored activity, (iii) while under the supervision  | 
of school personnel, or (iv) before or after normal school  | 
activities, including before-school or after-school care on  | 
school-operated property. A school nurse or trained personnel  | 
may carry undesignated asthma medication on his or her person  | 
while in school or at a school-sponsored activity.  | 
 (f) The school district, public school, charter school, or  | 
nonpublic school may maintain a supply of undesignated  | 
epinephrine injectors in any secure location that is  | 
accessible before, during, and after school where an allergic  | 
person is most at risk, including, but not limited to,  | 
classrooms and lunchrooms. A physician, a physician assistant  | 
who has prescriptive authority in accordance with Section 7.5  | 
of the Physician Assistant Practice Act of 1987, or an  | 
advanced practice registered nurse who has prescriptive  | 
authority in accordance with Section 65-40 of the Nurse  | 
Practice Act may prescribe undesignated epinephrine injectors  | 
in the name of the school district, public school, charter  | 
school, or nonpublic school to be maintained for use when  | 
necessary. Any supply of epinephrine injectors shall be  | 
maintained in accordance with the manufacturer's instructions. | 
 The school district, public school, charter school, or  | 
nonpublic school shall maintain a supply of an opioid  | 
antagonist in any secure location where an individual may have  | 
an opioid overdose, unless there is a shortage of opioid  | 
antagonists, in which case the school district, public school,  | 
 | 
charter school, or nonpublic school shall make a reasonable  | 
effort to maintain a supply of an opioid antagonist. Unless  | 
the school district, public school, charter school, or  | 
nonpublic school is able to obtain opioid antagonists without  | 
a prescription, a health care professional who has been  | 
delegated prescriptive authority for opioid antagonists in  | 
accordance with Section 5-23 of the Substance Use Disorder Act  | 
shall prescribe opioid antagonists in the name of the school  | 
district, public school, charter school, or nonpublic school,  | 
to be maintained for use when necessary. Any supply of opioid  | 
antagonists shall be maintained in accordance with the  | 
manufacturer's instructions.  | 
 The school district, public school, charter school, or  | 
nonpublic school may maintain a supply of asthma medication in  | 
any secure location that is accessible before, during, or  | 
after school where a person is most at risk, including, but not  | 
limited to, a classroom or the nurse's office. A physician, a  | 
physician assistant who has prescriptive authority under  | 
Section 7.5 of the Physician Assistant Practice Act of 1987,  | 
or an advanced practice registered nurse who has prescriptive  | 
authority under Section 65-40 of the Nurse Practice Act may  | 
prescribe undesignated asthma medication in the name of the  | 
school district, public school, charter school, or nonpublic  | 
school to be maintained for use when necessary. Any supply of  | 
undesignated asthma medication must be maintained in  | 
accordance with the manufacturer's instructions.  | 
 | 
 A school district that provides special educational  | 
facilities for children with disabilities under Section  | 
14-4.01 of this Code may maintain a supply of undesignated  | 
oxygen tanks in any secure location that is accessible before,  | 
during, and after school where a person with developmental  | 
disabilities is most at risk, including, but not limited to,  | 
classrooms and lunchrooms. A physician, a physician assistant  | 
who has prescriptive authority in accordance with Section 7.5  | 
of the Physician Assistant Practice Act of 1987, or an  | 
advanced practice registered nurse who has prescriptive  | 
authority in accordance with Section 65-40 of the Nurse  | 
Practice Act may prescribe undesignated oxygen tanks in the  | 
name of the school district that provides special educational  | 
facilities for children with disabilities under Section  | 
14-4.01 of this Code to be maintained for use when necessary.  | 
Any supply of oxygen tanks shall be maintained in accordance  | 
with the manufacturer's instructions and with the local fire  | 
department's rules.  | 
 (f-3) Whichever entity initiates the process of obtaining  | 
undesignated epinephrine injectors and providing training to  | 
personnel for carrying and administering undesignated  | 
epinephrine injectors shall pay for the costs of the  | 
undesignated epinephrine injectors. | 
 (f-5) Upon any administration of an epinephrine injector,  | 
a school district, public school, charter school, or nonpublic  | 
school must immediately activate the EMS system and notify the  | 
 | 
student's parent, guardian, or emergency contact, if known. | 
 Upon any administration of an opioid antagonist, a school  | 
district, public school, charter school, or nonpublic school  | 
must immediately activate the EMS system and notify the  | 
student's parent, guardian, or emergency contact, if known.  | 
 (f-10) Within 24 hours of the administration of an  | 
undesignated epinephrine injector, a school district, public  | 
school, charter school, or nonpublic school must notify the  | 
physician, physician assistant, or advanced practice  | 
registered nurse who provided the standing protocol and a  | 
prescription for the undesignated epinephrine injector of its  | 
use.  | 
 Within 24 hours after the administration of an opioid  | 
antagonist, a school district, public school, charter school,  | 
or nonpublic school must notify the health care professional  | 
who provided the prescription for the opioid antagonist of its  | 
use.  | 
 Within 24 hours after the administration of undesignated  | 
asthma medication, a school district, public school, charter  | 
school, or nonpublic school must notify the student's parent  | 
or guardian or emergency contact, if known, and the physician,  | 
physician assistant, or advanced practice registered nurse who  | 
provided the standing protocol and a prescription for the  | 
undesignated asthma medication of its use. The district or  | 
school must follow up with the school nurse, if available, and  | 
may, with the consent of the child's parent or guardian,  | 
 | 
notify the child's health care provider of record, as  | 
determined under this Section, of its use.  | 
 (g) Prior to the administration of an undesignated  | 
epinephrine injector, trained personnel must submit to the  | 
school's administration proof of completion of a training  | 
curriculum to recognize and respond to anaphylaxis that meets  | 
the requirements of subsection (h) of this Section. Training  | 
must be completed annually. The school district, public  | 
school, charter school, or nonpublic school must maintain  | 
records related to the training curriculum and trained  | 
personnel. | 
 Prior to the administration of an opioid antagonist,  | 
trained personnel must submit to the school's administration  | 
proof of completion of a training curriculum to recognize and  | 
respond to an opioid overdose, which curriculum must meet the  | 
requirements of subsection (h-5) of this Section. The school  | 
district, public school, charter school, or nonpublic school  | 
must maintain records relating to the training curriculum and  | 
the trained personnel.  | 
 Prior to the administration of undesignated asthma  | 
medication, trained personnel must submit to the school's  | 
administration proof of completion of a training curriculum to  | 
recognize and respond to respiratory distress, which must meet  | 
the requirements of subsection (h-10) of this Section.  | 
Training must be completed annually, and the school district,  | 
public school, charter school, or nonpublic school must  | 
 | 
maintain records relating to the training curriculum and the  | 
trained personnel.  | 
 (h) A training curriculum to recognize and respond to  | 
anaphylaxis, including the administration of an undesignated  | 
epinephrine injector, may be conducted online or in person. | 
 Training shall include, but is not limited to: | 
  (1) how to recognize signs and symptoms of an allergic  | 
 reaction, including anaphylaxis; | 
  (2) how to administer an epinephrine injector; and | 
  (3) a test demonstrating competency of the knowledge  | 
 required to recognize anaphylaxis and administer an  | 
 epinephrine injector. | 
 Training may also include, but is not limited to: | 
  (A) a review of high-risk areas within a school and  | 
 its related facilities; | 
  (B) steps to take to prevent exposure to allergens; | 
  (C) emergency follow-up procedures, including the  | 
 importance of calling 9-1-1 or, if 9-1-1 is not available,  | 
 other local emergency medical services; | 
  (D) how to respond to a student with a known allergy,  | 
 as well as a student with a previously unknown allergy; | 
  (E) other criteria as determined in rules adopted  | 
 pursuant to this Section; and | 
  (F) any policy developed by the State Board of  | 
 Education under Section 2-3.190. | 
 In consultation with statewide professional organizations  | 
 | 
representing physicians licensed to practice medicine in all  | 
of its branches, registered nurses, and school nurses, the  | 
State Board of Education shall make available resource  | 
materials consistent with criteria in this subsection (h) for  | 
educating trained personnel to recognize and respond to  | 
anaphylaxis. The State Board may take into consideration the  | 
curriculum on this subject developed by other states, as well  | 
as any other curricular materials suggested by medical experts  | 
and other groups that work on life-threatening allergy issues.  | 
The State Board is not required to create new resource  | 
materials. The State Board shall make these resource materials  | 
available on its Internet website. | 
 (h-5) A training curriculum to recognize and respond to an  | 
opioid overdose, including the administration of an opioid  | 
antagonist, may be conducted online or in person. The training  | 
must comply with any training requirements under Section 5-23  | 
of the Substance Use Disorder Act and the corresponding rules.  | 
It must include, but is not limited to: | 
  (1) how to recognize symptoms of an opioid overdose; | 
  (2) information on drug overdose prevention and  | 
 recognition; | 
  (3) how to perform rescue breathing and resuscitation; | 
  (4) how to respond to an emergency involving an opioid  | 
 overdose; | 
  (5) opioid antagonist dosage and administration; | 
  (6) the importance of calling 9-1-1 or, if 9-1-1 is  | 
 | 
 not available, other local emergency medical services; | 
  (7) care for the overdose victim after administration  | 
 of the overdose antagonist; | 
  (8) a test demonstrating competency of the knowledge  | 
 required to recognize an opioid overdose and administer a  | 
 dose of an opioid antagonist; and | 
  (9) other criteria as determined in rules adopted  | 
 pursuant to this Section.  | 
 (h-10) A training curriculum to recognize and respond to  | 
respiratory distress, including the administration of  | 
undesignated asthma medication, may be conducted online or in  | 
person. The training must include, but is not limited to: | 
  (1) how to recognize symptoms of respiratory distress  | 
 and how to distinguish respiratory distress from  | 
 anaphylaxis; | 
  (2) how to respond to an emergency involving  | 
 respiratory distress; | 
  (3) asthma medication dosage and administration; | 
  (4) the importance of calling 9-1-1 or, if 9-1-1 is  | 
 not available, other local emergency medical services; | 
  (5) a test demonstrating competency of the knowledge  | 
 required to recognize respiratory distress and administer  | 
 asthma medication; and | 
  (6) other criteria as determined in rules adopted  | 
 under this Section.  | 
 (i) Within 3 days after the administration of an  | 
 | 
undesignated epinephrine injector by a school nurse, trained  | 
personnel, or a student at a school or school-sponsored  | 
activity, the school must report to the State Board of  | 
Education in a form and manner prescribed by the State Board  | 
the following information: | 
  (1) age and type of person receiving epinephrine  | 
 (student, staff, visitor); | 
  (2) any previously known diagnosis of a severe  | 
 allergy; | 
  (3) trigger that precipitated allergic episode; | 
  (4) location where symptoms developed; | 
  (5) number of doses administered; | 
  (6) type of person administering epinephrine (school  | 
 nurse, trained personnel, student); and | 
  (7) any other information required by the State Board. | 
 If a school district, public school, charter school, or  | 
nonpublic school maintains or has an independent contractor  | 
providing transportation to students who maintains a supply of  | 
undesignated epinephrine injectors, then the school district,  | 
public school, charter school, or nonpublic school must report  | 
that information to the State Board of Education upon adoption  | 
or change of the policy of the school district, public school,  | 
charter school, nonpublic school, or independent contractor,  | 
in a manner as prescribed by the State Board. The report must  | 
include the number of undesignated epinephrine injectors in  | 
supply. | 
 | 
 (i-5) Within 3 days after the administration of an opioid  | 
antagonist by a school nurse or trained personnel, the school  | 
must report to the State Board of Education, in a form and  | 
manner prescribed by the State Board, the following  | 
information: | 
  (1) the age and type of person receiving the opioid  | 
 antagonist (student, staff, or visitor); | 
  (2) the location where symptoms developed; | 
  (3) the type of person administering the opioid  | 
 antagonist (school nurse or trained personnel); and | 
  (4) any other information required by the State Board.  | 
 (i-10) Within 3 days after the administration of  | 
undesignated asthma medication by a school nurse, trained  | 
personnel, or a student at a school or school-sponsored  | 
activity, the school must report to the State Board of  | 
Education, on a form and in a manner prescribed by the State  | 
Board of Education, the following information: | 
  (1) the age and type of person receiving the asthma  | 
 medication (student, staff, or visitor); | 
  (2) any previously known diagnosis of asthma for the  | 
 person; | 
  (3) the trigger that precipitated respiratory  | 
 distress, if identifiable; | 
  (4) the location of where the symptoms developed; | 
  (5) the number of doses administered; | 
  (6) the type of person administering the asthma  | 
 | 
 medication (school nurse, trained personnel, or student); | 
  (7) the outcome of the asthma medication  | 
 administration; and | 
  (8) any other information required by the State Board.  | 
 (j) By October 1, 2015 and every year thereafter, the  | 
State Board of Education shall submit a report to the General  | 
Assembly identifying the frequency and circumstances of  | 
undesignated epinephrine and undesignated asthma medication  | 
administration during the preceding academic year. Beginning  | 
with the 2017 report, the report shall also contain  | 
information on which school districts, public schools, charter  | 
schools, and nonpublic schools maintain or have independent  | 
contractors providing transportation to students who maintain  | 
a supply of undesignated epinephrine injectors. This report  | 
shall be published on the State Board's Internet website on  | 
the date the report is delivered to the General Assembly. | 
 (j-5) Annually, each school district, public school,  | 
charter school, or nonpublic school shall request an asthma  | 
action plan from the parents or guardians of a pupil with  | 
asthma. If provided, the asthma action plan must be kept on  | 
file in the office of the school nurse or, in the absence of a  | 
school nurse, the school administrator. Copies of the asthma  | 
action plan may be distributed to appropriate school staff who  | 
interact with the pupil on a regular basis, and, if  | 
applicable, may be attached to the pupil's federal Section 504  | 
plan or individualized education program plan. | 
 | 
 (j-10) To assist schools with emergency response  | 
procedures for asthma, the State Board of Education, in  | 
consultation with statewide professional organizations with  | 
expertise in asthma management and a statewide organization  | 
representing school administrators, shall develop a model  | 
asthma episode emergency response protocol before September 1,  | 
2016. Each school district, charter school, and nonpublic  | 
school shall adopt an asthma episode emergency response  | 
protocol before January 1, 2017 that includes all of the  | 
components of the State Board's model protocol. | 
 (j-15) Every 2 years, school personnel who work with  | 
pupils shall complete an in-person or online training program  | 
on the management of asthma, the prevention of asthma  | 
symptoms, and emergency response in the school setting. In  | 
consultation with statewide professional organizations with  | 
expertise in asthma management, the State Board of Education  | 
shall make available resource materials for educating school  | 
personnel about asthma and emergency response in the school  | 
setting. | 
 (j-20) On or before October 1, 2016 and every year  | 
thereafter, the State Board of Education shall submit a report  | 
to the General Assembly and the Department of Public Health  | 
identifying the frequency and circumstances of opioid  | 
antagonist administration during the preceding academic year.  | 
This report shall be published on the State Board's Internet  | 
website on the date the report is delivered to the General  | 
 | 
Assembly.  | 
 (k) The State Board of Education may adopt rules necessary  | 
to implement this Section.  | 
 (l) Nothing in this Section shall limit the amount of  | 
epinephrine injectors that any type of school or student may  | 
carry or maintain a supply of. | 
(Source: P.A. 102-413, eff. 8-20-21; 102-813, eff. 5-13-22;  | 
103-175, eff. 6-30-23; 103-196, eff. 1-1-24; 103-348, eff.  | 
1-1-24; revised 11-27-23.)
 | 
 (Text of Section after amendment by P.A. 103-542) | 
 Sec. 22-30. Self-administration and self-carry of asthma  | 
medication and epinephrine injectors; administration of  | 
undesignated epinephrine injectors; administration of an  | 
opioid antagonist; administration of undesignated asthma  | 
medication; supply of undesignated oxygen tanks; asthma  | 
episode emergency response protocol. | 
 (a) For the purpose of this Section only, the following  | 
terms shall have the meanings set forth below: | 
 "Asthma action plan" means a written plan developed with a  | 
pupil's medical provider to help control the pupil's asthma.  | 
The goal of an asthma action plan is to reduce or prevent  | 
flare-ups and emergency department visits through day-to-day  | 
management and to serve as a student-specific document to be  | 
referenced in the event of an asthma episode. | 
 "Asthma episode emergency response protocol" means a  | 
 | 
procedure to provide assistance to a pupil experiencing  | 
symptoms of wheezing, coughing, shortness of breath, chest  | 
tightness, or breathing difficulty. | 
 "Epinephrine injector" includes an auto-injector approved  | 
by the United States Food and Drug Administration for the  | 
administration of epinephrine and a pre-filled syringe  | 
approved by the United States Food and Drug Administration and  | 
used for the administration of epinephrine that contains a  | 
pre-measured dose of epinephrine that is equivalent to the  | 
dosages used in an auto-injector.  | 
 "Asthma medication" means quick-relief asthma medication,  | 
including albuterol or other short-acting bronchodilators,  | 
that is approved by the United States Food and Drug  | 
Administration for the treatment of respiratory distress.  | 
"Asthma medication" includes medication delivered through a  | 
device, including a metered dose inhaler with a reusable or  | 
disposable spacer or a nebulizer with a mouthpiece or mask. | 
 "Opioid antagonist" means a drug that binds to opioid  | 
receptors and blocks or inhibits the effect of opioids acting  | 
on those receptors, including, but not limited to, naloxone  | 
hydrochloride or any other similarly acting drug approved by  | 
the U.S. Food and Drug Administration.  | 
 "Respiratory distress" means the perceived or actual  | 
presence of wheezing, coughing, shortness of breath, chest  | 
tightness, breathing difficulty, or any other symptoms  | 
consistent with asthma. Respiratory distress may be  | 
 | 
categorized as "mild-to-moderate" or "severe".  | 
 "School nurse" means a registered nurse working in a  | 
school with or without licensure endorsed in school nursing.  | 
 "Self-administration" means a pupil's discretionary use of  | 
his or her prescribed asthma medication or epinephrine  | 
injector. | 
 "Self-carry" means a pupil's ability to carry his or her  | 
prescribed asthma medication or epinephrine injector. | 
 "Standing protocol" may be issued by (i) a physician  | 
licensed to practice medicine in all its branches, (ii) a  | 
licensed physician assistant with prescriptive authority, or  | 
(iii) a licensed advanced practice registered nurse with  | 
prescriptive authority.  | 
 "Trained personnel" means any school employee or volunteer  | 
personnel authorized in Sections 10-22.34, 10-22.34a, and  | 
10-22.34b of this Code who has completed training under  | 
subsection (g) of this Section to recognize and respond to  | 
anaphylaxis, an opioid overdose, or respiratory distress. | 
 "Undesignated asthma medication" means asthma medication  | 
prescribed in the name of a school district, public school,  | 
charter school, or nonpublic school. | 
 "Undesignated epinephrine injector" means an epinephrine  | 
injector prescribed in the name of a school district, public  | 
school, charter school, or nonpublic school.  | 
 (b) A school, whether public, charter, or nonpublic, must  | 
permit the self-administration and self-carry of asthma  | 
 | 
medication by a pupil with asthma or the self-administration  | 
and self-carry of an epinephrine injector by a pupil, provided  | 
that: | 
  (1) the parents or guardians of the pupil provide to  | 
 the school (i) written authorization from the parents or  | 
 guardians for (A) the self-administration and self-carry  | 
 of asthma medication or (B) the self-carry of asthma  | 
 medication or (ii) for (A) the self-administration and  | 
 self-carry of an epinephrine injector or (B) the  | 
 self-carry of an epinephrine injector, written  | 
 authorization from the pupil's physician, physician  | 
 assistant, or advanced practice registered nurse; and | 
  (2) the parents or guardians of the pupil provide to  | 
 the school (i) the prescription label, which must contain  | 
 the name of the asthma medication, the prescribed dosage,  | 
 and the time at which or circumstances under which the  | 
 asthma medication is to be administered, or (ii) for the  | 
 self-administration or self-carry of an epinephrine  | 
 injector, a written statement from the pupil's physician,  | 
 physician assistant, or advanced practice registered nurse  | 
 containing the following information: | 
   (A) the name and purpose of the epinephrine  | 
 injector; | 
   (B) the prescribed dosage; and | 
   (C) the time or times at which or the special  | 
 circumstances under which the epinephrine injector is  | 
 | 
 to be administered. | 
The information provided shall be kept on file in the office of  | 
the school nurse or, in the absence of a school nurse, the  | 
school's administrator. | 
 (b-5) A school district, public school, charter school, or  | 
nonpublic school may authorize the provision of a  | 
student-specific or undesignated epinephrine injector to a  | 
student or any personnel authorized under a student's  | 
Individual Health Care Action Plan, allergy emergency action  | 
plan, or plan pursuant to Section 504 of the federal  | 
Rehabilitation Act of 1973 to administer an epinephrine  | 
injector to the student, that meets the student's prescription  | 
on file. | 
 (b-10) The school district, public school, charter school,  | 
or nonpublic school may authorize a school nurse or trained  | 
personnel to do the following: (i) provide an undesignated  | 
epinephrine injector to a student for self-administration only  | 
or any personnel authorized under a student's Individual  | 
Health Care Action Plan, allergy emergency action plan, plan  | 
pursuant to Section 504 of the federal Rehabilitation Act of  | 
1973, or individualized education program plan to administer  | 
to the student that meets the student's prescription on file;  | 
(ii) administer an undesignated epinephrine injector that  | 
meets the prescription on file to any student who has an  | 
Individual Health Care Action Plan, allergy emergency action  | 
plan, plan pursuant to Section 504 of the federal  | 
 | 
Rehabilitation Act of 1973, or individualized education  | 
program plan that authorizes the use of an epinephrine  | 
injector; (iii) administer an undesignated epinephrine  | 
injector to any person that the school nurse or trained  | 
personnel in good faith believes is having an anaphylactic  | 
reaction; (iv) administer an opioid antagonist to any person  | 
that the school nurse or trained personnel in good faith  | 
believes is having an opioid overdose; (v) provide  | 
undesignated asthma medication to a student for  | 
self-administration only or to any personnel authorized under  | 
a student's Individual Health Care Action Plan or asthma  | 
action plan, plan pursuant to Section 504 of the federal  | 
Rehabilitation Act of 1973, or individualized education  | 
program plan to administer to the student that meets the  | 
student's prescription on file; (vi) administer undesignated  | 
asthma medication that meets the prescription on file to any  | 
student who has an Individual Health Care Action Plan or  | 
asthma action plan, plan pursuant to Section 504 of the  | 
federal Rehabilitation Act of 1973, or individualized  | 
education program plan that authorizes the use of asthma  | 
medication; and (vii) administer undesignated asthma  | 
medication to any person that the school nurse or trained  | 
personnel believes in good faith is having respiratory  | 
distress.  | 
 (c) The school district, public school, charter school, or  | 
nonpublic school must inform the parents or guardians of the  | 
 | 
pupil, in writing, that the school district, public school,  | 
charter school, or nonpublic school and its employees and  | 
agents, including a physician, physician assistant, or  | 
advanced practice registered nurse providing standing protocol  | 
and a prescription for school epinephrine injectors, an opioid  | 
antagonist, or undesignated asthma medication, are to incur no  | 
liability or professional discipline, except for willful and  | 
wanton conduct, as a result of any injury arising from the  | 
administration of asthma medication, an epinephrine injector,  | 
or an opioid antagonist regardless of whether authorization  | 
was given by the pupil's parents or guardians or by the pupil's  | 
physician, physician assistant, or advanced practice  | 
registered nurse. The parents or guardians of the pupil must  | 
sign a statement acknowledging that the school district,  | 
public school, charter school, or nonpublic school and its  | 
employees and agents are to incur no liability, except for  | 
willful and wanton conduct, as a result of any injury arising  | 
from the administration of asthma medication, an epinephrine  | 
injector, or an opioid antagonist regardless of whether  | 
authorization was given by the pupil's parents or guardians or  | 
by the pupil's physician, physician assistant, or advanced  | 
practice registered nurse and that the parents or guardians  | 
must indemnify and hold harmless the school district, public  | 
school, charter school, or nonpublic school and its employees  | 
and agents against any claims, except a claim based on willful  | 
and wanton conduct, arising out of the administration of  | 
 | 
asthma medication, an epinephrine injector, or an opioid  | 
antagonist regardless of whether authorization was given by  | 
the pupil's parents or guardians or by the pupil's physician,  | 
physician assistant, or advanced practice registered nurse. | 
 (c-5) When a school nurse or trained personnel administers  | 
an undesignated epinephrine injector to a person whom the  | 
school nurse or trained personnel in good faith believes is  | 
having an anaphylactic reaction, administers an opioid  | 
antagonist to a person whom the school nurse or trained  | 
personnel in good faith believes is having an opioid overdose,  | 
or administers undesignated asthma medication to a person whom  | 
the school nurse or trained personnel in good faith believes  | 
is having respiratory distress, notwithstanding the lack of  | 
notice to the parents or guardians of the pupil or the absence  | 
of the parents or guardians signed statement acknowledging no  | 
liability, except for willful and wanton conduct, the school  | 
district, public school, charter school, or nonpublic school  | 
and its employees and agents, and a physician, a physician  | 
assistant, or an advanced practice registered nurse providing  | 
standing protocol and a prescription for undesignated  | 
epinephrine injectors, an opioid antagonist, or undesignated  | 
asthma medication, are to incur no liability or professional  | 
discipline, except for willful and wanton conduct, as a result  | 
of any injury arising from the use of an undesignated  | 
epinephrine injector, the use of an opioid antagonist, or the  | 
use of undesignated asthma medication, regardless of whether  | 
 | 
authorization was given by the pupil's parents or guardians or  | 
by the pupil's physician, physician assistant, or advanced  | 
practice registered nurse. | 
 (d) The permission for self-administration and self-carry  | 
of asthma medication or the self-administration and self-carry  | 
of an epinephrine injector is effective for the school year  | 
for which it is granted and shall be renewed each subsequent  | 
school year upon fulfillment of the requirements of this  | 
Section. | 
 (e) Provided that the requirements of this Section are  | 
fulfilled, a pupil with asthma may self-administer and  | 
self-carry his or her asthma medication or a pupil may  | 
self-administer and self-carry an epinephrine injector (i)  | 
while in school, (ii) while at a school-sponsored activity,  | 
(iii) while under the supervision of school personnel, or (iv)  | 
before or after normal school activities, such as while in  | 
before-school or after-school care on school-operated property  | 
or while being transported on a school bus. | 
 (e-5) Provided that the requirements of this Section are  | 
fulfilled, a school nurse or trained personnel may administer  | 
an undesignated epinephrine injector to any person whom the  | 
school nurse or trained personnel in good faith believes to be  | 
having an anaphylactic reaction (i) while in school, (ii)  | 
while at a school-sponsored activity, (iii) while under the  | 
supervision of school personnel, or (iv) before or after  | 
normal school activities, such as while in before-school or  | 
 | 
after-school care on school-operated property or while being  | 
transported on a school bus. A school nurse or trained  | 
personnel may carry undesignated epinephrine injectors on his  | 
or her person while in school or at a school-sponsored  | 
activity.  | 
 (e-10) Provided that the requirements of this Section are  | 
fulfilled, a school nurse or trained personnel may administer  | 
an opioid antagonist to any person whom the school nurse or  | 
trained personnel in good faith believes to be having an  | 
opioid overdose (i) while in school, (ii) while at a  | 
school-sponsored activity, (iii) while under the supervision  | 
of school personnel, or (iv) before or after normal school  | 
activities, such as while in before-school or after-school  | 
care on school-operated property. A school nurse or trained  | 
personnel may carry an opioid antagonist on his or her person  | 
while in school or at a school-sponsored activity.  | 
 (e-15) If the requirements of this Section are met, a  | 
school nurse or trained personnel may administer undesignated  | 
asthma medication to any person whom the school nurse or  | 
trained personnel in good faith believes to be experiencing  | 
respiratory distress (i) while in school, (ii) while at a  | 
school-sponsored activity, (iii) while under the supervision  | 
of school personnel, or (iv) before or after normal school  | 
activities, including before-school or after-school care on  | 
school-operated property. A school nurse or trained personnel  | 
may carry undesignated asthma medication on his or her person  | 
 | 
while in school or at a school-sponsored activity.  | 
 (f) The school district, public school, charter school, or  | 
nonpublic school may maintain a supply of undesignated  | 
epinephrine injectors in any secure location that is  | 
accessible before, during, and after school where an allergic  | 
person is most at risk, including, but not limited to,  | 
classrooms and lunchrooms. A physician, a physician assistant  | 
who has prescriptive authority in accordance with Section 7.5  | 
of the Physician Assistant Practice Act of 1987, or an  | 
advanced practice registered nurse who has prescriptive  | 
authority in accordance with Section 65-40 of the Nurse  | 
Practice Act may prescribe undesignated epinephrine injectors  | 
in the name of the school district, public school, charter  | 
school, or nonpublic school to be maintained for use when  | 
necessary. Any supply of epinephrine injectors shall be  | 
maintained in accordance with the manufacturer's instructions. | 
 The school district, public school, charter school, or  | 
nonpublic school shall maintain a supply of an opioid  | 
antagonist in any secure location where an individual may have  | 
an opioid overdose, unless there is a shortage of opioid  | 
antagonists, in which case the school district, public school,  | 
charter school, or nonpublic school shall make a reasonable  | 
effort to maintain a supply of an opioid antagonist. Unless  | 
the school district, public school, charter school, or  | 
nonpublic school is able to obtain opioid antagonists without  | 
a prescription, a health care professional who has been  | 
 | 
delegated prescriptive authority for opioid antagonists in  | 
accordance with Section 5-23 of the Substance Use Disorder Act  | 
shall prescribe opioid antagonists in the name of the school  | 
district, public school, charter school, or nonpublic school,  | 
to be maintained for use when necessary. Any supply of opioid  | 
antagonists shall be maintained in accordance with the  | 
manufacturer's instructions.  | 
 The school district, public school, charter school, or  | 
nonpublic school may maintain a supply of asthma medication in  | 
any secure location that is accessible before, during, or  | 
after school where a person is most at risk, including, but not  | 
limited to, a classroom or the nurse's office. A physician, a  | 
physician assistant who has prescriptive authority under  | 
Section 7.5 of the Physician Assistant Practice Act of 1987,  | 
or an advanced practice registered nurse who has prescriptive  | 
authority under Section 65-40 of the Nurse Practice Act may  | 
prescribe undesignated asthma medication in the name of the  | 
school district, public school, charter school, or nonpublic  | 
school to be maintained for use when necessary. Any supply of  | 
undesignated asthma medication must be maintained in  | 
accordance with the manufacturer's instructions.  | 
 A school district that provides special educational  | 
facilities for children with disabilities under Section  | 
14-4.01 of this Code may maintain a supply of undesignated  | 
oxygen tanks in any secure location that is accessible before,  | 
during, and after school where a person with developmental  | 
 | 
disabilities is most at risk, including, but not limited to,  | 
classrooms and lunchrooms. A physician, a physician assistant  | 
who has prescriptive authority in accordance with Section 7.5  | 
of the Physician Assistant Practice Act of 1987, or an  | 
advanced practice registered nurse who has prescriptive  | 
authority in accordance with Section 65-40 of the Nurse  | 
Practice Act may prescribe undesignated oxygen tanks in the  | 
name of the school district that provides special educational  | 
facilities for children with disabilities under Section  | 
14-4.01 of this Code to be maintained for use when necessary.  | 
Any supply of oxygen tanks shall be maintained in accordance  | 
with the manufacturer's instructions and with the local fire  | 
department's rules.  | 
 (f-3) Whichever entity initiates the process of obtaining  | 
undesignated epinephrine injectors and providing training to  | 
personnel for carrying and administering undesignated  | 
epinephrine injectors shall pay for the costs of the  | 
undesignated epinephrine injectors. | 
 (f-5) Upon any administration of an epinephrine injector,  | 
a school district, public school, charter school, or nonpublic  | 
school must immediately activate the EMS system and notify the  | 
student's parent, guardian, or emergency contact, if known. | 
 Upon any administration of an opioid antagonist, a school  | 
district, public school, charter school, or nonpublic school  | 
must immediately activate the EMS system and notify the  | 
student's parent, guardian, or emergency contact, if known.  | 
 | 
 (f-10) Within 24 hours of the administration of an  | 
undesignated epinephrine injector, a school district, public  | 
school, charter school, or nonpublic school must notify the  | 
physician, physician assistant, or advanced practice  | 
registered nurse who provided the standing protocol and a  | 
prescription for the undesignated epinephrine injector of its  | 
use.  | 
 Within 24 hours after the administration of an opioid  | 
antagonist, a school district, public school, charter school,  | 
or nonpublic school must notify the health care professional  | 
who provided the prescription for the opioid antagonist of its  | 
use.  | 
 Within 24 hours after the administration of undesignated  | 
asthma medication, a school district, public school, charter  | 
school, or nonpublic school must notify the student's parent  | 
or guardian or emergency contact, if known, and the physician,  | 
physician assistant, or advanced practice registered nurse who  | 
provided the standing protocol and a prescription for the  | 
undesignated asthma medication of its use. The district or  | 
school must follow up with the school nurse, if available, and  | 
may, with the consent of the child's parent or guardian,  | 
notify the child's health care provider of record, as  | 
determined under this Section, of its use.  | 
 (g) Prior to the administration of an undesignated  | 
epinephrine injector, trained personnel must submit to the  | 
school's administration proof of completion of a training  | 
 | 
curriculum to recognize and respond to anaphylaxis that meets  | 
the requirements of subsection (h) of this Section. Training  | 
must be completed annually. The school district, public  | 
school, charter school, or nonpublic school must maintain  | 
records related to the training curriculum and trained  | 
personnel. | 
 Prior to the administration of an opioid antagonist,  | 
trained personnel must submit to the school's administration  | 
proof of completion of a training curriculum to recognize and  | 
respond to an opioid overdose, which curriculum must meet the  | 
requirements of subsection (h-5) of this Section. The school  | 
district, public school, charter school, or nonpublic school  | 
must maintain records relating to the training curriculum and  | 
the trained personnel.  | 
 Prior to the administration of undesignated asthma  | 
medication, trained personnel must submit to the school's  | 
administration proof of completion of a training curriculum to  | 
recognize and respond to respiratory distress, which must meet  | 
the requirements of subsection (h-10) of this Section.  | 
Training must be completed annually, and the school district,  | 
public school, charter school, or nonpublic school must  | 
maintain records relating to the training curriculum and the  | 
trained personnel.  | 
 (h) A training curriculum to recognize and respond to  | 
anaphylaxis, including the administration of an undesignated  | 
epinephrine injector, may be conducted online or in person. | 
 | 
 Training shall include, but is not limited to: | 
  (1) how to recognize signs and symptoms of an allergic  | 
 reaction, including anaphylaxis; | 
  (2) how to administer an epinephrine injector; and | 
  (3) a test demonstrating competency of the knowledge  | 
 required to recognize anaphylaxis and administer an  | 
 epinephrine injector. | 
 Training may also include, but is not limited to: | 
  (A) a review of high-risk areas within a school and  | 
 its related facilities; | 
  (B) steps to take to prevent exposure to allergens; | 
  (C) emergency follow-up procedures, including the  | 
 importance of calling 9-1-1 or, if 9-1-1 is not available,  | 
 other local emergency medical services; | 
  (D) how to respond to a student with a known allergy,  | 
 as well as a student with a previously unknown allergy; | 
  (E) other criteria as determined in rules adopted  | 
 pursuant to this Section; and | 
  (F) any policy developed by the State Board of  | 
 Education under Section 2-3.190. | 
 In consultation with statewide professional organizations  | 
representing physicians licensed to practice medicine in all  | 
of its branches, registered nurses, and school nurses, the  | 
State Board of Education shall make available resource  | 
materials consistent with criteria in this subsection (h) for  | 
educating trained personnel to recognize and respond to  | 
 | 
anaphylaxis. The State Board may take into consideration the  | 
curriculum on this subject developed by other states, as well  | 
as any other curricular materials suggested by medical experts  | 
and other groups that work on life-threatening allergy issues.  | 
The State Board is not required to create new resource  | 
materials. The State Board shall make these resource materials  | 
available on its Internet website. | 
 (h-5) A training curriculum to recognize and respond to an  | 
opioid overdose, including the administration of an opioid  | 
antagonist, may be conducted online or in person. The training  | 
must comply with any training requirements under Section 5-23  | 
of the Substance Use Disorder Act and the corresponding rules.  | 
It must include, but is not limited to: | 
  (1) how to recognize symptoms of an opioid overdose; | 
  (2) information on drug overdose prevention and  | 
 recognition; | 
  (3) how to perform rescue breathing and resuscitation; | 
  (4) how to respond to an emergency involving an opioid  | 
 overdose; | 
  (5) opioid antagonist dosage and administration; | 
  (6) the importance of calling 9-1-1 or, if 9-1-1 is  | 
 not available, other local emergency medical services; | 
  (7) care for the overdose victim after administration  | 
 of the overdose antagonist; | 
  (8) a test demonstrating competency of the knowledge  | 
 required to recognize an opioid overdose and administer a  | 
 | 
 dose of an opioid antagonist; and | 
  (9) other criteria as determined in rules adopted  | 
 pursuant to this Section.  | 
 (h-10) A training curriculum to recognize and respond to  | 
respiratory distress, including the administration of  | 
undesignated asthma medication, may be conducted online or in  | 
person. The training must include, but is not limited to: | 
  (1) how to recognize symptoms of respiratory distress  | 
 and how to distinguish respiratory distress from  | 
 anaphylaxis; | 
  (2) how to respond to an emergency involving  | 
 respiratory distress; | 
  (3) asthma medication dosage and administration; | 
  (4) the importance of calling 9-1-1 or, if 9-1-1 is  | 
 not available, other local emergency medical services; | 
  (5) a test demonstrating competency of the knowledge  | 
 required to recognize respiratory distress and administer  | 
 asthma medication; and | 
  (6) other criteria as determined in rules adopted  | 
 under this Section.  | 
 (i) Within 3 days after the administration of an  | 
undesignated epinephrine injector by a school nurse, trained  | 
personnel, or a student at a school or school-sponsored  | 
activity, the school must report to the State Board of  | 
Education in a form and manner prescribed by the State Board  | 
the following information: | 
 | 
  (1) age and type of person receiving epinephrine  | 
 (student, staff, visitor); | 
  (2) any previously known diagnosis of a severe  | 
 allergy; | 
  (3) trigger that precipitated allergic episode; | 
  (4) location where symptoms developed; | 
  (5) number of doses administered; | 
  (6) type of person administering epinephrine (school  | 
 nurse, trained personnel, student); and | 
  (7) any other information required by the State Board. | 
 If a school district, public school, charter school, or  | 
nonpublic school maintains or has an independent contractor  | 
providing transportation to students who maintains a supply of  | 
undesignated epinephrine injectors, then the school district,  | 
public school, charter school, or nonpublic school must report  | 
that information to the State Board of Education upon adoption  | 
or change of the policy of the school district, public school,  | 
charter school, nonpublic school, or independent contractor,  | 
in a manner as prescribed by the State Board. The report must  | 
include the number of undesignated epinephrine injectors in  | 
supply. | 
 (i-5) Within 3 days after the administration of an opioid  | 
antagonist by a school nurse or trained personnel, the school  | 
must report to the State Board of Education, in a form and  | 
manner prescribed by the State Board, the following  | 
information: | 
 | 
  (1) the age and type of person receiving the opioid  | 
 antagonist (student, staff, or visitor); | 
  (2) the location where symptoms developed; | 
  (3) the type of person administering the opioid  | 
 antagonist (school nurse or trained personnel); and | 
  (4) any other information required by the State Board.  | 
 (i-10) Within 3 days after the administration of  | 
undesignated asthma medication by a school nurse, trained  | 
personnel, or a student at a school or school-sponsored  | 
activity, the school must report to the State Board of  | 
Education, on a form and in a manner prescribed by the State  | 
Board of Education, the following information: | 
  (1) the age and type of person receiving the asthma  | 
 medication (student, staff, or visitor); | 
  (2) any previously known diagnosis of asthma for the  | 
 person; | 
  (3) the trigger that precipitated respiratory  | 
 distress, if identifiable; | 
  (4) the location of where the symptoms developed; | 
  (5) the number of doses administered; | 
  (6) the type of person administering the asthma  | 
 medication (school nurse, trained personnel, or student); | 
  (7) the outcome of the asthma medication  | 
 administration; and | 
  (8) any other information required by the State Board.  | 
 (j) By October 1, 2015 and every year thereafter, the  | 
 | 
State Board of Education shall submit a report to the General  | 
Assembly identifying the frequency and circumstances of  | 
undesignated epinephrine and undesignated asthma medication  | 
administration during the preceding academic year. Beginning  | 
with the 2017 report, the report shall also contain  | 
information on which school districts, public schools, charter  | 
schools, and nonpublic schools maintain or have independent  | 
contractors providing transportation to students who maintain  | 
a supply of undesignated epinephrine injectors. This report  | 
shall be published on the State Board's Internet website on  | 
the date the report is delivered to the General Assembly. | 
 (j-5) Annually, each school district, public school,  | 
charter school, or nonpublic school shall request an asthma  | 
action plan from the parents or guardians of a pupil with  | 
asthma. If provided, the asthma action plan must be kept on  | 
file in the office of the school nurse or, in the absence of a  | 
school nurse, the school administrator. Copies of the asthma  | 
action plan may be distributed to appropriate school staff who  | 
interact with the pupil on a regular basis, and, if  | 
applicable, may be attached to the pupil's federal Section 504  | 
plan or individualized education program plan. | 
 (j-10) To assist schools with emergency response  | 
procedures for asthma, the State Board of Education, in  | 
consultation with statewide professional organizations with  | 
expertise in asthma management and a statewide organization  | 
representing school administrators, shall develop a model  | 
 | 
asthma episode emergency response protocol before September 1,  | 
2016. Each school district, charter school, and nonpublic  | 
school shall adopt an asthma episode emergency response  | 
protocol before January 1, 2017 that includes all of the  | 
components of the State Board's model protocol. | 
 (j-15) (Blank). | 
 (j-20) On or before October 1, 2016 and every year  | 
thereafter, the State Board of Education shall submit a report  | 
to the General Assembly and the Department of Public Health  | 
identifying the frequency and circumstances of opioid  | 
antagonist administration during the preceding academic year.  | 
This report shall be published on the State Board's Internet  | 
website on the date the report is delivered to the General  | 
Assembly.  | 
 (k) The State Board of Education may adopt rules necessary  | 
to implement this Section.  | 
 (l) Nothing in this Section shall limit the amount of  | 
epinephrine injectors that any type of school or student may  | 
carry or maintain a supply of. | 
(Source: P.A. 102-413, eff. 8-20-21; 102-813, eff. 5-13-22;  | 
103-175, eff. 6-30-23; 103-196, eff. 1-1-24; 103-348, eff.  | 
1-1-24; 103-542, eff. 7-1-24 (see Section 905 of P.A. 103-563  | 
for effective date of P.A. 103-542); revised 11-27-23.)
 | 
 (105 ILCS 5/22-95) | 
 (This Section may contain text from a Public Act with a  | 
 | 
delayed effective date) | 
 Sec. 22-95. Policy on discrimination, harassment, and  | 
retaliation; response procedures. | 
 (a) As used in this Section, "policy" means either the use  | 
of a singular policy or multiple policies. | 
 (b) Each school district, charter school, or nonpublic,  | 
nonsectarian elementary or secondary school must create,  | 
implement, and maintain at least one written policy that  | 
prohibits discrimination and harassment based on race, color,  | 
and national origin and prohibits retaliation. The policy may  | 
be included as part of a broader anti-harassment or  | 
anti-discrimination policy, provided that the policy  | 
prohibiting discrimination and harassment based on race,  | 
color, and national origin and retaliation shall be  | 
distinguished with an appropriate title, heading, or label.  | 
This policy must comply with and be distributed in accordance  | 
with all of the following: | 
  (1) The policy must be in writing and must include at a  | 
 minimum, the following information: | 
   (A) descriptions of various forms of  | 
 discrimination and harassment based on race, color,  | 
 and national origin, including examples; | 
   (B) the school district's, charter school's, or  | 
 nonpublic, nonsectarian elementary or secondary  | 
 school's internal process for filing a complaint  | 
 regarding a violation of the policy described in this  | 
 | 
 subsection, or a reference to that process if  | 
 described elsewhere in policy; | 
   (C) an overview of the school district's, charter  | 
 school's, or nonpublic, nonsectarian elementary or  | 
 secondary school's prevention and response program  | 
 pursuant to subsection (c); | 
   (D) potential remedies for a violation of the  | 
 policy described in this subsection; | 
   (E) a prohibition on retaliation for making a  | 
 complaint or participating in the complaint process; | 
   (F) the legal recourse available through the  | 
 Department of Human Rights and through federal  | 
 agencies if a school district, charter school, or  | 
 nonpublic, nonsectarian elementary or secondary school  | 
 fails to take corrective action, or a reference to  | 
 that process if described elsewhere in policy; and | 
   (G) directions on how to contact the Department of  | 
 Human Rights or a reference to those directions if  | 
 described elsewhere in the policy. | 
 The policy shall make clear that the policy does not  | 
 impair or otherwise diminish the rights of unionized  | 
 employees under federal law, State law, or a collective  | 
 bargaining agreement to request an exclusive bargaining  | 
 representative to be present during investigator  | 
 interviews, nor does the policy diminish any rights  | 
 available under the applicable negotiated collective  | 
 | 
 bargaining agreement, including, but not limited to, the  | 
 grievance procedure.  | 
  (2) The policy described in this subsection shall be  | 
 posted in a prominent and accessible location and  | 
 distributed in such a manner as to ensure notice of the  | 
 policy to all employees. If the school district, charter  | 
 school, or nonpublic, nonsectarian elementary or secondary  | 
 school maintains an Internet website or has an employee  | 
 Intranet, the website or Intranet shall be considered a  | 
 prominent and accessible location for the purpose of this  | 
 paragraph (2). Posting and distribution shall be  | 
 effectuated by the beginning of the 2024-2025 school year  | 
 and shall occur annually thereafter. | 
  (3) The policy described in this subsection shall be  | 
 published on the school district's, charter school's, or  | 
 nonpublic, nonsectarian elementary or secondary school's  | 
 Internet website, if one exists, and in a student  | 
 handbook, if one exists. A summary of the policy in  | 
 accessible, age-appropriate language shall be distributed  | 
 annually to students and to the parents or guardians of  | 
 minor students. School districts, charter schools, and  | 
 nonpublic, nonsectarian elementary or secondary schools  | 
 shall provide a summary of the policy in the parent or  | 
 guardian's native language. For the annual distribution of  | 
 the summary, inclusion of the summary in a student  | 
 handbook is deemed compliant. | 
 | 
 (c) Each school district, charter school, and nonpublic,  | 
nonsectarian elementary or secondary school must establish  | 
procedures for responding to complaints of discrimination and  | 
harassment based on race, color, and national origin and  | 
retaliation. These procedures must comply with subsection (b)  | 
of this Section. Based on these procedures, school districts,  | 
charter schools, and nonpublic, nonsectarian elementary or  | 
secondary schools: | 
  (1) shall reduce or remove, to the extent practicable,  | 
 barriers to reporting discrimination, harassment, and  | 
 retaliation; | 
  (2) shall permit any person who reports or is the  | 
 victim of an incident of alleged discrimination,  | 
 harassment, or retaliation to be accompanied when making a  | 
 report by a support individual of the person's choice who  | 
 complies with the school district's, charter school's, or  | 
 nonpublic, nonsectarian elementary or secondary school's  | 
 policies or rules; | 
  (3) shall permit anonymous reporting, except that this  | 
 paragraph (3) may not be construed to permit formal  | 
 disciplinary action solely on the basis of an anonymous  | 
 report; | 
  (4) shall offer remedial interventions or take such  | 
 disciplinary action as may be appropriate on a  | 
 case-by-case basis; | 
  (5) may offer, but not require or unduly influence, a  | 
 | 
 person who reports or is the victim of an incident of  | 
 discrimination, harassment, or retaliation the option to  | 
 resolve allegations directly with the offender; and | 
  (6) may not cause a person who reports or is the victim  | 
 of an incident of discrimination, harassment, or  | 
 retaliation to suffer adverse consequences as a result of  | 
 a report of, an investigation of, or a response to the  | 
 incident; this protection may not permit victims to engage  | 
 in retaliation against the offender or limit a school  | 
 district, charter school, or nonpublic, nonsectarian  | 
 elementary or secondary school from applying disciplinary  | 
 measures in response to other acts or conduct not related  | 
 to the process of reporting, investigating, or responding  | 
 to a report of an incident of discrimination, harassment,  | 
 or retaliation.  | 
(Source: P.A. 103-472, eff. 8-1-24.)
 | 
 (105 ILCS 5/22-97) | 
 (Section scheduled to be repealed on February 1, 2029) | 
 Sec. 22-97 22-95. Whole Child Task Force. | 
 (a) The General Assembly makes all of the following  | 
findings:  | 
  (1) The COVID-19 pandemic has exposed systemic  | 
 inequities in American society. Students, educators, and  | 
 families throughout this State have been deeply affected  | 
 by the pandemic, and the impact of the pandemic will be  | 
 | 
 felt for years to come. The negative consequences of the  | 
 pandemic have impacted students and communities  | 
 differently along the lines of race, income, language, and  | 
 special needs. However, students in this State faced  | 
 significant unmet physical health, mental health, and  | 
 social and emotional needs even prior to the pandemic.  | 
  (2) The path to recovery requires a commitment from  | 
 adults in this State to address our students cultural,  | 
 physical, emotional, and mental health needs and to  | 
 provide them with stronger and increased systemic support  | 
 and intervention.  | 
  (3) It is well documented that trauma and toxic stress  | 
 diminish a child's ability to thrive. Forms of childhood  | 
 trauma and toxic stress include adverse childhood  | 
 experiences, systemic racism, poverty, food and housing  | 
 insecurity, and gender-based violence. The COVID-19  | 
 pandemic has exacerbated these issues and brought them  | 
 into focus.  | 
  (4) It is estimated that, overall, approximately 40%  | 
 of children in this State have experienced at least one  | 
 adverse childhood experience and approximately 10% have  | 
 experienced 3 or more adverse childhood experiences.  | 
 However, the number of adverse childhood experiences is  | 
 higher for Black and Hispanic children who are growing up  | 
 in poverty. The COVID-19 pandemic has amplified the number  | 
 of students who have experienced childhood trauma. Also,  | 
 | 
 the COVID-19 pandemic has highlighted preexisting  | 
 inequities in school disciplinary practices that  | 
 disproportionately impact Black and Brown students.  | 
 Research shows, for example, that girls of color are  | 
 disproportionately impacted by trauma, adversity, and  | 
 abuse, and instead of receiving the care and  | 
 trauma-informed support they may need, many Black girls in  | 
 particular face disproportionately harsh disciplinary  | 
 measures.  | 
  (5) The cumulative effects of trauma and toxic stress  | 
 adversely impact the physical health of students, as well  | 
 as the students' ability to learn, form relationships, and  | 
 self-regulate. If left unaddressed, these effects increase  | 
 a student's risk for depression, alcoholism, anxiety,  | 
 asthma, smoking, and suicide, all of which are risks that  | 
 disproportionately affect Black youth and may lead to a  | 
 host of medical diseases as an adult. Access to infant and  | 
 early childhood mental health services is critical to  | 
 ensure the social and emotional well-being of this State's  | 
 youngest children, particularly those children who have  | 
 experienced trauma.  | 
  (6) Although this State enacted measures through  | 
 Public Act 100-105 to address the high rate of early care  | 
 and preschool expulsions of infants, toddlers, and  | 
 preschoolers and the disproportionately higher rate of  | 
 expulsion for Black and Hispanic children, a recent study  | 
 | 
 found a wide variation in the awareness, understanding,  | 
 and compliance with the law by providers of early  | 
 childhood care. Further work is needed to implement the  | 
 law, which includes providing training to early childhood  | 
 care providers to increase the providers' understanding of  | 
 the law, increasing the availability and access to infant  | 
 and early childhood mental health services, and building  | 
 aligned data collection systems to better understand  | 
 expulsion rates and to allow for accurate reporting as  | 
 required by the law.  | 
  (7) Many educators and schools in this State have  | 
 embraced and implemented evidence-based restorative  | 
 justice and trauma-responsive and culturally relevant  | 
 practices and interventions. However, the use of these  | 
 interventions on students is often isolated or is  | 
 implemented occasionally and only if the school has the  | 
 appropriate leadership, resources, and partners available  | 
 to engage seriously in this work. It would be malpractice  | 
 to deny our students access to these practices and  | 
 interventions, especially in the aftermath of a  | 
 once-in-a-century pandemic. | 
 (b) The Whole Child Task Force created by Public Act  | 
101-654 is reestablished for the purpose of establishing an  | 
equitable, inclusive, safe, and supportive environment in all  | 
schools for every student in this State. The task force shall  | 
have all of the following goals, which means key steps have to  | 
 | 
be taken to ensure that every child in every school in this  | 
State has access to teachers, social workers, school leaders,  | 
support personnel, and others who have been trained in  | 
evidence-based interventions and restorative practices:  | 
  (1) To create a common definition of a  | 
 trauma-responsive school, a trauma-responsive district,  | 
 and a trauma-responsive community.  | 
  (2) To outline the training and resources required to  | 
 create and sustain a system of support for  | 
 trauma-responsive schools, districts, and communities and  | 
 to identify this State's role in that work, including  | 
 recommendations concerning options for redirecting  | 
 resources from school resource officers to classroom-based  | 
 support.  | 
  (3) To identify or develop a process to conduct an  | 
 analysis of the organizations that provide training in  | 
 restorative practices, implicit bias, anti-racism, and  | 
 trauma-responsive systems, mental health services, and  | 
 social and emotional services to schools.  | 
  (4) To provide recommendations concerning the key data  | 
 to be collected and reported to ensure that this State has  | 
 a full and accurate understanding of the progress toward  | 
 ensuring that all schools, including programs and  | 
 providers of care to pre-kindergarten children, employ  | 
 restorative, anti-racist, and trauma-responsive  | 
 strategies and practices. The data collected must include  | 
 | 
 information relating to the availability of trauma  | 
 responsive support structures in schools, as well as  | 
 disciplinary practices employed on students in person or  | 
 through other means, including during remote or blended  | 
 learning. It should also include information on the use of  | 
 and funding for school resource officers and other similar  | 
 police personnel in school programs.  | 
  (5) To recommend an implementation timeline, including  | 
 the key roles, responsibilities, and resources to advance  | 
 this State toward a system in which every school,  | 
 district, and community is progressing toward becoming  | 
 trauma-responsive.  | 
  (6) To seek input and feedback from stakeholders,  | 
 including parents, students, and educators, who reflect  | 
 the diversity of this State. | 
  (7) To recommend legislation, policies, and practices  | 
 to prevent learning loss in students during periods of  | 
 suspension and expulsion, including, but not limited to,  | 
 remote instruction.  | 
 (c) Members of the Whole Child Task Force shall be  | 
appointed by the State Superintendent of Education. Members of  | 
this task force must represent the diversity of this State and  | 
possess the expertise needed to perform the work required to  | 
meet the goals of the task force set forth under subsection  | 
(a). Members of the task force shall include all of the  | 
following:  | 
 | 
  (1) One member of a statewide professional teachers'  | 
 organization.  | 
  (2) One member of another statewide professional  | 
 teachers' organization.  | 
  (3) One member who represents a school district  | 
 serving a community with a population of 500,000 or more.  | 
  (4) One member of a statewide organization  | 
 representing social workers.  | 
  (5) One member of an organization that has specific  | 
 expertise in trauma-responsive school practices and  | 
 experience in supporting schools in developing  | 
 trauma-responsive and restorative practices.  | 
  (6) One member of another organization that has  | 
 specific expertise in trauma-responsive school practices  | 
 and experience in supporting schools in developing  | 
 trauma-responsive and restorative practices.  | 
  (7) One member of a statewide organization that  | 
 represents school administrators. | 
  (8) One member of a statewide policy organization that  | 
 works to build a healthy public education system that  | 
 prepares all students for a successful college, career,  | 
 and civic life.  | 
  (9) One member of a statewide organization that brings  | 
 teachers together to identify and address issues critical  | 
 to student success.  | 
  (10) One member of the General Assembly recommended by  | 
 | 
 the President of the Senate.  | 
  (11) One member of the General Assembly recommended by  | 
 the Speaker of the House of Representatives.  | 
  (12) One member of the General Assembly recommended by  | 
 the Minority Leader of the Senate.  | 
  (13) One member of the General Assembly recommended by  | 
 the Minority Leader of the House of Representatives.  | 
  (14) One member of a civil rights organization that  | 
 works actively on issues regarding student support.  | 
  (15) One administrator from a school district that has  | 
 actively worked to develop a system of student support  | 
 that uses a trauma-informed lens. | 
  (16) One educator from a school district that has  | 
 actively worked to develop a system of student support  | 
 that uses a trauma-informed lens.  | 
  (17) One member of a youth-led organization.  | 
  (18) One member of an organization that has  | 
 demonstrated expertise in restorative practices.  | 
  (19) One member of a coalition of mental health and  | 
 school practitioners who assist schools in developing and  | 
 implementing trauma-informed and restorative strategies  | 
 and systems.  | 
  (20) One member of an organization whose mission is to  | 
 promote the safety, health, and economic success of  | 
 children, youth, and families in this State.  | 
  (21) One member who works or has worked as a  | 
 | 
 restorative justice coach or disciplinarian.  | 
  (22) One member who works or has worked as a social  | 
 worker.  | 
  (23) One member of the State Board of Education. | 
  (24) One member who represents a statewide principals'  | 
 organization.  | 
  (25) One member who represents a statewide  | 
 organization of school boards.  | 
  (26) One member who has expertise in pre-kindergarten  | 
 education.  | 
  (27) One member who represents a school social worker  | 
 association.  | 
  (28) One member who represents an organization that  | 
 represents school districts in the south suburbs of the  | 
 City of Chicago.  | 
  (29) One member who is a licensed clinical  | 
 psychologist who (i) has a doctor of philosophy in the  | 
 field of clinical psychology and has an appointment at an  | 
 independent free-standing children's hospital located in  | 
 the City of Chicago, (ii) serves as an associate professor  | 
 at a medical school located in the City of Chicago, and  | 
 (iii) serves as the clinical director of a coalition of  | 
 voluntary collaboration of organizations that are  | 
 committed to applying a trauma lens to the member's  | 
 efforts on behalf of families and children in the State.  | 
  (30) One member who represents a school district in  | 
 | 
 the west suburbs of the City of Chicago.  | 
  (31) One member from a governmental agency who has  | 
 expertise in child development and who is responsible for  | 
 coordinating early childhood mental health programs and  | 
 services. | 
  (32) One member who has significant expertise in early  | 
 childhood mental health and childhood trauma.  | 
  (33) One member who represents an organization that  | 
 represents school districts in the collar counties around  | 
 the City of Chicago.  | 
  (34) One member who represents an organization  | 
 representing regional offices of education.  | 
 (d) The Whole Child Task Force shall meet at the call of  | 
the State Superintendent of Education or his or her designee,  | 
who shall serve as the chairperson. The State Board of  | 
Education shall provide administrative and other support to  | 
the task force. Members of the task force shall serve without  | 
compensation.  | 
 (e) The Whole Child Task Force shall reconvene by March  | 
2027 to review progress on the recommendations in the March  | 
2022 report submitted pursuant to Public Act 101-654 and shall  | 
submit a new report on its assessment of the State's progress  | 
and any additional recommendations to the General Assembly,  | 
the Illinois Legislative Black Caucus, the State Board of  | 
Education, and the Governor on or before December 31, 2027.  | 
 (f) This Section is repealed on February 1, 2029. | 
 | 
(Source: P.A. 103-413, eff. 1-1-24; revised 9-25-23.)
 | 
 (105 ILCS 5/22-98) | 
 Sec. 22-98 22-95. Retirement and deferred compensation  | 
plans. | 
 (a) This Section applies only to school districts, other  | 
than a school district organized under Article 34, with a  | 
full-time licensed teacher population of 575 or more teachers  | 
that maintain a 457 plan. Every applicable school district  | 
shall make available to participants more than one financial  | 
institution or investment provider to provide services to the  | 
school district's 457 plan.  | 
 (b) A financial institution or investment provider, by  | 
entering into a written agreement, may offer or provide  | 
services to a plan offered, established, or maintained by a  | 
school district under Section 457 of the Internal Revenue Code  | 
of 1986 if the written agreement is not combined with any other  | 
written agreement for the administration of the school  | 
district's 457 plan. | 
 Each school district that offers a 457 plan shall make  | 
available to participants, in the manner provided in  | 
subsection (d), more than one financial institution or  | 
investment provider that has not entered into a written  | 
agreement to provide administration services and that provides  | 
services to a 457 plan offered to school districts. | 
 (c) A financial institution or investment provider  | 
 | 
providing services for any plan offered, established, or  | 
maintained by a school district under Section 457 of the  | 
Internal Revenue Code of 1986 shall: | 
  (1) enter into an agreement with the school district  | 
 or the school district's independent compliance  | 
 administrator that requires the financial institution or  | 
 investment provider to provide, in an electronic format,  | 
 all data necessary for the administration of the 457 plan,  | 
 as determined by the school district or the school  | 
 district's compliance administrator; | 
  (2) provide all data required by the school district  | 
 or the school district's compliance administrator to  | 
 facilitate disclosure of all fees, charges, expenses,  | 
 commissions, compensation, and payments to third parties  | 
 related to investments offered under the 457 plan; and  | 
  (3) cover all plan administration costs agreed to by  | 
 the school district relating to the administration of the  | 
 457 plan.  | 
 (d) A school district that offers, establishes, or  | 
maintains a plan under Section 457 of the Internal Revenue  | 
Code of 1986, except for a plan established under Section  | 
16-204 of the Illinois Pension Code, shall select more than  | 
one financial institution or investment provider, in addition  | 
to the financial institution or investment provider that has  | 
entered into a written agreement under subsection (b), to  | 
provide services to the 457 plan. A financial institution or  | 
 | 
investment provider shall be designated a 457 plan provider if  | 
the financial institution or investment provider enters into  | 
an agreement in accordance with subsection (c). | 
 (e) A school district shall have one year after the  | 
effective date of this amendatory Act of the 103rd General  | 
Assembly to find a 457 plan provider under this Section. | 
 (f) Nothing in this Section shall apply to or impact the  | 
optional defined contribution benefit established by the  | 
Teachers' Retirement System of the State of Illinois under  | 
Section 16-204 of the Illinois Pension Code. Notwithstanding  | 
the foregoing, the Teachers' Retirement System may elect to  | 
share plan data for the 457 plan established pursuant to  | 
Section 16-204 of the Illinois Pension Code with the school  | 
district, upon request by the school district, in order to  | 
facilitate school districts' compliance with this Section and  | 
Section 457 of the Internal Revenue Code of 1986. If a school  | 
district requests that the Teachers' Retirement System share  | 
plan information for the 457 plan established pursuant to  | 
Section 16-204 of the Illinois Pension Code, the Teachers'  | 
Retirement System may assess a fee on the applicable school  | 
district. | 
(Source: P.A. 103-481, eff. 1-1-24; revised 9-25-23.)
 | 
 (105 ILCS 5/22-99) | 
 (Section scheduled to be repealed on December 31, 2031) | 
 Sec. 22-99 22-95. Rural Education Advisory Council. | 
 | 
 (a) The Rural Education Advisory Council is created as a  | 
statewide advisory council to exchange thoughtful dialogue  | 
concerning the needs, challenges, and opportunities of rural  | 
school schools districts and to provide policy recommendations  | 
to the State. The Council shall perform all of the following  | 
functions: | 
  (1) Convey and impart the perspective of rural  | 
 communities and provide context during policy discussions  | 
 on various statewide issues with the State Superintendent  | 
 of Education. | 
  (2) Present to the State Superintendent of Education  | 
 the opportunity to speak directly with representatives of  | 
 rural communities on various policy and legal issues, to  | 
 present feedback on critical issues facing rural  | 
 communities, to generate ideas, and to communicate  | 
 information to the State Superintendent. | 
  (3) Provide feedback about this State's  | 
 pre-kindergarten through grade 12 practices and policies  | 
 so that the application of policies in rural areas may be  | 
 more fully understood. | 
 (b) The Council shall consist of all of the following  | 
members: | 
  (1) The State Superintendent of Education or his or  | 
 her designee. | 
  (2) One representative of an association representing  | 
 rural and small schools, appointed by the State  | 
 | 
 Superintendent of Education. | 
  (3) Five superintendents of rural school districts who  | 
 represent 3 super-regions of this State and who are  | 
 recommended by an association representing rural and small  | 
 schools, appointed by the State Superintendent of  | 
 Education. | 
  (4) One principal from a rural school district  | 
 recommended by a statewide organization representing  | 
 school principals, appointed by the State Superintendent  | 
 of Education.  | 
  (5) One representative from a rural school district  | 
 recommended by a statewide organization representing  | 
 school boards, appointed by the State Superintendent of  | 
 Education. | 
  (6) One representative of a statewide organization  | 
 representing district superintendents, appointed by the  | 
 State Superintendent of Education. | 
  (7) One representative of a statewide organization  | 
 representing regional superintendents of schools,  | 
 appointed by the State Superintendent of Education. | 
  (8) One student who is at least 15 years old, who is a  | 
 member of the State Board of Education's Student Advisory  | 
 Council, and who is from a rural school district,  | 
 appointed by the State Superintendent of Education. | 
 Council members must reflect, as much as possible, the  | 
racial and ethnic diversity of this State.  | 
 | 
 Council members shall serve without compensation but shall  | 
be reimbursed for their reasonable and necessary expenses from  | 
funds appropriated to the State Board of Education for that  | 
purpose, subject to the rules of the appropriate travel  | 
control board. | 
 (c) The Council shall meet initially at the call of the  | 
State Superintendent of Education, shall select one member as  | 
chairperson at its initial meeting, and shall thereafter meet  | 
at the call of the chairperson.  | 
 (d) The State Board of Education shall provide  | 
administrative and other support to the Council as needed.  | 
 (e) The Council is dissolved and this Section is repealed  | 
on December 31, 2031. | 
(Source: P.A. 103-497, eff. 1-1-24; revised 1-30-24.)
 | 
 (105 ILCS 5/24-2) | 
 Sec. 24-2. Holidays.  | 
 (a) Teachers shall not be required to teach on Saturdays,  | 
nor, except as provided in subsection (b) of this Section,  | 
shall teachers, educational support personnel employees, or  | 
other school employees, other than noncertificated school  | 
employees whose presence is necessary because of an emergency  | 
or for the continued operation and maintenance of school  | 
facilities or property, be required to work on legal school  | 
holidays, which are January 1, New Year's Day; the third  | 
Monday in January, the Birthday of Dr. Martin Luther King,  | 
 | 
Jr.; February 12, the Birthday of President Abraham Lincoln;  | 
the first Monday in March (to be known as Casimir Pulaski's  | 
birthday); Good Friday; the day designated as Memorial Day by  | 
federal law; June 19, Juneteenth National Freedom Day; July 4,  | 
Independence Day; the first Monday in September, Labor Day;  | 
the second Monday in October, Columbus Day; November 11,  | 
Veterans' Day; the Thursday in November commonly called  | 
Thanksgiving Day; and December 25, Christmas Day. School  | 
boards may grant special holidays whenever in their judgment  | 
such action is advisable. No deduction shall be made from the  | 
time or compensation of a school employee, including an  | 
educational support personnel employee, on account of any  | 
legal or special holiday in which that employee would have  | 
otherwise been scheduled to work but for the legal or special  | 
holiday. | 
 (b) A school board or other entity eligible to apply for  | 
waivers and modifications under Section 2-3.25g of this Code  | 
is authorized to hold school or schedule teachers' institutes,  | 
parent-teacher conferences, or staff development on the third  | 
Monday in January (the Birthday of Dr. Martin Luther King,  | 
Jr.); February 12 (the Birthday of President Abraham Lincoln);  | 
the first Monday in March (known as Casimir Pulaski's  | 
birthday); the second Monday in October (Columbus Day); and  | 
November 11 (Veterans' Day), provided that: | 
  (1) the person or persons honored by the holiday are  | 
 recognized through instructional activities conducted on  | 
 | 
 that day or, if the day is not used for student attendance,  | 
 on the first school day preceding or following that day;  | 
 and | 
  (2) the entity that chooses to exercise this authority  | 
 first holds a public hearing about the proposal. The  | 
 entity shall provide notice preceding the public hearing  | 
 to both educators and parents. The notice shall set forth  | 
 the time, date, and place of the hearing, describe the  | 
 proposal, and indicate that the entity will take testimony  | 
 from educators and parents about the proposal.  | 
 (c) Commemorative holidays, which recognize specified  | 
patriotic, civic, cultural or historical persons, activities,  | 
or events, are regular school days. Commemorative holidays  | 
are: January 17 (the birthday of Muhammad Ali), January 28 (to  | 
be known as Christa McAuliffe Day and observed as a  | 
commemoration of space exploration), February 15 (the birthday  | 
of Susan B. Anthony), March 29 (Viet Nam War Veterans' Day),  | 
September 11 (September 11th Day of Remembrance), September 17  | 
(Constitution Day), the school day immediately preceding  | 
Veterans' Day (Korean War Veterans' Day), October 1 (Recycling  | 
Day), October 7 (Iraq and Afghanistan Veterans Remembrance  | 
Day), December 7 (Pearl Harbor Veterans' Day), and any day so  | 
appointed by the President or Governor. School boards may  | 
establish commemorative holidays whenever in their judgment  | 
such action is advisable. School boards shall include  | 
instruction relative to commemorated persons, activities, or  | 
 | 
events on the commemorative holiday or at any other time  | 
during the school year and at any point in the curriculum when  | 
such instruction may be deemed appropriate. The State Board of  | 
Education shall prepare and make available to school boards  | 
instructional materials relative to commemorated persons,  | 
activities, or events which may be used by school boards in  | 
conjunction with any instruction provided pursuant to this  | 
paragraph. | 
 (d) City of Chicago School District 299 shall observe  | 
March 4 of each year as a commemorative holiday. This holiday  | 
shall be known as Mayors' Day which shall be a day to  | 
commemorate and be reminded of the past Chief Executive  | 
Officers of the City of Chicago, and in particular the late  | 
Mayor Richard J. Daley and the late Mayor Harold Washington.  | 
If March 4 falls on a Saturday or Sunday, Mayors' Day shall be  | 
observed on the following Monday. | 
 (e) Notwithstanding any other provision of State law to  | 
the contrary, November 3, 2020 shall be a State holiday known  | 
as 2020 General Election Day and shall be observed throughout  | 
the State pursuant to Public Act 101-642 this amendatory Act  | 
of the 101st General Assembly. All government offices, with  | 
the exception of election authorities, shall be closed unless  | 
authorized to be used as a location for election day services  | 
or as a polling place.  | 
 Notwithstanding any other provision of State law to the  | 
contrary, November 8, 2022 shall be a State holiday known as  | 
 | 
2022 General Election Day and shall be observed throughout the  | 
State under Public Act 102-15.  | 
 Notwithstanding any other provision of State law to the  | 
contrary, November 5, 2024 shall be a State holiday known as  | 
2024 General Election Day and shall be observed throughout  | 
this State pursuant to Public Act 103-467 this amendatory Act  | 
of the 103rd General Assembly.  | 
(Source: P.A. 102-14, eff. 1-1-22; 102-15, eff. 6-17-21;  | 
102-334, eff. 8-9-21; 102-411, eff. 1-1-22; 102-813, eff.  | 
5-13-22; 103-15, eff. 7-1-23; 103-395, eff. 1-1-24; 103-467,  | 
eff. 8-4-23; revised 9-1-23.)
 | 
 (105 ILCS 5/24-12) | 
 Sec. 24-12. Removal or dismissal of teachers in  | 
contractual continued service.  | 
 (a) This subsection (a) applies only to honorable  | 
dismissals and recalls in which the notice of dismissal is  | 
provided on or before the end of the 2010-2011 school term. If  | 
a teacher in contractual continued service is removed or  | 
dismissed as a result of a decision of the board to decrease  | 
the number of teachers employed by the board or to discontinue  | 
some particular type of teaching service, written notice shall  | 
be mailed to the teacher and also given the teacher either by  | 
certified mail, return receipt requested or personal delivery  | 
with receipt at least 60 days before the end of the school  | 
term, together with a statement of honorable dismissal and the  | 
 | 
reason therefor, and in all such cases the board shall first  | 
remove or dismiss all teachers who have not entered upon  | 
contractual continued service before removing or dismissing  | 
any teacher who has entered upon contractual continued service  | 
and who is legally qualified to hold a position currently held  | 
by a teacher who has not entered upon contractual continued  | 
service.  | 
 As between teachers who have entered upon contractual  | 
continued service, the teacher or teachers with the shorter  | 
length of continuing service with the district shall be  | 
dismissed first unless an alternative method of determining  | 
the sequence of dismissal is established in a collective  | 
bargaining agreement or contract between the board and a  | 
professional faculty members' organization and except that  | 
this provision shall not impair the operation of any  | 
affirmative action program in the district, regardless of  | 
whether it exists by operation of law or is conducted on a  | 
voluntary basis by the board. Any teacher dismissed as a  | 
result of such decrease or discontinuance shall be paid all  | 
earned compensation on or before the third business day  | 
following the last day of pupil attendance in the regular  | 
school term.  | 
 If the board has any vacancies for the following school  | 
term or within one calendar year from the beginning of the  | 
following school term, the positions thereby becoming  | 
available shall be tendered to the teachers so removed or  | 
 | 
dismissed so far as they are legally qualified to hold such  | 
positions; provided, however, that if the number of honorable  | 
dismissal notices based on economic necessity exceeds 15% of  | 
the number of full-time equivalent positions filled by  | 
certified employees (excluding principals and administrative  | 
personnel) during the preceding school year, then if the board  | 
has any vacancies for the following school term or within 2  | 
calendar years from the beginning of the following school  | 
term, the positions so becoming available shall be tendered to  | 
the teachers who were so notified and removed or dismissed  | 
whenever they are legally qualified to hold such positions.  | 
Each board shall, in consultation with any exclusive employee  | 
representatives, each year establish a list, categorized by  | 
positions, showing the length of continuing service of each  | 
teacher who is qualified to hold any such positions, unless an  | 
alternative method of determining a sequence of dismissal is  | 
established as provided for in this Section, in which case a  | 
list shall be made in accordance with the alternative method.  | 
Copies of the list shall be distributed to the exclusive  | 
employee representative on or before February 1 of each year.  | 
Whenever the number of honorable dismissal notices based upon  | 
economic necessity exceeds 5, or 150% of the average number of  | 
teachers honorably dismissed in the preceding 3 years,  | 
whichever is more, then the board also shall hold a public  | 
hearing on the question of the dismissals. Following the  | 
hearing and board review, the action to approve any such  | 
 | 
reduction shall require a majority vote of the board members. | 
 (b) If any teacher, whether or not in contractual  | 
continued service, is removed or dismissed as a result of a  | 
decision of a school board to decrease the number of teachers  | 
employed by the board, a decision of a school board to  | 
discontinue some particular type of teaching service, or a  | 
reduction in the number of programs or positions in a special  | 
education joint agreement, then written notice must be mailed  | 
to the teacher and also given to the teacher either by  | 
electronic mail, certified mail, return receipt requested, or  | 
personal delivery with receipt on or before April 15, together  | 
with a statement of honorable dismissal and the reason  | 
therefor, and in all such cases the sequence of dismissal  | 
shall occur in accordance with this subsection (b); except  | 
that this subsection (b) shall not impair the operation of any  | 
affirmative action program in the school district, regardless  | 
of whether it exists by operation of law or is conducted on a  | 
voluntary basis by the board. | 
 Each teacher must be categorized into one or more  | 
positions for which the teacher is qualified to hold, based  | 
upon legal qualifications and any other qualifications  | 
established in a district or joint agreement job description,  | 
on or before the May 10 prior to the school year during which  | 
the sequence of dismissal is determined. Within each position  | 
and subject to agreements made by the joint committee on  | 
honorable dismissals that are authorized by subsection (c) of  | 
 | 
this Section, the school district or joint agreement must  | 
establish 4 groupings of teachers qualified to hold the  | 
position as follows: | 
  (1) Grouping one shall consist of each teacher who is  | 
 not in contractual continued service and who (i) has not  | 
 received a performance evaluation rating, (ii) is employed  | 
 for one school term or less to replace a teacher on leave,  | 
 or (iii) is employed on a part-time basis. "Part-time  | 
 basis" for the purposes of this subsection (b) means a  | 
 teacher who is employed to teach less than a full-day,  | 
 teacher workload or less than 5 days of the normal student  | 
 attendance week, unless otherwise provided for in a  | 
 collective bargaining agreement between the district and  | 
 the exclusive representative of the district's teachers.  | 
 For the purposes of this Section, a teacher (A) who is  | 
 employed as a full-time teacher but who actually teaches  | 
 or is otherwise present and participating in the  | 
 district's educational program for less than a school term  | 
 or (B) who, in the immediately previous school term, was  | 
 employed on a full-time basis and actually taught or was  | 
 otherwise present and participated in the district's  | 
 educational program for 120 days or more is not considered  | 
 employed on a part-time basis. | 
  (2) Grouping 2 shall consist of each teacher with a  | 
 Needs Improvement or Unsatisfactory performance evaluation  | 
 rating on either of the teacher's last 2 performance  | 
 | 
 evaluation ratings. | 
  (3) Grouping 3 shall consist of each teacher with a  | 
 performance evaluation rating of at least Satisfactory or  | 
 Proficient on both of the teacher's last 2 performance  | 
 evaluation ratings, if 2 ratings are available, or on the  | 
 teacher's last performance evaluation rating, if only one  | 
 rating is available, unless the teacher qualifies for  | 
 placement into grouping 4. | 
  (4) Grouping 4 shall consist of each teacher whose  | 
 last 2 performance evaluation ratings are Excellent and  | 
 each teacher with 2 Excellent performance evaluation  | 
 ratings out of the teacher's last 3 performance evaluation  | 
 ratings with a third rating of Satisfactory or Proficient. | 
 Among teachers qualified to hold a position, teachers must  | 
be dismissed in the order of their groupings, with teachers in  | 
grouping one dismissed first and teachers in grouping 4  | 
dismissed last. | 
 Within grouping one, the sequence of dismissal must be at  | 
the discretion of the school district or joint agreement.  | 
Within grouping 2, the sequence of dismissal must be based  | 
upon average performance evaluation ratings, with the teacher  | 
or teachers with the lowest average performance evaluation  | 
rating dismissed first. A teacher's average performance  | 
evaluation rating must be calculated using the average of the  | 
teacher's last 2 performance evaluation ratings, if 2 ratings  | 
are available, or the teacher's last performance evaluation  | 
 | 
rating, if only one rating is available, using the following  | 
numerical values: 4 for Excellent; 3 for Proficient or  | 
Satisfactory; 2 for Needs Improvement; and 1 for  | 
Unsatisfactory. As between or among teachers in grouping 2  | 
with the same average performance evaluation rating and within  | 
each of groupings 3 and 4, the teacher or teachers with the  | 
shorter length of continuing service with the school district  | 
or joint agreement must be dismissed first unless an  | 
alternative method of determining the sequence of dismissal is  | 
established in a collective bargaining agreement or contract  | 
between the board and a professional faculty members'  | 
organization. | 
 Each board, including the governing board of a joint  | 
agreement, shall, in consultation with any exclusive employee  | 
representatives, each year establish a sequence of honorable  | 
dismissal list categorized by positions and the groupings  | 
defined in this subsection (b). Copies of the list showing  | 
each teacher by name, along with the race or ethnicity of the  | 
teacher if provided by the teacher, and categorized by  | 
positions and the groupings defined in this subsection (b)  | 
must be distributed to the exclusive bargaining representative  | 
at least 75 days before the end of the school term, provided  | 
that the school district or joint agreement may, with notice  | 
to any exclusive employee representatives, move teachers from  | 
grouping one into another grouping during the period of time  | 
from 75 days until April 15. Each year, each board shall also  | 
 | 
establish, in consultation with any exclusive employee  | 
representatives, a list showing the length of continuing  | 
service of each teacher who is qualified to hold any such  | 
positions, unless an alternative method of determining a  | 
sequence of dismissal is established as provided for in this  | 
Section, in which case a list must be made in accordance with  | 
the alternative method. Copies of the list must be distributed  | 
to the exclusive employee representative at least 75 days  | 
before the end of the school term.  | 
 Any teacher dismissed as a result of such decrease or  | 
discontinuance must be paid all earned compensation on or  | 
before the third business day following the last day of pupil  | 
attendance in the regular school term. | 
 If the board or joint agreement has any vacancies for the  | 
following school term or within one calendar year from the  | 
beginning of the following school term, the positions thereby  | 
becoming available must be tendered to the teachers so removed  | 
or dismissed who were in grouping 3 or 4 of the sequence of  | 
dismissal and are qualified to hold the positions, based upon  | 
legal qualifications and any other qualifications established  | 
in a district or joint agreement job description, on or before  | 
the May 10 prior to the date of the positions becoming  | 
available, provided that if the number of honorable dismissal  | 
notices based on economic necessity exceeds 15% of the number  | 
of full-time equivalent positions filled by certified  | 
employees (excluding principals and administrative personnel)  | 
 | 
during the preceding school year, then the recall period is  | 
for the following school term or within 2 calendar years from  | 
the beginning of the following school term. If the board or  | 
joint agreement has any vacancies within the period from the  | 
beginning of the following school term through February 1 of  | 
the following school term (unless a date later than February  | 
1, but no later than 6 months from the beginning of the  | 
following school term, is established in a collective  | 
bargaining agreement), the positions thereby becoming  | 
available must be tendered to the teachers so removed or  | 
dismissed who were in grouping 2 of the sequence of dismissal  | 
due to one "needs improvement" rating on either of the  | 
teacher's last 2 performance evaluation ratings, provided  | 
that, if 2 ratings are available, the other performance  | 
evaluation rating used for grouping purposes is  | 
"satisfactory", "proficient", or "excellent", and are  | 
qualified to hold the positions, based upon legal  | 
qualifications and any other qualifications established in a  | 
district or joint agreement job description, on or before the  | 
May 10 prior to the date of the positions becoming available.  | 
On and after July 1, 2014 (the effective date of Public Act  | 
98-648), the preceding sentence shall apply to teachers  | 
removed or dismissed by honorable dismissal, even if notice of  | 
honorable dismissal occurred during the 2013-2014 school year.  | 
Among teachers eligible for recall pursuant to the preceding  | 
sentence, the order of recall must be in inverse order of  | 
 | 
dismissal, unless an alternative order of recall is  | 
established in a collective bargaining agreement or contract  | 
between the board and a professional faculty members'  | 
organization. Whenever the number of honorable dismissal  | 
notices based upon economic necessity exceeds 5 notices or  | 
150% of the average number of teachers honorably dismissed in  | 
the preceding 3 years, whichever is more, then the school  | 
board or governing board of a joint agreement, as applicable,  | 
shall also hold a public hearing on the question of the  | 
dismissals. Following the hearing and board review, the action  | 
to approve any such reduction shall require a majority vote of  | 
the board members. | 
 For purposes of this subsection (b), subject to agreement  | 
on an alternative definition reached by the joint committee  | 
described in subsection (c) of this Section, a teacher's  | 
performance evaluation rating means the overall performance  | 
evaluation rating resulting from an annual or biennial  | 
performance evaluation conducted pursuant to Article 24A of  | 
this Code by the school district or joint agreement  | 
determining the sequence of dismissal, not including any  | 
performance evaluation conducted during or at the end of a  | 
remediation period. No more than one evaluation rating each  | 
school term shall be one of the evaluation ratings used for the  | 
purpose of determining the sequence of dismissal. Except as  | 
otherwise provided in this subsection for any performance  | 
evaluations conducted during or at the end of a remediation  | 
 | 
period, if multiple performance evaluations are conducted in a  | 
school term, only the rating from the last evaluation  | 
conducted prior to establishing the sequence of honorable  | 
dismissal list in such school term shall be the one evaluation  | 
rating from that school term used for the purpose of  | 
determining the sequence of dismissal. Averaging ratings from  | 
multiple evaluations is not permitted unless otherwise agreed  | 
to in a collective bargaining agreement or contract between  | 
the board and a professional faculty members' organization.  | 
The preceding 3 sentences are not a legislative declaration  | 
that existing law does or does not already require that only  | 
one performance evaluation each school term shall be used for  | 
the purpose of determining the sequence of dismissal. For  | 
performance evaluation ratings determined prior to September  | 
1, 2012, any school district or joint agreement with a  | 
performance evaluation rating system that does not use either  | 
of the rating category systems specified in subsection (d) of  | 
Section 24A-5 of this Code for all teachers must establish a  | 
basis for assigning each teacher a rating that complies with  | 
subsection (d) of Section 24A-5 of this Code for all of the  | 
performance evaluation ratings that are to be used to  | 
determine the sequence of dismissal. A teacher's grouping and  | 
ranking on a sequence of honorable dismissal shall be deemed a  | 
part of the teacher's performance evaluation, and that  | 
information shall be disclosed to the exclusive bargaining  | 
representative as part of a sequence of honorable dismissal  | 
 | 
list, notwithstanding any laws prohibiting disclosure of such  | 
information. A performance evaluation rating may be used to  | 
determine the sequence of dismissal, notwithstanding the  | 
pendency of any grievance resolution or arbitration procedures  | 
relating to the performance evaluation. If a teacher has  | 
received at least one performance evaluation rating conducted  | 
by the school district or joint agreement determining the  | 
sequence of dismissal and a subsequent performance evaluation  | 
is not conducted in any school year in which such evaluation is  | 
required to be conducted under Section 24A-5 of this Code, the  | 
teacher's performance evaluation rating for that school year  | 
for purposes of determining the sequence of dismissal is  | 
deemed Proficient, except that, during any time in which the  | 
Governor has declared a disaster due to a public health  | 
emergency pursuant to Section 7 of the Illinois Emergency  | 
Management Agency Act, this default to Proficient does not  | 
apply to any teacher who has entered into contractual  | 
continued service and who was deemed Excellent on his or her  | 
most recent evaluation. During any time in which the Governor  | 
has declared a disaster due to a public health emergency  | 
pursuant to Section 7 of the Illinois Emergency Management  | 
Agency Act and unless the school board and any exclusive  | 
bargaining representative have completed the performance  | 
rating for teachers or have mutually agreed to an alternate  | 
performance rating, any teacher who has entered into  | 
contractual continued service, whose most recent evaluation  | 
 | 
was deemed Excellent, and whose performance evaluation is not  | 
conducted when the evaluation is required to be conducted  | 
shall receive a teacher's performance rating deemed Excellent.  | 
A school board and any exclusive bargaining representative may  | 
mutually agree to an alternate performance rating for teachers  | 
not in contractual continued service during any time in which  | 
the Governor has declared a disaster due to a public health  | 
emergency pursuant to Section 7 of the Illinois Emergency  | 
Management Agency Act, as long as the agreement is in writing.  | 
If a performance evaluation rating is nullified as the result  | 
of an arbitration, administrative agency, or court  | 
determination, then the school district or joint agreement is  | 
deemed to have conducted a performance evaluation for that  | 
school year, but the performance evaluation rating may not be  | 
used in determining the sequence of dismissal. | 
 Nothing in this subsection (b) shall be construed as  | 
limiting the right of a school board or governing board of a  | 
joint agreement to dismiss a teacher not in contractual  | 
continued service in accordance with Section 24-11 of this  | 
Code. | 
 Any provisions regarding the sequence of honorable  | 
dismissals and recall of honorably dismissed teachers in a  | 
collective bargaining agreement entered into on or before  | 
January 1, 2011 and in effect on June 13, 2011 (the effective  | 
date of Public Act 97-8) that may conflict with Public Act 97-8  | 
shall remain in effect through the expiration of such  | 
 | 
agreement or June 30, 2013, whichever is earlier. | 
 (c) Each school district and special education joint  | 
agreement must use a joint committee composed of equal  | 
representation selected by the school board and its teachers  | 
or, if applicable, the exclusive bargaining representative of  | 
its teachers, to address the matters described in paragraphs  | 
(1) through (5) of this subsection (c) pertaining to honorable  | 
dismissals under subsection (b) of this Section. | 
  (1) The joint committee must consider and may agree to  | 
 criteria for excluding from grouping 2 and placing into  | 
 grouping 3 a teacher whose last 2 performance evaluations  | 
 include a Needs Improvement and either a Proficient or  | 
 Excellent. | 
  (2) The joint committee must consider and may agree to  | 
 an alternative definition for grouping 4, which definition  | 
 must take into account prior performance evaluation  | 
 ratings and may take into account other factors that  | 
 relate to the school district's or program's educational  | 
 objectives. An alternative definition for grouping 4 may  | 
 not permit the inclusion of a teacher in the grouping with  | 
 a Needs Improvement or Unsatisfactory performance  | 
 evaluation rating on either of the teacher's last 2  | 
 performance evaluation ratings. | 
  (3) The joint committee may agree to including within  | 
 the definition of a performance evaluation rating a  | 
 performance evaluation rating administered by a school  | 
 | 
 district or joint agreement other than the school district  | 
 or joint agreement determining the sequence of dismissal. | 
  (4) For each school district or joint agreement that  | 
 administers performance evaluation ratings that are  | 
 inconsistent with either of the rating category systems  | 
 specified in subsection (d) of Section 24A-5 of this Code,  | 
 the school district or joint agreement must consult with  | 
 the joint committee on the basis for assigning a rating  | 
 that complies with subsection (d) of Section 24A-5 of this  | 
 Code to each performance evaluation rating that will be  | 
 used in a sequence of dismissal. | 
  (5) Upon request by a joint committee member submitted  | 
 to the employing board by no later than 10 days after the  | 
 distribution of the sequence of honorable dismissal list,  | 
 a representative of the employing board shall, within 5  | 
 days after the request, provide to members of the joint  | 
 committee a list showing the most recent and prior  | 
 performance evaluation ratings of each teacher identified  | 
 only by length of continuing service in the district or  | 
 joint agreement and not by name. If, after review of this  | 
 list, a member of the joint committee has a good faith  | 
 belief that a disproportionate number of teachers with  | 
 greater length of continuing service with the district or  | 
 joint agreement have received a recent performance  | 
 evaluation rating lower than the prior rating, the member  | 
 may request that the joint committee review the list to  | 
 | 
 assess whether such a trend may exist. Following the joint  | 
 committee's review, but by no later than the end of the  | 
 applicable school term, the joint committee or any member  | 
 or members of the joint committee may submit a report of  | 
 the review to the employing board and exclusive bargaining  | 
 representative, if any. Nothing in this paragraph (5)  | 
 shall impact the order of honorable dismissal or a school  | 
 district's or joint agreement's authority to carry out a  | 
 dismissal in accordance with subsection (b) of this  | 
 Section. | 
 Agreement by the joint committee as to a matter requires  | 
the majority vote of all committee members, and if the joint  | 
committee does not reach agreement on a matter, then the  | 
otherwise applicable requirements of subsection (b) of this  | 
Section shall apply. Except as explicitly set forth in this  | 
subsection (c), a joint committee has no authority to agree to  | 
any further modifications to the requirements for honorable  | 
dismissals set forth in subsection (b) of this Section. The  | 
joint committee must be established, and the first meeting of  | 
the joint committee each school year must occur on or before  | 
December 1. | 
 The joint committee must reach agreement on a matter on or  | 
before February 1 of a school year in order for the agreement  | 
of the joint committee to apply to the sequence of dismissal  | 
determined during that school year. Subject to the February 1  | 
deadline for agreements, the agreement of a joint committee on  | 
 | 
a matter shall apply to the sequence of dismissal until the  | 
agreement is amended or terminated by the joint committee.  | 
 The provisions of the Open Meetings Act shall not apply to  | 
meetings of a joint committee created under this subsection  | 
(c).  | 
 (d) Notwithstanding anything to the contrary in this  | 
subsection (d), the requirements and dismissal procedures of  | 
Section 24-16.5 of this Code shall apply to any dismissal  | 
sought under Section 24-16.5 of this Code. | 
  (1) If a dismissal of a teacher in contractual  | 
 continued service is sought for any reason or cause other  | 
 than an honorable dismissal under subsections (a) or (b)  | 
 of this Section or a dismissal sought under Section  | 
 24-16.5 of this Code, including those under Section  | 
 10-22.4, the board must first approve a motion containing  | 
 specific charges by a majority vote of all its members.  | 
 Written notice of such charges, including a bill of  | 
 particulars and the teacher's right to request a hearing,  | 
 must be mailed to the teacher and also given to the teacher  | 
 either by electronic mail, certified mail, return receipt  | 
 requested, or personal delivery with receipt within 5 days  | 
 of the adoption of the motion. Any written notice sent on  | 
 or after July 1, 2012 shall inform the teacher of the right  | 
 to request a hearing before a mutually selected hearing  | 
 officer, with the cost of the hearing officer split  | 
 equally between the teacher and the board, or a hearing  | 
 | 
 before a board-selected hearing officer, with the cost of  | 
 the hearing officer paid by the board. | 
  Before setting a hearing on charges stemming from  | 
 causes that are considered remediable, a board must give  | 
 the teacher reasonable warning in writing, stating  | 
 specifically the causes that, if not removed, may result  | 
 in charges; however, no such written warning is required  | 
 if the causes have been the subject of a remediation plan  | 
 pursuant to Article 24A of this Code. | 
  If, in the opinion of the board, the interests of the  | 
 school require it, the board may suspend the teacher  | 
 without pay, pending the hearing, but if the board's  | 
 dismissal or removal is not sustained, the teacher shall  | 
 not suffer the loss of any salary or benefits by reason of  | 
 the suspension. | 
  (2) No hearing upon the charges is required unless the  | 
 teacher within 17 days after receiving notice requests in  | 
 writing of the board that a hearing be scheduled before a  | 
 mutually selected hearing officer or a hearing officer  | 
 selected by the board. The secretary of the school board  | 
 shall forward a copy of the notice to the State Board of  | 
 Education. | 
  (3) Within 5 business days after receiving a notice of  | 
 hearing in which either notice to the teacher was sent  | 
 before July 1, 2012 or, if the notice was sent on or after  | 
 July 1, 2012, the teacher has requested a hearing before a  | 
 | 
 mutually selected hearing officer, the State Board of  | 
 Education shall provide a list of 5 prospective, impartial  | 
 hearing officers from the master list of qualified,  | 
 impartial hearing officers maintained by the State Board  | 
 of Education. Each person on the master list must (i) be  | 
 accredited by a national arbitration organization and have  | 
 had a minimum of 5 years of experience directly related to  | 
 labor and employment relations matters between employers  | 
 and employees or their exclusive bargaining  | 
 representatives and (ii) beginning September 1, 2012, have  | 
 participated in training provided or approved by the State  | 
 Board of Education for teacher dismissal hearing officers  | 
 so that he or she is familiar with issues generally  | 
 involved in evaluative and non-evaluative dismissals. | 
  If notice to the teacher was sent before July 1, 2012  | 
 or, if the notice was sent on or after July 1, 2012, the  | 
 teacher has requested a hearing before a mutually selected  | 
 hearing officer, the board and the teacher or their legal  | 
 representatives within 3 business days shall alternately  | 
 strike one name from the list provided by the State Board  | 
 of Education until only one name remains. Unless waived by  | 
 the teacher, the teacher shall have the right to proceed  | 
 first with the striking. Within 3 business days of receipt  | 
 of the list provided by the State Board of Education, the  | 
 board and the teacher or their legal representatives shall  | 
 each have the right to reject all prospective hearing  | 
 | 
 officers named on the list and notify the State Board of  | 
 Education of such rejection. Within 3 business days after  | 
 receiving this notification, the State Board of Education  | 
 shall appoint a qualified person from the master list who  | 
 did not appear on the list sent to the parties to serve as  | 
 the hearing officer, unless the parties notify it that  | 
 they have chosen to alternatively select a hearing officer  | 
 under paragraph (4) of this subsection (d). | 
  If the teacher has requested a hearing before a  | 
 hearing officer selected by the board, the board shall  | 
 select one name from the master list of qualified  | 
 impartial hearing officers maintained by the State Board  | 
 of Education within 3 business days after receipt and  | 
 shall notify the State Board of Education of its  | 
 selection. | 
  A hearing officer mutually selected by the parties,  | 
 selected by the board, or selected through an alternative  | 
 selection process under paragraph (4) of this subsection  | 
 (d) (A) must not be a resident of the school district, (B)  | 
 must be available to commence the hearing within 75 days  | 
 and conclude the hearing within 120 days after being  | 
 selected as the hearing officer, and (C) must issue a  | 
 decision as to whether the teacher must be dismissed and  | 
 give a copy of that decision to both the teacher and the  | 
 board within 30 days from the conclusion of the hearing or  | 
 closure of the record, whichever is later. | 
 | 
  Any hearing convened during a public health emergency  | 
 pursuant to Section 7 of the Illinois Emergency Management  | 
 Agency Act may be convened remotely. Any hearing officer  | 
 for a hearing convened during a public health emergency  | 
 pursuant to Section 7 of the Illinois Emergency Management  | 
 Agency Act may voluntarily withdraw from the hearing and  | 
 another hearing officer shall be selected or appointed  | 
 pursuant to this Section.  | 
  In this paragraph, "pre-hearing procedures" refers to  | 
 the pre-hearing procedures under Section 51.55 of Title 23  | 
 of the Illinois Administrative Code and "hearing" refers  | 
 to the hearing under Section 51.60 of Title 23 of the  | 
 Illinois Administrative Code. Any teacher who has been  | 
 charged with engaging in acts of corporal punishment,  | 
 physical abuse, grooming, or sexual misconduct and who  | 
 previously paused pre-hearing procedures or a hearing  | 
 pursuant to Public Act 101-643 must proceed with selection  | 
 of a hearing officer or hearing date, or both, within the  | 
 timeframes established by this paragraph (3) and  | 
 paragraphs (4) through (6) of this subsection (d), unless  | 
 the timeframes are mutually waived in writing by both  | 
 parties, and all timelines set forth in this Section in  | 
 cases concerning corporal punishment, physical abuse,  | 
 grooming, or sexual misconduct shall be reset to begin the  | 
 day after April 22, 2022 (the effective date of Public Act  | 
 102-708) this amendatory Act of the 102nd General  | 
 | 
 Assembly. Any teacher charged with engaging in acts of  | 
 corporal punishment, physical abuse, grooming, or sexual  | 
 misconduct on or after April 22, 2022 (the effective date  | 
 of Public Act 102-708) this amendatory Act of the 102nd  | 
 General Assembly may not pause pre-hearing procedures or a  | 
 hearing. | 
  (4) In the alternative to selecting a hearing officer  | 
 from the list received from the State Board of Education  | 
 or accepting the appointment of a hearing officer by the  | 
 State Board of Education or if the State Board of  | 
 Education cannot provide a list or appoint a hearing  | 
 officer that meets the foregoing requirements, the board  | 
 and the teacher or their legal representatives may  | 
 mutually agree to select an impartial hearing officer who  | 
 is not on the master list either by direct appointment by  | 
 the parties or by using procedures for the appointment of  | 
 an arbitrator established by the Federal Mediation and  | 
 Conciliation Service or the American Arbitration  | 
 Association. The parties shall notify the State Board of  | 
 Education of their intent to select a hearing officer  | 
 using an alternative procedure within 3 business days of  | 
 receipt of a list of prospective hearing officers provided  | 
 by the State Board of Education, notice of appointment of  | 
 a hearing officer by the State Board of Education, or  | 
 receipt of notice from the State Board of Education that  | 
 it cannot provide a list that meets the foregoing  | 
 | 
 requirements, whichever is later.  | 
  (5) If the notice of dismissal was sent to the teacher  | 
 before July 1, 2012, the fees and costs for the hearing  | 
 officer must be paid by the State Board of Education. If  | 
 the notice of dismissal was sent to the teacher on or after  | 
 July 1, 2012, the hearing officer's fees and costs must be  | 
 paid as follows in this paragraph (5). The fees and  | 
 permissible costs for the hearing officer must be  | 
 determined by the State Board of Education. If the board  | 
 and the teacher or their legal representatives mutually  | 
 agree to select an impartial hearing officer who is not on  | 
 a list received from the State Board of Education, they  | 
 may agree to supplement the fees determined by the State  | 
 Board to the hearing officer, at a rate consistent with  | 
 the hearing officer's published professional fees. If the  | 
 hearing officer is mutually selected by the parties, then  | 
 the board and the teacher or their legal representatives  | 
 shall each pay 50% of the fees and costs and any  | 
 supplemental allowance to which they agree. If the hearing  | 
 officer is selected by the board, then the board shall pay  | 
 100% of the hearing officer's fees and costs. The fees and  | 
 costs must be paid to the hearing officer within 14 days  | 
 after the board and the teacher or their legal  | 
 representatives receive the hearing officer's decision set  | 
 forth in paragraph (7) of this subsection (d). | 
  (6) The teacher is required to answer the bill of  | 
 | 
 particulars and aver affirmative matters in his or her  | 
 defense, and the time for initially doing so and the time  | 
 for updating such answer and defenses after pre-hearing  | 
 discovery must be set by the hearing officer. The State  | 
 Board of Education shall promulgate rules so that each  | 
 party has a fair opportunity to present its case and to  | 
 ensure that the dismissal process proceeds in a fair and  | 
 expeditious manner. These rules shall address, without  | 
 limitation, discovery and hearing scheduling conferences;  | 
 the teacher's initial answer and affirmative defenses to  | 
 the bill of particulars and the updating of that  | 
 information after pre-hearing discovery; provision for  | 
 written interrogatories and requests for production of  | 
 documents; the requirement that each party initially  | 
 disclose to the other party and then update the disclosure  | 
 no later than 10 calendar days prior to the commencement  | 
 of the hearing, the names and addresses of persons who may  | 
 be called as witnesses at the hearing, a summary of the  | 
 facts or opinions each witness will testify to, and all  | 
 other documents and materials, including information  | 
 maintained electronically, relevant to its own as well as  | 
 the other party's case (the hearing officer may exclude  | 
 witnesses and exhibits not identified and shared, except  | 
 those offered in rebuttal for which the party could not  | 
 reasonably have anticipated prior to the hearing);  | 
 pre-hearing discovery and preparation, including provision  | 
 | 
 for written interrogatories and requests for production of  | 
 documents, provided that discovery depositions are  | 
 prohibited; the conduct of the hearing; the right of each  | 
 party to be represented by counsel, the offer of evidence  | 
 and witnesses and the cross-examination of witnesses; the  | 
 authority of the hearing officer to issue subpoenas and  | 
 subpoenas duces tecum, provided that the hearing officer  | 
 may limit the number of witnesses to be subpoenaed on  | 
 behalf of each party to no more than 7; the length of  | 
 post-hearing briefs; and the form, length, and content of  | 
 hearing officers' decisions. The hearing officer shall  | 
 hold a hearing and render a final decision for dismissal  | 
 pursuant to Article 24A of this Code or shall report to the  | 
 school board findings of fact and a recommendation as to  | 
 whether or not the teacher must be dismissed for conduct.  | 
 The hearing officer shall commence the hearing within 75  | 
 days and conclude the hearing within 120 days after being  | 
 selected as the hearing officer, provided that the hearing  | 
 officer may modify these timelines upon the showing of  | 
 good cause or mutual agreement of the parties. Good cause  | 
 for the purpose of this subsection (d) shall mean the  | 
 illness or otherwise unavoidable emergency of the teacher,  | 
 district representative, their legal representatives, the  | 
 hearing officer, or an essential witness as indicated in  | 
 each party's pre-hearing submission. In a dismissal  | 
 hearing pursuant to Article 24A of this Code in which a  | 
 | 
 witness is a student or is under the age of 18, the hearing  | 
 officer must make accommodations for the witness, as  | 
 provided under paragraph (6.5) of this subsection. The  | 
 hearing officer shall consider and give weight to all of  | 
 the teacher's evaluations written pursuant to Article 24A  | 
 that are relevant to the issues in the hearing. | 
  Each party shall have no more than 3 days to present  | 
 its case, unless extended by the hearing officer to enable  | 
 a party to present adequate evidence and testimony,  | 
 including due to the other party's cross-examination of  | 
 the party's witnesses, for good cause or by mutual  | 
 agreement of the parties. The State Board of Education  | 
 shall define in rules the meaning of "day" for such  | 
 purposes. All testimony at the hearing shall be taken  | 
 under oath administered by the hearing officer. The  | 
 hearing officer shall cause a record of the proceedings to  | 
 be kept and shall employ a competent reporter to take  | 
 stenographic or stenotype notes of all the testimony. The  | 
 costs of the reporter's attendance and services at the  | 
 hearing shall be paid by the party or parties who are  | 
 responsible for paying the fees and costs of the hearing  | 
 officer. Either party desiring a transcript of the hearing  | 
 shall pay for the cost thereof. Any post-hearing briefs  | 
 must be submitted by the parties by no later than 21 days  | 
 after a party's receipt of the transcript of the hearing,  | 
 unless extended by the hearing officer for good cause or  | 
 | 
 by mutual agreement of the parties. | 
  (6.5) In the case of charges involving any witness who  | 
 is or was at the time of the alleged conduct a student or a  | 
 person under the age of 18, the hearing officer shall make  | 
 accommodations to protect a witness from being  | 
 intimidated, traumatized, or re-traumatized. No alleged  | 
 victim or other witness who is or was at the time of the  | 
 alleged conduct a student or under the age of 18 may be  | 
 compelled to testify in the physical or visual presence of  | 
 a teacher or other witness. If such a witness invokes this  | 
 right, then the hearing officer must provide an  | 
 accommodation consistent with the invoked right and use a  | 
 procedure by which each party may hear such witness's  | 
 witness' testimony. Accommodations may include, but are  | 
 not limited to: (i) testimony made via a telecommunication  | 
 device in a location other than the hearing room and  | 
 outside the physical or visual presence of the teacher and  | 
 other hearing participants, but accessible to the teacher  | 
 via a telecommunication device, (ii) testimony made in the  | 
 hearing room but outside the physical presence of the  | 
 teacher and accessible to the teacher via a  | 
 telecommunication device, (iii) non-public testimony, (iv)  | 
 testimony made via videoconference with the cameras and  | 
 microphones of the teacher turned off, or (v) pre-recorded  | 
 testimony, including, but not limited to, a recording of a  | 
 forensic interview conducted at an accredited Children's  | 
 | 
 Advocacy Center. With all accommodations, the hearing  | 
 officer shall give such testimony the same consideration  | 
 as if the witness testified without the accommodation. The  | 
 teacher may not directly, or through a representative,  | 
 question a witness called by the school board who is or was  | 
 a student or under 18 years of age at the time of the  | 
 alleged conduct. The hearing officer must permit the  | 
 teacher to submit all relevant questions and follow-up  | 
 questions for such a witness to have the questions posed  | 
 by the hearing officer. All questions must exclude  | 
 evidence of the witness' sexual behavior or  | 
 predisposition, unless the evidence is offered to prove  | 
 that someone other than the teacher subject to the  | 
 dismissal hearing engaged in the charge at issue.  | 
  (7) The hearing officer shall, within 30 days from the  | 
 conclusion of the hearing or closure of the record,  | 
 whichever is later, make a decision as to whether or not  | 
 the teacher shall be dismissed pursuant to Article 24A of  | 
 this Code or report to the school board findings of fact  | 
 and a recommendation as to whether or not the teacher  | 
 shall be dismissed for cause and shall give a copy of the  | 
 decision or findings of fact and recommendation to both  | 
 the teacher and the school board. If a hearing officer  | 
 fails without good cause, specifically provided in writing  | 
 to both parties and the State Board of Education, to  | 
 render a decision or findings of fact and recommendation  | 
 | 
 within 30 days after the hearing is concluded or the  | 
 record is closed, whichever is later, the parties may  | 
 mutually agree to select a hearing officer pursuant to the  | 
 alternative procedure, as provided in this Section, to  | 
 rehear the charges heard by the hearing officer who failed  | 
 to render a decision or findings of fact and  | 
 recommendation or to review the record and render a  | 
 decision. If any hearing officer fails without good cause,  | 
 specifically provided in writing to both parties and the  | 
 State Board of Education, to render a decision or findings  | 
 of fact and recommendation within 30 days after the  | 
 hearing is concluded or the record is closed, whichever is  | 
 later, or if any hearing officer fails to make an  | 
 accommodation as described in paragraph (6.5), the hearing  | 
 officer shall be removed from the master list of hearing  | 
 officers maintained by the State Board of Education for  | 
 not more than 24 months. The parties and the State Board of  | 
 Education may also take such other actions as it deems  | 
 appropriate, including recovering, reducing, or  | 
 withholding any fees paid or to be paid to the hearing  | 
 officer. If any hearing officer repeats such failure, he  | 
 or she must be permanently removed from the master list  | 
 maintained by the State Board of Education and may not be  | 
 selected by parties through the alternative selection  | 
 process under this paragraph (7) or paragraph (4) of this  | 
 subsection (d). The board shall not lose jurisdiction to  | 
 | 
 discharge a teacher if the hearing officer fails to render  | 
 a decision or findings of fact and recommendation within  | 
 the time specified in this Section. If the decision of the  | 
 hearing officer for dismissal pursuant to Article 24A of  | 
 this Code or of the school board for dismissal for cause is  | 
 in favor of the teacher, then the hearing officer or  | 
 school board shall order reinstatement to the same or  | 
 substantially equivalent position and shall determine the  | 
 amount for which the school board is liable, including,  | 
 but not limited to, loss of income and benefits. | 
  (8) The school board, within 45 days after receipt of  | 
 the hearing officer's findings of fact and recommendation  | 
 as to whether (i) the conduct at issue occurred, (ii) the  | 
 conduct that did occur was remediable, and (iii) the  | 
 proposed dismissal should be sustained, shall issue a  | 
 written order as to whether the teacher must be retained  | 
 or dismissed for cause from its employ. The school board's  | 
 written order shall incorporate the hearing officer's  | 
 findings of fact, except that the school board may modify  | 
 or supplement the findings of fact if, in its opinion, the  | 
 findings of fact are against the manifest weight of the  | 
 evidence. | 
  If the school board dismisses the teacher  | 
 notwithstanding the hearing officer's findings of fact and  | 
 recommendation, the school board shall make a conclusion  | 
 in its written order, giving its reasons therefor, and  | 
 | 
 such conclusion and reasons must be included in its  | 
 written order. The failure of the school board to strictly  | 
 adhere to the timelines contained in this Section shall  | 
 not render it without jurisdiction to dismiss the teacher.  | 
 The school board shall not lose jurisdiction to discharge  | 
 the teacher for cause if the hearing officer fails to  | 
 render a recommendation within the time specified in this  | 
 Section. The decision of the school board is final, unless  | 
 reviewed as provided in paragraph (9) of this subsection  | 
 (d). | 
  If the school board retains the teacher, the school  | 
 board shall enter a written order stating the amount of  | 
 back pay and lost benefits, less mitigation, to be paid to  | 
 the teacher, within 45 days after its retention order.  | 
 Should the teacher object to the amount of the back pay and  | 
 lost benefits or amount mitigated, the teacher shall give  | 
 written objections to the amount within 21 days. If the  | 
 parties fail to reach resolution within 7 days, the  | 
 dispute shall be referred to the hearing officer, who  | 
 shall consider the school board's written order and  | 
 teacher's written objection and determine the amount to  | 
 which the school board is liable. The costs of the hearing  | 
 officer's review and determination must be paid by the  | 
 board. | 
  (9) The decision of the hearing officer pursuant to  | 
 Article 24A of this Code or of the school board's decision  | 
 | 
 to dismiss for cause is final unless reviewed as provided  | 
 in Section 24-16 of this Code. If the school board's  | 
 decision to dismiss for cause is contrary to the hearing  | 
 officer's recommendation, the court on review shall give  | 
 consideration to the school board's decision and its  | 
 supplemental findings of fact, if applicable, and the  | 
 hearing officer's findings of fact and recommendation in  | 
 making its decision. In the event such review is  | 
 instituted, the school board shall be responsible for  | 
 preparing and filing the record of proceedings, and such  | 
 costs associated therewith must be divided equally between  | 
 the parties. | 
  (10) If a decision of the hearing officer for  | 
 dismissal pursuant to Article 24A of this Code or of the  | 
 school board for dismissal for cause is adjudicated upon  | 
 review or appeal in favor of the teacher, then the trial  | 
 court shall order reinstatement and shall remand the  | 
 matter to the school board with direction for entry of an  | 
 order setting the amount of back pay, lost benefits, and  | 
 costs, less mitigation. The teacher may challenge the  | 
 school board's order setting the amount of back pay, lost  | 
 benefits, and costs, less mitigation, through an expedited  | 
 arbitration procedure, with the costs of the arbitrator  | 
 borne by the school board. | 
  Any teacher who is reinstated by any hearing or  | 
 adjudication brought under this Section shall be assigned  | 
 | 
 by the board to a position substantially similar to the  | 
 one which that teacher held prior to that teacher's  | 
 suspension or dismissal. | 
  (11) Subject to any later effective date referenced in  | 
 this Section for a specific aspect of the dismissal  | 
 process, the changes made by Public Act 97-8 shall apply  | 
 to dismissals instituted on or after September 1, 2011.  | 
 Any dismissal instituted prior to September 1, 2011 must  | 
 be carried out in accordance with the requirements of this  | 
 Section prior to amendment by Public Act 97-8.  | 
 (e) Nothing contained in Public Act 98-648 repeals,  | 
supersedes, invalidates, or nullifies final decisions in  | 
lawsuits pending on July 1, 2014 (the effective date of Public  | 
Act 98-648) in Illinois courts involving the interpretation of  | 
Public Act 97-8.  | 
(Source: P.A. 102-708, eff. 4-22-22; 103-354, eff. 1-1-24;  | 
103-398, eff. 1-1-24; 103-500, eff. 8-4-23; revised 8-30-23.)
 | 
 (105 ILCS 5/24A-5) (from Ch. 122, par. 24A-5) | 
 Sec. 24A-5. Content of evaluation plans.  This Section  | 
does not apply to teachers assigned to schools identified in  | 
an agreement entered into between the board of a school  | 
district operating under Article 34 of this Code and the  | 
exclusive representative of the district's teachers in  | 
accordance with Section 34-85c of this Code.  | 
 Each school district to which this Article applies shall  | 
 | 
establish a teacher evaluation plan which ensures that each  | 
teacher in contractual continued service is evaluated at least  | 
once in the course of every 2 or 3 school years as provided in  | 
this Section. | 
 Each school district shall establish a teacher evaluation  | 
plan that ensures that: | 
  (1) each teacher not in contractual continued service  | 
 is evaluated at least once every school year; and | 
  (2) except as otherwise provided in this Section, each  | 
 teacher in contractual continued service is evaluated at  | 
 least once in the course of every 2 school years. However,  | 
 any teacher in contractual continued service whose  | 
 performance is rated as either "needs improvement" or  | 
 "unsatisfactory" must be evaluated at least once in the  | 
 school year following the receipt of such rating. | 
 No later than September 1, 2022, each school district must  | 
establish a teacher evaluation plan that ensures that each  | 
teacher in contractual continued service whose performance is  | 
rated as either "excellent" or "proficient" is evaluated at  | 
least once in the course of the 3 school years after receipt of  | 
the rating and implement an informal teacher observation plan  | 
established by agency rule and by agreement of the joint  | 
committee established under subsection (b) of Section 24A-4 of  | 
this Code that ensures that each teacher in contractual  | 
continued service whose performance is rated as either  | 
"excellent" or "proficient" is informally observed at least  | 
 | 
once in the course of the 2 school years after receipt of the  | 
rating.  | 
 For the 2022-2023 school year only, if the Governor has  | 
declared a disaster due to a public health emergency pursuant  | 
to Section 7 of the Illinois Emergency Management Agency Act,  | 
a school district may waive the evaluation requirement of all  | 
teachers in contractual continued service whose performances  | 
were rated as either "excellent" or "proficient" during the  | 
last school year in which the teachers were evaluated under  | 
this Section. | 
 Notwithstanding anything to the contrary in this Section  | 
or any other Section of this Code, a principal shall not be  | 
prohibited from evaluating any teachers within a school during  | 
his or her first year as principal of such school. If a  | 
first-year principal exercises this option in a school  | 
district where the evaluation plan provides for a teacher in  | 
contractual continued service to be evaluated once in the  | 
course of every 2 or 3 school years, as applicable, then a new  | 
2-year or 3-year evaluation plan must be established.  | 
 The evaluation plan shall comply with the requirements of  | 
this Section and of any rules adopted by the State Board of  | 
Education pursuant to this Section. | 
 The plan shall include a description of each teacher's  | 
duties and responsibilities and of the standards to which that  | 
teacher is expected to conform, and shall include at least the  | 
following components: | 
 | 
  (a) personal observation of the teacher in the  | 
 classroom by the evaluator, unless the teacher has no  | 
 classroom duties. | 
  (b) consideration of the teacher's attendance,  | 
 planning, instructional methods, classroom management,  | 
 where relevant, and competency in the subject matter  | 
 taught. | 
  (c) by no later than the applicable implementation  | 
 date, consideration of student growth as a significant  | 
 factor in the rating of the teacher's performance. | 
  (d) prior to September 1, 2012, rating of the  | 
 performance of teachers in contractual continued service  | 
 as either:  | 
   (i) "excellent", "satisfactory" or  | 
 "unsatisfactory"; or | 
   (ii) "excellent", "proficient", "needs  | 
 improvement" or "unsatisfactory". | 
  (e) on and after September 1, 2012, rating of the  | 
 performance of all teachers as "excellent", "proficient",  | 
 "needs improvement" or "unsatisfactory". | 
  (f) specification as to the teacher's strengths and  | 
 weaknesses, with supporting reasons for the comments made. | 
  (g) inclusion of a copy of the evaluation in the  | 
 teacher's personnel file and provision of a copy to the  | 
 teacher. | 
  (h) within 30 school days after the completion of an  | 
 | 
 evaluation rating a teacher in contractual continued  | 
 service as "needs improvement", development by the  | 
 evaluator, in consultation with the teacher, and taking  | 
 into account the teacher's on-going professional  | 
 responsibilities including his or her regular teaching  | 
 assignments, of a professional development plan directed  | 
 to the areas that need improvement and any supports that  | 
 the district will provide to address the areas identified  | 
 as needing improvement. | 
  (i) within 30 school days after completion of an  | 
 evaluation rating a teacher in contractual continued  | 
 service as "unsatisfactory", development and commencement  | 
 by the district of a remediation plan designed to correct  | 
 deficiencies cited, provided the deficiencies are deemed  | 
 remediable. In all school districts the remediation plan  | 
 for unsatisfactory, tenured teachers shall provide for 90  | 
 school days of remediation within the classroom, unless an  | 
 applicable collective bargaining agreement provides for a  | 
 shorter duration. In all school districts evaluations  | 
 issued pursuant to this Section shall be issued within 10  | 
 days after the conclusion of the respective remediation  | 
 plan. However, the school board or other governing  | 
 authority of the district shall not lose jurisdiction to  | 
 discharge a teacher in the event the evaluation is not  | 
 issued within 10 days after the conclusion of the  | 
 respective remediation plan. | 
 | 
  (j) participation in the remediation plan by the  | 
 teacher in contractual continued service rated  | 
 "unsatisfactory", an evaluator and a consulting teacher  | 
 selected by the evaluator of the teacher who was rated  | 
 "unsatisfactory", which consulting teacher is an  | 
 educational employee as defined in the Illinois  | 
 Educational Labor Relations Act, has at least 5 years'  | 
 teaching experience, and a reasonable familiarity with the  | 
 assignment of the teacher being evaluated, and who  | 
 received an "excellent" rating on his or her most recent  | 
 evaluation. Where no teachers who meet these criteria are  | 
 available within the district, the district shall request  | 
 and the applicable regional office of education shall  | 
 supply, to participate in the remediation process, an  | 
 individual who meets these criteria. | 
  In a district having a population of less than 500,000  | 
 with an exclusive bargaining agent, the bargaining agent  | 
 may, if it so chooses, supply a roster of qualified  | 
 teachers from whom the consulting teacher is to be  | 
 selected. That roster shall, however, contain the names of  | 
 at least 5 teachers, each of whom meets the criteria for  | 
 consulting teacher with regard to the teacher being  | 
 evaluated, or the names of all teachers so qualified if  | 
 that number is less than 5. In the event of a dispute as to  | 
 qualification, the State Board shall determine  | 
 qualification. | 
 | 
  (k) a mid-point and final evaluation by an evaluator  | 
 during and at the end of the remediation period,  | 
 immediately following receipt of a remediation plan  | 
 provided for under subsections (i) and (j) of this  | 
 Section. Each evaluation shall assess the teacher's  | 
 performance during the time period since the prior  | 
 evaluation; provided that the last evaluation shall also  | 
 include an overall evaluation of the teacher's performance  | 
 during the remediation period. A written copy of the  | 
 evaluations and ratings, in which any deficiencies in  | 
 performance and recommendations for correction are  | 
 identified, shall be provided to and discussed with the  | 
 teacher within 10 school days after the date of the  | 
 evaluation, unless an applicable collective bargaining  | 
 agreement provides to the contrary. These subsequent  | 
 evaluations shall be conducted by an evaluator. The  | 
 consulting teacher shall provide advice to the teacher  | 
 rated "unsatisfactory" on how to improve teaching skills  | 
 and to successfully complete the remediation plan. The  | 
 consulting teacher shall participate in developing the  | 
 remediation plan, but the final decision as to the  | 
 evaluation shall be done solely by the evaluator, unless  | 
 an applicable collective bargaining agreement provides to  | 
 the contrary. Evaluations at the conclusion of the  | 
 remediation process shall be separate and distinct from  | 
 the required annual evaluations of teachers and shall not  | 
 | 
 be subject to the guidelines and procedures relating to  | 
 those annual evaluations. The evaluator may but is not  | 
 required to use the forms provided for the annual  | 
 evaluation of teachers in the district's evaluation plan. | 
  (l) reinstatement to the evaluation schedule set forth  | 
 in the district's evaluation plan for any teacher in  | 
 contractual continued service who achieves a rating equal  | 
 to or better than "satisfactory" or "proficient" in the  | 
 school year following a rating of "needs improvement" or  | 
 "unsatisfactory". | 
  (m) dismissal in accordance with subsection (d) of  | 
 Section 24-12 or Section 24-16.5 or 34-85 of this Code of  | 
 any teacher who fails to complete any applicable  | 
 remediation plan with a rating equal to or better than a  | 
 "satisfactory" or "proficient" rating. Districts and  | 
 teachers subject to dismissal hearings are precluded from  | 
 compelling the testimony of consulting teachers at such  | 
 hearings under subsection (d) of Section 24-12 or Section  | 
 24-16.5 or 34-85 of this Code, either as to the rating  | 
 process or for opinions of performances by teachers under  | 
 remediation. | 
  (n) After the implementation date of an evaluation  | 
 system for teachers in a district as specified in Section  | 
 24A-2.5 of this Code, if a teacher in contractual  | 
 continued service successfully completes a remediation  | 
 plan following a rating of "unsatisfactory" in an overall  | 
 | 
 performance evaluation received after the foregoing  | 
 implementation date and receives a subsequent rating of  | 
 "unsatisfactory" in any of the teacher's overall  | 
 performance evaluation ratings received during the  | 
 36-month period following the teacher's completion of the  | 
 remediation plan, then the school district may forgo  | 
 forego remediation and seek dismissal in accordance with  | 
 subsection (d) of Section 24-12 or Section 34-85 of this  | 
 Code.  | 
  (o) Teachers who are due to be evaluated in the last  | 
 year before they are set to retire shall be offered the  | 
 opportunity to waive their evaluation and to retain their  | 
 most recent rating, unless the teacher was last rated as  | 
 "needs improvement" or "unsatisfactory". The school  | 
 district may still reserve the right to evaluate a teacher  | 
 provided the district gives notice to the teacher at least  | 
 14 days before the evaluation and a reason for evaluating  | 
 the teacher.  | 
 Nothing in this Section or Section 24A-4 shall be  | 
construed as preventing immediate dismissal of a teacher for  | 
deficiencies which are deemed irremediable or for actions  | 
which are injurious to or endanger the health or person of  | 
students in the classroom or school, or preventing the  | 
dismissal or non-renewal of teachers not in contractual  | 
continued service for any reason not prohibited by applicable  | 
employment, labor, and civil rights laws. Failure to strictly  | 
 | 
comply with the time requirements contained in Section 24A-5  | 
shall not invalidate the results of the remediation plan. | 
 Nothing contained in Public Act 98-648 this amendatory Act  | 
of the 98th General Assembly repeals, supersedes, invalidates,  | 
or nullifies final decisions in lawsuits pending on July 1,  | 
2014 (the effective date of Public Act 98-648) this amendatory  | 
Act of the 98th General Assembly in Illinois courts involving  | 
the interpretation of Public Act 97-8.  | 
 If the Governor has declared a disaster due to a public  | 
health emergency pursuant to Section 7 of the Illinois  | 
Emergency Management Agency Act that suspends in-person  | 
instruction, the timelines in this Section connected to the  | 
commencement and completion of any remediation plan are  | 
waived. Except if the parties mutually agree otherwise and the  | 
agreement is in writing, any remediation plan that had been in  | 
place for more than 45 days prior to the suspension of  | 
in-person instruction shall resume when in-person instruction  | 
resumes and any remediation plan that had been in place for  | 
fewer than 45 days prior to the suspension of in-person  | 
instruction shall be discontinued and a new remediation period  | 
shall begin when in-person instruction resumes. The  | 
requirements of this paragraph apply regardless of whether  | 
they are included in a school district's teacher evaluation  | 
plan.  | 
(Source: P.A. 102-252, eff. 1-1-22; 102-729, eff. 5-6-22;  | 
103-85, eff. 6-9-23; revised 9-20-23.)
 | 
 | 
 (105 ILCS 5/26A-40) | 
 (This Section may contain text from a Public Act with a  | 
delayed effective date) | 
 Sec. 26A-40. Support and services. | 
 (a) To facilitate the full participation of students who  | 
are parents, expectant parents, or victims of domestic or  | 
sexual violence, each school district must provide those  | 
students with in-school support services and information  | 
regarding nonschool-based support services, and the ability to  | 
make up work missed on account of circumstances related to the  | 
student's status as a parent, expectant parent, or victim of  | 
domestic or sexual violence. Victims of domestic or sexual  | 
violence must have access to those supports and services  | 
regardless of when or where the violence for which they are  | 
seeking supports and services occurred. All supports and  | 
services must be offered for as long as necessary to maintain  | 
the mental and physical well-being and safety of the student.  | 
Schools may periodically check on students receiving supports  | 
and services to determine whether each support and service  | 
continues to be necessary to maintain the mental and physical  | 
well-being and safety of the student or whether termination is  | 
appropriate. | 
 (b) Supports provided under subsection (a) shall include,  | 
but are not limited to (i) the provision of sufficiently  | 
private settings to ensure confidentiality and time off from  | 
 | 
class for meetings with counselors or other service providers,  | 
(ii) assisting the student with a student success plan, (iii)  | 
transferring a victim of domestic or sexual violence or the  | 
student perpetrator to a different classroom or school, if  | 
available, (iv) changing a seating assignment, (v)  | 
implementing in-school, school grounds, and bus safety  | 
procedures, (vi) honoring court orders, including orders of  | 
protection and no-contact orders to the fullest extent  | 
possible, and (vii) providing any other supports that may  | 
facilitate the full participation in the regular education  | 
program of students who are parents, expectant parents, or  | 
victims of domestic or sexual violence. | 
 (c) If a student who is a parent, expectant parent, or  | 
victim of domestic or sexual violence is a student at risk of  | 
academic failure or displays poor academic performance, the  | 
student or the student's parent or guardian may request that  | 
the school district provide the student with or refer the  | 
student to education and support services designed to assist  | 
the student in meeting State learning standards. A school  | 
district may either provide education or support services  | 
directly or may collaborate with public or private State,  | 
local, or community-based organizations or agencies that  | 
provide these services. A school district must also inform  | 
those students about support services of nonschool-based  | 
organizations and agencies from which those students typically  | 
receive services in the community. | 
 | 
 (d) Any student who is unable, because of circumstances  | 
related to the student's status as a parent, expectant parent,  | 
or victim of domestic or sexual violence, to participate in  | 
classes on a particular day or days or at the particular time  | 
of day must be excused in accordance with the procedures set  | 
forth in this Code. Upon student or parent or guardian's  | 
request, the teachers and of the school administrative  | 
personnel and officials shall make available to each student  | 
who is unable to participate because of circumstances related  | 
to the student's status as a parent, expectant parent, or  | 
victim of domestic or sexual violence a meaningful opportunity  | 
to make up any examination, study, or work requirement that  | 
the student has missed because of the inability to participate  | 
on any particular day or days or at any particular time of day.  | 
For a student receiving homebound instruction, it is the  | 
responsibility of the student and parent to work with the  | 
school or school district to meet academic standards for  | 
matriculation, as defined by school district policy. Costs  | 
assessed by the school district on the student for  | 
participation in those activities shall be considered waivable  | 
fees for any student whose parent or guardian is unable to  | 
afford them, consistent with Section 10-20.13. Each school  | 
district must adopt written policies for waiver of those fees  | 
in accordance with rules adopted by the State Board of  | 
Education. | 
 (e) If a school or school district employee or agent  | 
 | 
becomes aware of or suspects a student's status as a parent,  | 
expectant parent, or victim of domestic or sexual violence, it  | 
is the responsibility of the employee or agent of the school or  | 
school district to refer the student to the school district's  | 
domestic or sexual violence and parenting resource personnel  | 
set forth in Section 26A-35. A school district must make  | 
respecting a student's privacy, confidentiality, mental and  | 
physical health, and safety a paramount concern. | 
 (f) Each school must honor a student's and a parent's or  | 
guardian's decision to obtain education and support services  | 
and nonschool-based support services, to terminate the receipt  | 
of those education and support services, or nonschool-based  | 
support services, or to decline participation in those  | 
education and support services, or nonschool-based support  | 
services. No student is obligated to use education and support  | 
services, or nonschool-based support services. In developing  | 
educational support services, the privacy, mental and physical  | 
health, and safety of the student shall be of paramount  | 
concern. No adverse or prejudicial effects may result to any  | 
student because of the student's availing of or declining the  | 
provisions of this Section as long as the student is working  | 
with the school to meet academic standards for matriculation  | 
as defined by school district policy. | 
 (g) Any support services must be available in any school  | 
or by home or hospital instruction to the highest quality and  | 
fullest extent possible for the individual setting. | 
 | 
 (h) School-based counseling services, if available, must  | 
be offered to students who are parents, expectant parents, or  | 
victims of domestic or sexual violence consistent with the  | 
Mental Health and Developmental Disabilities Code. At least  | 
once every school year, each school district must inform, in  | 
writing, all school personnel and all students 12 years of age  | 
or older of the availability of counseling without parental or  | 
guardian consent under Section 3-5A-105 (to be renumbered as  | 
Section 3-550 in a revisory bill as of the effective date of  | 
this amendatory Act of the 102nd General Assembly) of the  | 
Mental Health and Developmental Disabilities Code. This  | 
information must also be provided to students immediately  | 
after any school personnel becomes aware that a student is a  | 
parent, expectant parent, or victim of domestic or sexual  | 
violence. | 
 (i) All domestic or sexual violence organizations and  | 
their staff and any other nonschool organization and its staff  | 
shall maintain confidentiality under federal and State laws  | 
and their professional ethics policies regardless of when or  | 
where information, advice, counseling, or any other  | 
interaction with students takes place. A school or school  | 
district may not request or require those organizations or  | 
individuals to breach confidentiality.  | 
(Source: P.A. 102-466, eff. 7-1-25; revised 4-3-23.)
 | 
 (105 ILCS 5/27-23.1) (from Ch. 122, par. 27-23.1) | 
 | 
 Sec. 27-23.1. Parenting education.   | 
 (a) The State Board of Education must assist each school  | 
district that offers an evidence-based parenting education  | 
model. School districts may provide instruction in parenting  | 
education for grades 6 through 12 and include such instruction  | 
in the courses of study regularly taught therein. School  | 
districts may give regular school credit for satisfactory  | 
completion by the student of such courses. | 
 As used in this subsection (a), "parenting education"  | 
means and includes instruction in the following: | 
  (1) Child growth and development, including prenatal  | 
 development. | 
  (2) Childbirth and child care. | 
  (3) Family structure, function, and management. | 
  (4) Prenatal and postnatal care for mothers and  | 
 infants. | 
  (5) Prevention of child abuse. | 
  (6) The physical, mental, emotional, social, economic,  | 
 and psychological aspects of interpersonal and family  | 
 relationships. | 
  (7) Parenting skill development. | 
 The State Board of Education shall assist those districts  | 
offering parenting education instruction, upon request, in  | 
developing instructional materials, training teachers, and  | 
establishing appropriate time allotments for each of the areas  | 
included in such instruction. | 
 | 
 School districts may offer parenting education courses  | 
during that period of the day which is not part of the regular  | 
school day. Residents of the school district may enroll in  | 
such courses. The school board may establish fees and collect  | 
such charges as may be necessary for attendance at such  | 
courses in an amount not to exceed the per capita cost of the  | 
operation thereof, except that the board may waive all or part  | 
of such charges if it determines that the individual is  | 
indigent or that the educational needs of the individual  | 
requires his or her attendance at such courses. | 
 (b) Beginning with the 2019-2020 school year, from  | 
appropriations made for the purposes of this Section, the  | 
State Board of Education shall implement and administer a  | 
7-year pilot program supporting the health and wellness  | 
student-learning requirement by utilizing a unit of  | 
instruction on parenting education in participating school  | 
districts that maintain grades 9 through 12, to be determined  | 
by the participating school districts. The program is  | 
encouraged to include, but is not be limited to, instruction  | 
on (i) family structure, function, and management, (ii) the  | 
prevention of child abuse, (iii) the physical, mental,  | 
emotional, social, economic, and psychological aspects of  | 
interpersonal and family relationships, and (iv) parenting  | 
education competency development that is aligned to the social  | 
and emotional learning standards of the student's grade level.  | 
Instruction under this subsection (b) may be included in the  | 
 | 
Comprehensive Health Education Program set forth under Section  | 
3 of the Critical Health Problems and Comprehensive Health  | 
Education Act. The State Board of Education is authorized to  | 
make grants to school districts that apply to participate in  | 
the pilot program under this subsection (b). The provisions of  | 
this subsection (b), other than this sentence, are inoperative  | 
at the conclusion of the pilot program.  | 
(Source: P.A. 103-8, eff. 6-7-23; 103-175, eff. 6-30-23;  | 
revised 9-5-23.)
 | 
 (105 ILCS 5/27A-3) | 
 Sec. 27A-3. Definitions. For purposes of this Article: | 
 "At-risk pupil" means a pupil who, because of physical,  | 
emotional, socioeconomic, or cultural factors, is less likely  | 
to succeed in a conventional educational environment. | 
 "Authorizer" means an entity authorized under this Article  | 
to review applications, decide whether to approve or reject  | 
applications, enter into charter contracts with applicants,  | 
oversee charter schools, and decide whether to renew, not  | 
renew, or revoke a charter. | 
 "Local school board" means the duly elected or appointed  | 
school board or board of education of a public school  | 
district, including special charter districts and school  | 
districts located in cities having a population of more than  | 
500,000, organized under the laws of this State. | 
 "State Board" means the State Board of Education. | 
 | 
 "Union neutrality clause" means a provision whereby a  | 
charter school agrees: (1) to be neutral regarding the  | 
unionization of any of its employees, such that the charter  | 
school will not at any time express a position on the matter of  | 
whether its employees will be unionized and such that the  | 
charter school will not threaten, intimidate, discriminate  | 
against, retaliate against, or take any adverse action against  | 
any employees based on their decision to support or oppose  | 
union representation; (2) to provide any bona fide labor  | 
organization access at reasonable times to areas in which the  | 
charter school's employees work for the purpose of meeting  | 
with employees to discuss their right to representation,  | 
employment rights under the law, and terms and conditions of  | 
employment; and (3) that union recognition shall be through a  | 
majority card check verified by a neutral third-party  | 
arbitrator mutually selected by the charter school and the  | 
bona fide labor organization through alternate striking from a  | 
panel of arbitrators provided by the Federal Mediation and  | 
Conciliation Service. As used in this definition, "bona fide  | 
labor organization" means a labor organization recognized  | 
under the National Labor Relations Act or the Illinois  | 
Educational Labor Relations Act. As used in this definition,  | 
"employees" means non-represented, non-management, and  | 
non-confidential employees of a charter school.  | 
(Source: P.A. 103-175, eff. 6-30-23; 103-416, eff. 8-4-23;  | 
revised 9-5-23.)
 | 
 | 
 (105 ILCS 5/27A-5) | 
 (Text of Section before amendment by P.A. 102-466 and  | 
103-472) | 
 Sec. 27A-5. Charter school; legal entity; requirements.  | 
 (a) A charter school shall be a public, nonsectarian,  | 
nonreligious, non-home based, and non-profit school. A charter  | 
school shall be organized and operated as a nonprofit  | 
corporation or other discrete, legal, nonprofit entity  | 
authorized under the laws of the State of Illinois. | 
 (b) A charter school may be established under this Article  | 
by creating a new school or by converting an existing public  | 
school or attendance center to charter school status. In all  | 
new applications to establish a charter school in a city  | 
having a population exceeding 500,000, operation of the  | 
charter school shall be limited to one campus. This limitation  | 
does not apply to charter schools existing or approved on or  | 
before April 16, 2003. | 
 (b-5) (Blank).  | 
 (c) A charter school shall be administered and governed by  | 
its board of directors or other governing body in the manner  | 
provided in its charter. The governing body of a charter  | 
school shall be subject to the Freedom of Information Act and  | 
the Open Meetings Act. A charter school's board of directors  | 
or other governing body must include at least one parent or  | 
guardian of a pupil currently enrolled in the charter school  | 
 | 
who may be selected through the charter school or a charter  | 
network election, appointment by the charter school's board of  | 
directors or other governing body, or by the charter school's  | 
Parent Teacher Organization or its equivalent.  | 
 (c-5) No later than January 1, 2021 or within the first  | 
year of his or her first term, every voting member of a charter  | 
school's board of directors or other governing body shall  | 
complete a minimum of 4 hours of professional development  | 
leadership training to ensure that each member has sufficient  | 
familiarity with the board's or governing body's role and  | 
responsibilities, including financial oversight and  | 
accountability of the school, evaluating the principal's and  | 
school's performance, adherence to the Freedom of Information  | 
Act and the Open Meetings Act, and compliance with education  | 
and labor law. In each subsequent year of his or her term, a  | 
voting member of a charter school's board of directors or  | 
other governing body shall complete a minimum of 2 hours of  | 
professional development training in these same areas. The  | 
training under this subsection may be provided or certified by  | 
a statewide charter school membership association or may be  | 
provided or certified by other qualified providers approved by  | 
the State Board.  | 
 (d) For purposes of this subsection (d), "non-curricular  | 
health and safety requirement" means any health and safety  | 
requirement created by statute or rule to provide, maintain,  | 
preserve, or safeguard safe or healthful conditions for  | 
 | 
students and school personnel or to eliminate, reduce, or  | 
prevent threats to the health and safety of students and  | 
school personnel. "Non-curricular health and safety  | 
requirement" does not include any course of study or  | 
specialized instructional requirement for which the State  | 
Board has established goals and learning standards or which is  | 
designed primarily to impart knowledge and skills for students  | 
to master and apply as an outcome of their education. | 
 A charter school shall comply with all non-curricular  | 
health and safety requirements applicable to public schools  | 
under the laws of the State of Illinois. The State Board shall  | 
promulgate and post on its Internet website a list of  | 
non-curricular health and safety requirements that a charter  | 
school must meet. The list shall be updated annually no later  | 
than September 1. Any charter contract between a charter  | 
school and its authorizer must contain a provision that  | 
requires the charter school to follow the list of all  | 
non-curricular health and safety requirements promulgated by  | 
the State Board and any non-curricular health and safety  | 
requirements added by the State Board to such list during the  | 
term of the charter. Nothing in this subsection (d) precludes  | 
an authorizer from including non-curricular health and safety  | 
requirements in a charter school contract that are not  | 
contained in the list promulgated by the State Board,  | 
including non-curricular health and safety requirements of the  | 
authorizing local school board.  | 
 | 
 (e) Except as otherwise provided in the School Code, a  | 
charter school shall not charge tuition; provided that a  | 
charter school may charge reasonable fees for textbooks,  | 
instructional materials, and student activities. | 
 (f) A charter school shall be responsible for the  | 
management and operation of its fiscal affairs, including, but  | 
not limited to, the preparation of its budget. An audit of each  | 
charter school's finances shall be conducted annually by an  | 
outside, independent contractor retained by the charter  | 
school. The contractor shall not be an employee of the charter  | 
school or affiliated with the charter school or its authorizer  | 
in any way, other than to audit the charter school's finances.  | 
To ensure financial accountability for the use of public  | 
funds, on or before December 1 of every year of operation, each  | 
charter school shall submit to its authorizer and the State  | 
Board a copy of its audit and a copy of the Form 990 the  | 
charter school filed that year with the federal Internal  | 
Revenue Service. In addition, if deemed necessary for proper  | 
financial oversight of the charter school, an authorizer may  | 
require quarterly financial statements from each charter  | 
school.  | 
 (g) A charter school shall comply with all provisions of  | 
this Article, the Illinois Educational Labor Relations Act,  | 
all federal and State laws and rules applicable to public  | 
schools that pertain to special education and the instruction  | 
of English learners, and its charter. A charter school is  | 
 | 
exempt from all other State laws and regulations in this Code  | 
governing public schools and local school board policies;  | 
however, a charter school is not exempt from the following: | 
  (1) Sections 10-21.9 and 34-18.5 of this Code  | 
 regarding criminal history records checks and checks of  | 
 the Statewide Sex Offender Database and Statewide Murderer  | 
 and Violent Offender Against Youth Database of applicants  | 
 for employment; | 
  (2) Sections 10-20.14, 10-22.6, 24-24, 34-19, and  | 
 34-84a of this Code regarding discipline of students; | 
  (3) the Local Governmental and Governmental Employees  | 
 Tort Immunity Act; | 
  (4) Section 108.75 of the General Not For Profit  | 
 Corporation Act of 1986 regarding indemnification of  | 
 officers, directors, employees, and agents; | 
  (5) the Abused and Neglected Child Reporting Act; | 
  (5.5) subsection (b) of Section 10-23.12 and  | 
 subsection (b) of Section 34-18.6 of this Code; | 
  (6) the Illinois School Student Records Act; | 
  (7) Section 10-17a of this Code regarding school  | 
 report cards; | 
  (8) the P-20 Longitudinal Education Data System Act; | 
  (9) Section 27-23.7 of this Code regarding bullying  | 
 prevention; | 
  (10) Section 2-3.162 of this Code regarding student  | 
 discipline reporting; | 
 | 
  (11) Sections 22-80 and 27-8.1 of this Code; | 
  (12) Sections 10-20.60 and 34-18.53 of this Code; | 
  (13) Sections 10-20.63 and 34-18.56 of this Code; | 
  (14) Sections 22-90 and 26-18 of this Code; | 
  (15) Section 22-30 of this Code;  | 
  (16) Sections 24-12 and 34-85 of this Code; | 
  (17) the Seizure Smart School Act; | 
  (18) Section 2-3.64a-10 of this Code; | 
  (19) Sections 10-20.73 and 34-21.9 of this Code; | 
  (20) Section 10-22.25b of this Code; | 
  (21) Section 27-9.1a of this Code; | 
  (22) Section 27-9.1b of this Code;  | 
  (23) Section 34-18.8 of this Code; | 
  (25) Section 2-3.188 of this Code; | 
  (26) Section 22-85.5 of this Code;  | 
  (27) subsections (d-10), (d-15), and (d-20) of Section  | 
 10-20.56 of this Code;  | 
  (28) Sections 10-20.83 and 34-18.78 of this Code;  | 
  (29) Section 10-20.13 of this Code;  | 
  (30) Section 28-19.2 of this Code;  | 
  (31) Section 34-21.6 of this Code; and  | 
  (32) Section 22-85.10 of this Code. | 
 The change made by Public Act 96-104 to this subsection  | 
(g) is declaratory of existing law. | 
 (h) A charter school may negotiate and contract with a  | 
school district, the governing body of a State college or  | 
 | 
university or public community college, or any other public or  | 
for-profit or nonprofit private entity for: (i) the use of a  | 
school building and grounds or any other real property or  | 
facilities that the charter school desires to use or convert  | 
for use as a charter school site, (ii) the operation and  | 
maintenance thereof, and (iii) the provision of any service,  | 
activity, or undertaking that the charter school is required  | 
to perform in order to carry out the terms of its charter.  | 
Except as provided in subsection (i) of this Section, a school  | 
district may charge a charter school reasonable rent for the  | 
use of the district's buildings, grounds, and facilities. Any  | 
services for which a charter school contracts with a school  | 
district shall be provided by the district at cost. Any  | 
services for which a charter school contracts with a local  | 
school board or with the governing body of a State college or  | 
university or public community college shall be provided by  | 
the public entity at cost. | 
 (i) In no event shall a charter school that is established  | 
by converting an existing school or attendance center to  | 
charter school status be required to pay rent for space that is  | 
deemed available, as negotiated and provided in the charter  | 
agreement, in school district facilities. However, all other  | 
costs for the operation and maintenance of school district  | 
facilities that are used by the charter school shall be  | 
subject to negotiation between the charter school and the  | 
local school board and shall be set forth in the charter. | 
 | 
 (j) A charter school may limit student enrollment by age  | 
or grade level. | 
 (k) If the charter school is authorized by the State  | 
Board, then the charter school is its own local education  | 
agency.  | 
(Source: P.A. 102-51, eff. 7-9-21; 102-157, eff. 7-1-22;  | 
102-360, eff. 1-1-22; 102-445, eff. 8-20-21; 102-522, eff.  | 
8-20-21; 102-558, eff. 8-20-21; 102-676, eff. 12-3-21;  | 
102-697, eff. 4-5-22; 102-702, eff. 7-1-23; 102-805, eff.  | 
1-1-23; 102-813, eff. 5-13-22; 103-154, eff. 6-30-23; 103-175,  | 
eff. 6-30-23.)
 | 
 (Text of Section after amendment by P.A. 103-472 but  | 
before amendment by P.A. 102-466) | 
 Sec. 27A-5. Charter school; legal entity; requirements.  | 
 (a) A charter school shall be a public, nonsectarian,  | 
nonreligious, non-home based, and non-profit school. A charter  | 
school shall be organized and operated as a nonprofit  | 
corporation or other discrete, legal, nonprofit entity  | 
authorized under the laws of the State of Illinois. | 
 (b) A charter school may be established under this Article  | 
by creating a new school or by converting an existing public  | 
school or attendance center to charter school status. In all  | 
new applications to establish a charter school in a city  | 
having a population exceeding 500,000, operation of the  | 
charter school shall be limited to one campus. This limitation  | 
 | 
does not apply to charter schools existing or approved on or  | 
before April 16, 2003. | 
 (b-5) (Blank).  | 
 (c) A charter school shall be administered and governed by  | 
its board of directors or other governing body in the manner  | 
provided in its charter. The governing body of a charter  | 
school shall be subject to the Freedom of Information Act and  | 
the Open Meetings Act. A charter school's board of directors  | 
or other governing body must include at least one parent or  | 
guardian of a pupil currently enrolled in the charter school  | 
who may be selected through the charter school or a charter  | 
network election, appointment by the charter school's board of  | 
directors or other governing body, or by the charter school's  | 
Parent Teacher Organization or its equivalent.  | 
 (c-5) No later than January 1, 2021 or within the first  | 
year of his or her first term, every voting member of a charter  | 
school's board of directors or other governing body shall  | 
complete a minimum of 4 hours of professional development  | 
leadership training to ensure that each member has sufficient  | 
familiarity with the board's or governing body's role and  | 
responsibilities, including financial oversight and  | 
accountability of the school, evaluating the principal's and  | 
school's performance, adherence to the Freedom of Information  | 
Act and the Open Meetings Act, and compliance with education  | 
and labor law. In each subsequent year of his or her term, a  | 
voting member of a charter school's board of directors or  | 
 | 
other governing body shall complete a minimum of 2 hours of  | 
professional development training in these same areas. The  | 
training under this subsection may be provided or certified by  | 
a statewide charter school membership association or may be  | 
provided or certified by other qualified providers approved by  | 
the State Board.  | 
 (d) For purposes of this subsection (d), "non-curricular  | 
health and safety requirement" means any health and safety  | 
requirement created by statute or rule to provide, maintain,  | 
preserve, or safeguard safe or healthful conditions for  | 
students and school personnel or to eliminate, reduce, or  | 
prevent threats to the health and safety of students and  | 
school personnel. "Non-curricular health and safety  | 
requirement" does not include any course of study or  | 
specialized instructional requirement for which the State  | 
Board has established goals and learning standards or which is  | 
designed primarily to impart knowledge and skills for students  | 
to master and apply as an outcome of their education. | 
 A charter school shall comply with all non-curricular  | 
health and safety requirements applicable to public schools  | 
under the laws of the State of Illinois. The State Board shall  | 
promulgate and post on its Internet website a list of  | 
non-curricular health and safety requirements that a charter  | 
school must meet. The list shall be updated annually no later  | 
than September 1. Any charter contract between a charter  | 
school and its authorizer must contain a provision that  | 
 | 
requires the charter school to follow the list of all  | 
non-curricular health and safety requirements promulgated by  | 
the State Board and any non-curricular health and safety  | 
requirements added by the State Board to such list during the  | 
term of the charter. Nothing in this subsection (d) precludes  | 
an authorizer from including non-curricular health and safety  | 
requirements in a charter school contract that are not  | 
contained in the list promulgated by the State Board,  | 
including non-curricular health and safety requirements of the  | 
authorizing local school board.  | 
 (e) Except as otherwise provided in the School Code, a  | 
charter school shall not charge tuition; provided that a  | 
charter school may charge reasonable fees for textbooks,  | 
instructional materials, and student activities. | 
 (f) A charter school shall be responsible for the  | 
management and operation of its fiscal affairs, including, but  | 
not limited to, the preparation of its budget. An audit of each  | 
charter school's finances shall be conducted annually by an  | 
outside, independent contractor retained by the charter  | 
school. The contractor shall not be an employee of the charter  | 
school or affiliated with the charter school or its authorizer  | 
in any way, other than to audit the charter school's finances.  | 
To ensure financial accountability for the use of public  | 
funds, on or before December 1 of every year of operation, each  | 
charter school shall submit to its authorizer and the State  | 
Board a copy of its audit and a copy of the Form 990 the  | 
 | 
charter school filed that year with the federal Internal  | 
Revenue Service. In addition, if deemed necessary for proper  | 
financial oversight of the charter school, an authorizer may  | 
require quarterly financial statements from each charter  | 
school.  | 
 (g) A charter school shall comply with all provisions of  | 
this Article, the Illinois Educational Labor Relations Act,  | 
all federal and State laws and rules applicable to public  | 
schools that pertain to special education and the instruction  | 
of English learners, and its charter. A charter school is  | 
exempt from all other State laws and regulations in this Code  | 
governing public schools and local school board policies;  | 
however, a charter school is not exempt from the following: | 
  (1) Sections 10-21.9 and 34-18.5 of this Code  | 
 regarding criminal history records checks and checks of  | 
 the Statewide Sex Offender Database and Statewide Murderer  | 
 and Violent Offender Against Youth Database of applicants  | 
 for employment; | 
  (2) Sections 10-20.14, 10-22.6, 24-24, 34-19, and  | 
 34-84a of this Code regarding discipline of students; | 
  (3) the Local Governmental and Governmental Employees  | 
 Tort Immunity Act; | 
  (4) Section 108.75 of the General Not For Profit  | 
 Corporation Act of 1986 regarding indemnification of  | 
 officers, directors, employees, and agents; | 
  (5) the Abused and Neglected Child Reporting Act; | 
 | 
  (5.5) subsection (b) of Section 10-23.12 and  | 
 subsection (b) of Section 34-18.6 of this Code; | 
  (6) the Illinois School Student Records Act; | 
  (7) Section 10-17a of this Code regarding school  | 
 report cards; | 
  (8) the P-20 Longitudinal Education Data System Act; | 
  (9) Section 27-23.7 of this Code regarding bullying  | 
 prevention; | 
  (10) Section 2-3.162 of this Code regarding student  | 
 discipline reporting; | 
  (11) Sections 22-80 and 27-8.1 of this Code; | 
  (12) Sections 10-20.60 and 34-18.53 of this Code; | 
  (13) Sections 10-20.63 and 34-18.56 of this Code; | 
  (14) Sections 22-90 and 26-18 of this Code; | 
  (15) Section 22-30 of this Code;  | 
  (16) Sections 24-12 and 34-85 of this Code; | 
  (17) the Seizure Smart School Act; | 
  (18) Section 2-3.64a-10 of this Code; | 
  (19) Sections 10-20.73 and 34-21.9 of this Code; | 
  (20) Section 10-22.25b of this Code; | 
  (21) Section 27-9.1a of this Code; | 
  (22) Section 27-9.1b of this Code;  | 
  (23) Section 34-18.8 of this Code; | 
  (25) Section 2-3.188 of this Code; | 
  (26) Section 22-85.5 of this Code;  | 
  (27) subsections (d-10), (d-15), and (d-20) of Section  | 
 | 
 10-20.56 of this Code;  | 
  (28) Sections 10-20.83 and 34-18.78 of this Code;  | 
  (29) Section 10-20.13 of this Code;  | 
  (30) Section 28-19.2 of this Code;  | 
  (31) Section 34-21.6 of this Code; and | 
  (32) Section 22-85.10 of this Code; | 
  (33) Section 2-3.196 of this Code;  | 
  (34) Section 22-95 of this Code;  | 
  (35) Section 34-18.62 of this Code; and  | 
  (36) the Illinois Human Rights Act.  | 
 The change made by Public Act 96-104 to this subsection  | 
(g) is declaratory of existing law. | 
 (h) A charter school may negotiate and contract with a  | 
school district, the governing body of a State college or  | 
university or public community college, or any other public or  | 
for-profit or nonprofit private entity for: (i) the use of a  | 
school building and grounds or any other real property or  | 
facilities that the charter school desires to use or convert  | 
for use as a charter school site, (ii) the operation and  | 
maintenance thereof, and (iii) the provision of any service,  | 
activity, or undertaking that the charter school is required  | 
to perform in order to carry out the terms of its charter.  | 
Except as provided in subsection (i) of this Section, a school  | 
district may charge a charter school reasonable rent for the  | 
use of the district's buildings, grounds, and facilities. Any  | 
services for which a charter school contracts with a school  | 
 | 
district shall be provided by the district at cost. Any  | 
services for which a charter school contracts with a local  | 
school board or with the governing body of a State college or  | 
university or public community college shall be provided by  | 
the public entity at cost. | 
 (i) In no event shall a charter school that is established  | 
by converting an existing school or attendance center to  | 
charter school status be required to pay rent for space that is  | 
deemed available, as negotiated and provided in the charter  | 
agreement, in school district facilities. However, all other  | 
costs for the operation and maintenance of school district  | 
facilities that are used by the charter school shall be  | 
subject to negotiation between the charter school and the  | 
local school board and shall be set forth in the charter. | 
 (j) A charter school may limit student enrollment by age  | 
or grade level. | 
 (k) If the charter school is authorized by the State  | 
Board, then the charter school is its own local education  | 
agency.  | 
(Source: P.A. 102-51, eff. 7-9-21; 102-157, eff. 7-1-22;  | 
102-360, eff. 1-1-22; 102-445, eff. 8-20-21; 102-522, eff.  | 
8-20-21; 102-558, eff. 8-20-21; 102-676, eff. 12-3-21;  | 
102-697, eff. 4-5-22; 102-702, eff. 7-1-23; 102-805, eff.  | 
1-1-23; 102-813, eff. 5-13-22; 103-154, eff. 6-30-23; 103-175,  | 
eff. 6-30-23; 103-472, eff. 8-1-24; revised 8-31-23.)
 | 
 | 
 (Text of Section after amendment by P.A. 102-466) | 
 Sec. 27A-5. Charter school; legal entity; requirements.  | 
 (a) A charter school shall be a public, nonsectarian,  | 
nonreligious, non-home based, and non-profit school. A charter  | 
school shall be organized and operated as a nonprofit  | 
corporation or other discrete, legal, nonprofit entity  | 
authorized under the laws of the State of Illinois. | 
 (b) A charter school may be established under this Article  | 
by creating a new school or by converting an existing public  | 
school or attendance center to charter school status. In all  | 
new applications to establish a charter school in a city  | 
having a population exceeding 500,000, operation of the  | 
charter school shall be limited to one campus. This limitation  | 
does not apply to charter schools existing or approved on or  | 
before April 16, 2003. | 
 (b-5) (Blank).  | 
 (c) A charter school shall be administered and governed by  | 
its board of directors or other governing body in the manner  | 
provided in its charter. The governing body of a charter  | 
school shall be subject to the Freedom of Information Act and  | 
the Open Meetings Act. A charter school's board of directors  | 
or other governing body must include at least one parent or  | 
guardian of a pupil currently enrolled in the charter school  | 
who may be selected through the charter school or a charter  | 
network election, appointment by the charter school's board of  | 
directors or other governing body, or by the charter school's  | 
 | 
Parent Teacher Organization or its equivalent.  | 
 (c-5) No later than January 1, 2021 or within the first  | 
year of his or her first term, every voting member of a charter  | 
school's board of directors or other governing body shall  | 
complete a minimum of 4 hours of professional development  | 
leadership training to ensure that each member has sufficient  | 
familiarity with the board's or governing body's role and  | 
responsibilities, including financial oversight and  | 
accountability of the school, evaluating the principal's and  | 
school's performance, adherence to the Freedom of Information  | 
Act and the Open Meetings Act, and compliance with education  | 
and labor law. In each subsequent year of his or her term, a  | 
voting member of a charter school's board of directors or  | 
other governing body shall complete a minimum of 2 hours of  | 
professional development training in these same areas. The  | 
training under this subsection may be provided or certified by  | 
a statewide charter school membership association or may be  | 
provided or certified by other qualified providers approved by  | 
the State Board.  | 
 (d) For purposes of this subsection (d), "non-curricular  | 
health and safety requirement" means any health and safety  | 
requirement created by statute or rule to provide, maintain,  | 
preserve, or safeguard safe or healthful conditions for  | 
students and school personnel or to eliminate, reduce, or  | 
prevent threats to the health and safety of students and  | 
school personnel. "Non-curricular health and safety  | 
 | 
requirement" does not include any course of study or  | 
specialized instructional requirement for which the State  | 
Board has established goals and learning standards or which is  | 
designed primarily to impart knowledge and skills for students  | 
to master and apply as an outcome of their education. | 
 A charter school shall comply with all non-curricular  | 
health and safety requirements applicable to public schools  | 
under the laws of the State of Illinois. The State Board shall  | 
promulgate and post on its Internet website a list of  | 
non-curricular health and safety requirements that a charter  | 
school must meet. The list shall be updated annually no later  | 
than September 1. Any charter contract between a charter  | 
school and its authorizer must contain a provision that  | 
requires the charter school to follow the list of all  | 
non-curricular health and safety requirements promulgated by  | 
the State Board and any non-curricular health and safety  | 
requirements added by the State Board to such list during the  | 
term of the charter. Nothing in this subsection (d) precludes  | 
an authorizer from including non-curricular health and safety  | 
requirements in a charter school contract that are not  | 
contained in the list promulgated by the State Board,  | 
including non-curricular health and safety requirements of the  | 
authorizing local school board.  | 
 (e) Except as otherwise provided in the School Code, a  | 
charter school shall not charge tuition; provided that a  | 
charter school may charge reasonable fees for textbooks,  | 
 | 
instructional materials, and student activities. | 
 (f) A charter school shall be responsible for the  | 
management and operation of its fiscal affairs, including, but  | 
not limited to, the preparation of its budget. An audit of each  | 
charter school's finances shall be conducted annually by an  | 
outside, independent contractor retained by the charter  | 
school. The contractor shall not be an employee of the charter  | 
school or affiliated with the charter school or its authorizer  | 
in any way, other than to audit the charter school's finances.  | 
To ensure financial accountability for the use of public  | 
funds, on or before December 1 of every year of operation, each  | 
charter school shall submit to its authorizer and the State  | 
Board a copy of its audit and a copy of the Form 990 the  | 
charter school filed that year with the federal Internal  | 
Revenue Service. In addition, if deemed necessary for proper  | 
financial oversight of the charter school, an authorizer may  | 
require quarterly financial statements from each charter  | 
school.  | 
 (g) A charter school shall comply with all provisions of  | 
this Article, the Illinois Educational Labor Relations Act,  | 
all federal and State laws and rules applicable to public  | 
schools that pertain to special education and the instruction  | 
of English learners, and its charter. A charter school is  | 
exempt from all other State laws and regulations in this Code  | 
governing public schools and local school board policies;  | 
however, a charter school is not exempt from the following: | 
 | 
  (1) Sections 10-21.9 and 34-18.5 of this Code  | 
 regarding criminal history records checks and checks of  | 
 the Statewide Sex Offender Database and Statewide Murderer  | 
 and Violent Offender Against Youth Database of applicants  | 
 for employment; | 
  (2) Sections 10-20.14, 10-22.6, 24-24, 34-19, and  | 
 34-84a of this Code regarding discipline of students; | 
  (3) the Local Governmental and Governmental Employees  | 
 Tort Immunity Act; | 
  (4) Section 108.75 of the General Not For Profit  | 
 Corporation Act of 1986 regarding indemnification of  | 
 officers, directors, employees, and agents; | 
  (5) the Abused and Neglected Child Reporting Act; | 
  (5.5) subsection (b) of Section 10-23.12 and  | 
 subsection (b) of Section 34-18.6 of this Code; | 
  (6) the Illinois School Student Records Act; | 
  (7) Section 10-17a of this Code regarding school  | 
 report cards; | 
  (8) the P-20 Longitudinal Education Data System Act; | 
  (9) Section 27-23.7 of this Code regarding bullying  | 
 prevention; | 
  (10) Section 2-3.162 of this Code regarding student  | 
 discipline reporting; | 
  (11) Sections 22-80 and 27-8.1 of this Code; | 
  (12) Sections 10-20.60 and 34-18.53 of this Code; | 
  (13) Sections 10-20.63 and 34-18.56 of this Code; | 
 | 
  (14) Sections 22-90 and 26-18 of this Code; | 
  (15) Section 22-30 of this Code;  | 
  (16) Sections 24-12 and 34-85 of this Code; | 
  (17) the Seizure Smart School Act; | 
  (18) Section 2-3.64a-10 of this Code; | 
  (19) Sections 10-20.73 and 34-21.9 of this Code; | 
  (20) Section 10-22.25b of this Code; | 
  (21) Section 27-9.1a of this Code; | 
  (22) Section 27-9.1b of this Code;  | 
  (23) Section 34-18.8 of this Code;  | 
  (24) Article 26A of this Code; | 
  (25) Section 2-3.188 of this Code; | 
  (26) Section 22-85.5 of this Code;  | 
  (27) subsections (d-10), (d-15), and (d-20) of Section  | 
 10-20.56 of this Code;  | 
  (28) Sections 10-20.83 and 34-18.78 of this Code;  | 
  (29) Section 10-20.13 of this Code;  | 
  (30) Section 28-19.2 of this Code;  | 
  (31) Section 34-21.6 of this Code; and | 
  (32) Section 22-85.10 of this Code;  | 
  (33) Section 2-3.196 of this Code;  | 
  (34) Section 22-95 of this Code;  | 
  (35) Section 34-18.62 of this Code; and  | 
  (36) the Illinois Human Rights Act.  | 
 The change made by Public Act 96-104 to this subsection  | 
(g) is declaratory of existing law. | 
 | 
 (h) A charter school may negotiate and contract with a  | 
school district, the governing body of a State college or  | 
university or public community college, or any other public or  | 
for-profit or nonprofit private entity for: (i) the use of a  | 
school building and grounds or any other real property or  | 
facilities that the charter school desires to use or convert  | 
for use as a charter school site, (ii) the operation and  | 
maintenance thereof, and (iii) the provision of any service,  | 
activity, or undertaking that the charter school is required  | 
to perform in order to carry out the terms of its charter.  | 
Except as provided in subsection (i) of this Section, a school  | 
district may charge a charter school reasonable rent for the  | 
use of the district's buildings, grounds, and facilities. Any  | 
services for which a charter school contracts with a school  | 
district shall be provided by the district at cost. Any  | 
services for which a charter school contracts with a local  | 
school board or with the governing body of a State college or  | 
university or public community college shall be provided by  | 
the public entity at cost. | 
 (i) In no event shall a charter school that is established  | 
by converting an existing school or attendance center to  | 
charter school status be required to pay rent for space that is  | 
deemed available, as negotiated and provided in the charter  | 
agreement, in school district facilities. However, all other  | 
costs for the operation and maintenance of school district  | 
facilities that are used by the charter school shall be  | 
 | 
subject to negotiation between the charter school and the  | 
local school board and shall be set forth in the charter. | 
 (j) A charter school may limit student enrollment by age  | 
or grade level. | 
 (k) If the charter school is authorized by the State  | 
Board, then the charter school is its own local education  | 
agency.  | 
(Source: P.A. 102-51, eff. 7-9-21; 102-157, eff. 7-1-22;  | 
102-360, eff. 1-1-22; 102-445, eff. 8-20-21; 102-466, eff.  | 
7-1-25; 102-522, eff. 8-20-21; 102-558, eff. 8-20-21; 102-676,  | 
eff. 12-3-21; 102-697, eff. 4-5-22; 102-702, eff. 7-1-23;  | 
102-805, eff. 1-1-23; 102-813, eff. 5-13-22; 103-154, eff.  | 
6-30-23; 103-175, eff. 6-30-23; 103-472, eff. 8-1-24; revised  | 
8-31-23.)
 | 
 (105 ILCS 5/27A-6) | 
 Sec. 27A-6. Contract contents; applicability of laws and  | 
regulations.  | 
 (a) A certified charter shall constitute a binding  | 
contract and agreement between the charter school and a local  | 
school board under the terms of which the local school board  | 
authorizes the governing body of the charter school to operate  | 
the charter school on the terms specified in the contract. | 
 (b) Notwithstanding any other provision of this Article,  | 
the certified charter may not waive or release the charter  | 
school from the State goals, standards, and assessments  | 
 | 
established pursuant to Section 2-3.64a-5 of this Code. The  | 
certified charter for a charter school operating in a city  | 
having a population exceeding 500,000 shall require the  | 
charter school to administer any other nationally recognized  | 
standardized tests to its students that the chartering entity  | 
administers to other students, and the results on such tests  | 
shall be included in the chartering entity's assessment  | 
reports. | 
 (c) Subject to the provisions of subsection (e), a  | 
material revision to a previously certified contract or a  | 
renewal shall be made with the approval of both the local  | 
school board and the governing body of the charter school. | 
 (c-5) The proposed contract shall include a provision on  | 
how both parties will address minor violations of the  | 
contract. | 
 (c-10) After August 4, 2023 (the effective date of Public  | 
Act 103-416) this amendatory Act of the 103rd General  | 
Assembly, any renewal of a certified charter must include a  | 
union neutrality clause.  | 
 (d) The proposed contract between the governing body of a  | 
proposed charter school and the local school board as  | 
described in Section 27A-7 must be submitted to and certified  | 
by the State Board before it can take effect. If the State  | 
Board recommends that the proposed contract be modified for  | 
consistency with this Article before it can be certified, the  | 
modifications must be consented to by both the governing body  | 
 | 
of the charter school and the local school board, and  | 
resubmitted to the State Board for its certification. If the  | 
proposed contract is resubmitted in a form that is not  | 
consistent with this Article, the State Board may refuse to  | 
certify the charter. | 
 The State Board shall assign a number to each submission  | 
or resubmission in chronological order of receipt, and shall  | 
determine whether the proposed contract is consistent with the  | 
provisions of this Article. If the proposed contract complies,  | 
the State Board shall so certify. | 
 (e) No renewal of a previously certified contract is  | 
effective unless and until the State Board certifies that the  | 
renewal is consistent with the provisions of this Article. A  | 
material revision to a previously certified contract may go  | 
into effect immediately upon approval of both the local school  | 
board and the governing body of the charter school, unless  | 
either party requests in writing that the State Board certify  | 
that the material revision is consistent with the provisions  | 
of this Article. If such a request is made, the proposed  | 
material revision is not effective unless and until the State  | 
Board so certifies. | 
(Source: P.A. 103-175, eff. 6-30-23; 103-416, eff. 8-4-23;  | 
revised 9-5-23.)
 | 
 (105 ILCS 5/27A-7) | 
 Sec. 27A-7. Charter submission.  | 
 | 
 (a) A proposal to establish a charter school shall be  | 
submitted to the local school board and the State Board for  | 
certification under Section 27A-6 of this Code in the form of a  | 
proposed contract entered into between the local school board  | 
and the governing body of a proposed charter school. The  | 
charter school proposal shall include: | 
  (1) The name of the proposed charter school, which  | 
 must include the words "Charter School". | 
  (2) The age or grade range, areas of focus, minimum  | 
 and maximum numbers of pupils to be enrolled in the  | 
 charter school, and any other admission criteria that  | 
 would be legal if used by a school district. | 
  (3) A description of and address for the physical  | 
 plant in which the charter school will be located;  | 
 provided that nothing in the Article shall be deemed to  | 
 justify delaying or withholding favorable action on or  | 
 approval of a charter school proposal because the building  | 
 or buildings in which the charter school is to be located  | 
 have not been acquired or rented at the time a charter  | 
 school proposal is submitted or approved or a charter  | 
 school contract is entered into or submitted for  | 
 certification or certified, so long as the proposal or  | 
 submission identifies and names at least 2 sites that are  | 
 potentially available as a charter school facility by the  | 
 time the charter school is to open. | 
  (4) The mission statement of the charter school, which  | 
 | 
 must be consistent with the General Assembly's declared  | 
 purposes; provided that nothing in this Article shall be  | 
 construed to require that, in order to receive favorable  | 
 consideration and approval, a charter school proposal  | 
 demonstrate unequivocally that the charter school will be  | 
 able to meet each of those declared purposes, it being the  | 
 intention of the Charter Schools Law that those purposes  | 
 be recognized as goals that charter schools must aspire to  | 
 attain. | 
  (5) The goals, objectives, and pupil performance  | 
 standards to be achieved by the charter school. | 
  (6) In the case of a proposal to establish a charter  | 
 school by converting an existing public school or  | 
 attendance center to charter school status, evidence that  | 
 the proposed formation of the charter school has received  | 
 the approval of certified teachers, parents and guardians,  | 
 and, if applicable, a local school council as provided in  | 
 subsection (b) of Section 27A-8. | 
  (7) A description of the charter school's educational  | 
 program, pupil performance standards, curriculum, school  | 
 year, school days, and hours of operation. | 
  (8) A description of the charter school's plan for  | 
 evaluating pupil performance, the types of assessments  | 
 that will be used to measure pupil progress toward towards  | 
 achievement of the school's pupil performance standards,  | 
 the timeline for achievement of those standards, and the  | 
 | 
 procedures for taking corrective action in the event that  | 
 pupil performance at the charter school falls below those  | 
 standards. | 
  (9) Evidence that the terms of the charter as proposed  | 
 are economically sound for both the charter school and the  | 
 school district, a proposed budget for the term of the  | 
 charter, a description of the manner in which an annual  | 
 audit of the financial and administrative operations of  | 
 the charter school, including any services provided by the  | 
 school district, are to be conducted, and a plan for the  | 
 displacement of pupils, teachers, and other employees who  | 
 will not attend or be employed in the charter school. | 
  (10) A description of the governance and operation of  | 
 the charter school, including the nature and extent of  | 
 parental, professional educator, and community involvement  | 
 in the governance and operation of the charter school. | 
  (11) An explanation of the relationship that will  | 
 exist between the charter school and its employees,  | 
 including evidence that the terms and conditions of  | 
 employment have been addressed with affected employees and  | 
 their recognized representative, if any. However, a  | 
 bargaining unit of charter school employees shall be  | 
 separate and distinct from any bargaining units formed  | 
 from employees of a school district in which the charter  | 
 school is located. | 
  (12) An agreement between the parties regarding their  | 
 | 
 respective legal liability and applicable insurance  | 
 coverage. | 
  (13) A description of how the charter school plans to  | 
 meet the transportation needs of its pupils, and a plan  | 
 for addressing the transportation needs of low-income and  | 
 at-risk pupils. | 
  (14) The proposed effective date and term of the  | 
 charter; provided that the first day of the first academic  | 
 year shall be no earlier than August 15 and no later than  | 
 September 15 of a calendar year, and the first day of the  | 
 fiscal year shall be July 1. | 
  (14.5) Disclosure of any known active civil or  | 
 criminal investigation by a local, state, or federal law  | 
 enforcement agency into an organization submitting the  | 
 charter school proposal or a criminal investigation by a  | 
 local, state, or federal law enforcement agency into any  | 
 member of the governing body of that organization. For the  | 
 purposes of this subdivision (14.5), a known investigation  | 
 means a request for an interview by a law enforcement  | 
 agency, a subpoena, an arrest, or an indictment. Such  | 
 disclosure is required for a period from the initial  | 
 application submission through 10 business days prior to  | 
 the authorizer's scheduled decision date.  | 
  (14.7) A union neutrality clause.  | 
  (15) Any other information reasonably required by the  | 
 State Board. | 
 | 
 (b) A proposal to establish a charter school may be  | 
initiated by individuals or organizations that will have  | 
majority representation on the board of directors or other  | 
governing body of the corporation or other discrete legal  | 
entity that is to be established to operate the proposed  | 
charter school, by a board of education or an  | 
intergovernmental agreement between or among boards of  | 
education, or by the board of directors or other governing  | 
body of a discrete legal entity already existing or  | 
established to operate the proposed charter school. The  | 
individuals or organizations referred to in this subsection  | 
may be school teachers, school administrators, local school  | 
councils, colleges or universities or their faculty members,  | 
public community colleges or their instructors or other  | 
representatives, corporations, or other entities or their  | 
representatives. The proposal shall be submitted to the local  | 
school board for consideration and, if appropriate, for  | 
development of a proposed contract to be submitted to the  | 
State Board for certification under Section 27A-6. | 
 (c) The local school board may not without the consent of  | 
the governing body of the charter school condition its  | 
approval of a charter school proposal on acceptance of an  | 
agreement to operate under State laws and regulations and  | 
local school board policies from which the charter school is  | 
otherwise exempted under this Article. | 
(Source: P.A. 103-175, eff. 6-30-23; 103-416, eff. 8-4-23;  | 
 | 
revised 9-6-23.)
 | 
 (105 ILCS 5/27A-11.5) | 
 Sec. 27A-11.5. State financing. The State Board shall make  | 
the following funds available to school districts and charter  | 
schools: | 
  (1) From a separate appropriation made to the State  | 
 Board for purposes of this subdivision (1), the State  | 
 Board shall make transition impact aid available to school  | 
 districts that approve a new charter school. The amount of  | 
 the aid shall equal 90% of the per capita funding paid to  | 
 the charter school during the first year of its initial  | 
 charter term, 65% of the per capita funding paid to the  | 
 charter school during the second year of its initial term,  | 
 and 35% of the per capita funding paid to the charter  | 
 school during the third year of its initial term. This  | 
 transition impact aid shall be paid to the local school  | 
 board in equal quarterly installments, with the payment of  | 
 the installment for the first quarter being made by August  | 
 1st immediately preceding the first, second, and third  | 
 years of the initial term. The district shall file an  | 
 application for this aid with the State Board in a format  | 
 designated by the State Board. If the appropriation is  | 
 insufficient in any year to pay all approved claims, the  | 
 impact aid shall be prorated.. If any funds remain after  | 
 these claims have been paid, then the State Board may pay  | 
 | 
 all other approved claims on a pro rata basis. Transition  | 
 impact aid shall be paid for charter schools that are in  | 
 the first, second, or third year of their initial term.  | 
 Transition impact aid shall not be paid for any charter  | 
 school that is proposed and created by one or more boards  | 
 of education, as authorized under subsection (b) of  | 
 Section 27A-7. | 
  (2) From a separate appropriation made for the purpose  | 
 of this subdivision (2), the State Board shall make grants  | 
 to charter schools to pay their start-up costs of  | 
 acquiring educational materials and supplies, textbooks,  | 
 electronic textbooks and the technological equipment  | 
 necessary to gain access to and use electronic textbooks,  | 
 furniture, and other equipment or materials needed during  | 
 their initial term. The State Board shall annually  | 
 establish the time and manner of application for these  | 
 grants, which shall not exceed $250 per student enrolled  | 
 in the charter school. | 
  (3) The Charter Schools Revolving Loan Fund is created  | 
 as a special fund in the State treasury. Federal funds,  | 
 such other funds as may be made available for costs  | 
 associated with the establishment of charter schools in  | 
 Illinois, and amounts repaid by charter schools that have  | 
 received a loan from the Charter Schools Revolving Loan  | 
 Fund shall be deposited into the Charter Schools Revolving  | 
 Loan Fund, and the moneys in the Charter Schools Revolving  | 
 | 
 Loan Fund shall be appropriated to the State Board and  | 
 used to provide interest-free loans to charter schools.  | 
 These funds shall be used to pay start-up costs of  | 
 acquiring educational materials and supplies, textbooks,  | 
 electronic textbooks and the technological equipment  | 
 necessary to gain access to and use electronic textbooks,  | 
 furniture, and other equipment or materials needed in the  | 
 initial term of the charter school and for acquiring and  | 
 remodeling a suitable physical plant, within the initial  | 
 term of the charter school. Loans shall be limited to one  | 
 loan per charter school and shall not exceed $750 per  | 
 student enrolled in the charter school. A loan shall be  | 
 repaid by the end of the initial term of the charter  | 
 school. The State Board may deduct amounts necessary to  | 
 repay the loan from funds due to the charter school or may  | 
 require that the local school board that authorized the  | 
 charter school deduct such amounts from funds due the  | 
 charter school and remit these amounts to the State Board,  | 
 provided that the local school board shall not be  | 
 responsible for repayment of the loan. The State Board may  | 
 use up to 3% of the appropriation to contract with a  | 
 non-profit entity to administer the loan program. | 
  (4) A charter school may apply for and receive,  | 
 subject to the same restrictions applicable to school  | 
 districts, any grant administered by the State Board that  | 
 is available for school districts. | 
 | 
 If a charter school fails to make payments toward  | 
administrative costs, the State Board may withhold State funds  | 
from that school until it has made all payments for those  | 
costs.  | 
(Source: P.A. 103-175, eff. 6-30-23; revised 9-20-23.)
 | 
 (105 ILCS 5/34-18.82) | 
 Sec. 34-18.82. Trauma kit; trauma response training. | 
 (a) In this Section, "trauma kit" means a first aid  | 
response kit that contains, at a minimum, all of the  | 
following:  | 
  (1) One tourniquet endorsed by the Committee on  | 
 Tactical Combat Casualty Care. | 
  (2) One compression bandage. | 
  (3) One hemostatic bleeding control dressing endorsed  | 
 by the Committee on Tactical Combat Casualty Care. | 
  (4) Protective gloves and a marker. | 
  (5) Scissors. | 
  (6) Instructional documents developed by the Stop the  | 
 Bleed national awareness campaign of the United States  | 
 Department of Homeland Security or the American College of  | 
 Surgeons' Committee on Trauma, or both. | 
  (7) Any other medical materials or equipment similar  | 
 to those described in paragraphs (1) through (3) or any  | 
 other items that (i) are approved by a local law  | 
 enforcement agency or first responders, (ii) can  | 
 | 
 adequately treat a traumatic injury, and (iii) can be  | 
 stored in a readily available kit.  | 
 (b) The school district may maintain an on-site trauma kit  | 
at each school for bleeding emergencies. | 
 (c) Products purchased for the trauma kit, including those  | 
products endorsed by the Committee on Tactical Combat Casualty  | 
Care, shall, whenever possible, be manufactured in the United  | 
States. | 
 (d) At least once every 2 years, the board shall conduct  | 
in-service training for all school district employees on the  | 
methods to respond to trauma. The training must include  | 
instruction on how to respond to an incident involving  | 
life-threatening bleeding and, if applicable, how to use a  | 
school's trauma kit. The board may satisfy the training  | 
requirements under this subsection by using the training,  | 
including online training, available from the American College  | 
of Surgeons or any other similar organization. | 
 School district employees who are trained to respond to  | 
trauma pursuant to this subsection (d) shall be immune from  | 
civil liability in the use of a trauma kit unless the action  | 
constitutes willful or wanton misconduct.  | 
(Source: P.A. 103-128, eff. 6-30-23.)
 | 
 (105 ILCS 5/34-18.83) | 
 Sec. 34-18.83 34-18.82. Subsequent teaching endorsements  | 
for employees. | 
 | 
 (a) Subsequent teaching endorsements may be granted to  | 
employees licensed under Article 21B of this Code for specific  | 
content areas and grade levels as part of a pilot program. | 
 (b) The school district is authorized to prepare educators  | 
for subsequent teaching endorsements on licenses issued under  | 
paragraph (1) of Section 21B-20 of this Code to applicants who  | 
meet all of the requirements for the endorsement or  | 
endorsements, including passing any required content area  | 
knowledge tests. If seeking to provide subsequent  | 
endorsements, the school district must establish professional  | 
development sequences to be offered instead of coursework  | 
required for issuance of the subsequent endorsement and must  | 
apply for approval of these professional development sequences  | 
by the State Board of Education, in collaboration with the  | 
State Educator Preparation and Licensure Board. The  | 
professional development sequences under this Section shall  | 
include a comprehensive review of relevant State learning  | 
standards, the applicable State content-test framework, and,  | 
if applicable, relevant educator preparation standards. | 
 (c) The State Board of Education shall adopt any rules  | 
necessary to implement this Section no later than June 30,  | 
2024. | 
(Source: P.A. 103-157, eff. 6-30-23; revised 8-30-23.)
 | 
 (105 ILCS 5/34-18.84) | 
 (This Section may contain text from a Public Act with a  | 
 | 
delayed effective date) | 
 Sec. 34-18.84 34-18.82. Community input on local  | 
assessments. | 
 (a) As used in this Section, "district-administered  | 
assessment" means an assessment that requires all student test  | 
takers at any grade level to answer the same questions, or a  | 
selection of questions from a common bank of questions, in the  | 
same manner or substantially the same questions in the same  | 
manner. The term does not include an observational assessment  | 
tool used to satisfy the requirements of Section 2-3.64a-10 of  | 
this Code or an assessment developed by district teachers or  | 
administrators that will be used to measure student progress  | 
at an attendance center within the school district. | 
 (b) Prior to approving a new contract for any  | 
district-administered assessment, the board must hold a public  | 
vote at a regular meeting of the board, at which the terms of  | 
the proposal must be substantially presented and an  | 
opportunity for allowing public comments must be provided,  | 
subject to applicable notice requirements. However, if the  | 
assessment being made available to review is subject to  | 
copyright, trademark, or other intellectual property  | 
protection, the review process shall include technical and  | 
procedural safeguards to ensure that the materials are not  | 
able to be widely disseminated to the general public in  | 
violation of the intellectual property rights of the publisher  | 
and to ensure content validity is not undermined. | 
 | 
(Source: P.A. 103-393, eff. 7-1-24; revised 8-30-23.)
 | 
 (105 ILCS 5/34-84) (from Ch. 122, par. 34-84) | 
 Sec. 34-84. Appointments and promotions of teachers.  | 
Appointments and promotions of teachers shall be made for  | 
merit only, and after satisfactory service for a probationary  | 
period of 3 years with respect to probationary employees  | 
employed as full-time teachers in the public school system of  | 
the district before January 1, 1998 or on or after July 1, 2023  | 
and 4 years with respect to probationary employees who are  | 
first employed as full-time teachers in the public school  | 
system of the district on or after January 1, 1998 but before  | 
July 1, 2023, during which period the board may dismiss or  | 
discharge any such probationary employee upon the  | 
recommendation, accompanied by the written reasons therefor,  | 
of the general superintendent of schools and after which  | 
period appointments of teachers shall become permanent,  | 
subject to removal for cause in the manner provided by Section  | 
34-85. | 
 For a probationary-appointed teacher in full-time service  | 
who is appointed on or after July 1, 2013 and who receives  | 
ratings of "excellent" during his or her first 3 school terms  | 
of full-time service, the probationary period shall be 3  | 
school terms of full-time service. For a  | 
probationary-appointed teacher in full-time service who is  | 
appointed on or after July 1, 2013 and who had previously  | 
 | 
entered into contractual continued service in another school  | 
district in this State or a program of a special education  | 
joint agreement in this State, as defined in Section 24-11 of  | 
this Code, the probationary period shall be 2 school terms of  | 
full-time service, provided that (i) the teacher voluntarily  | 
resigned or was honorably dismissed from the prior district or  | 
program within the 3-month period preceding his or her  | 
appointment date, (ii) the teacher's last 2 ratings in the  | 
prior district or program were at least "proficient" and were  | 
issued after the prior district's or program's PERA  | 
implementation date, as defined in Section 24-11 of this Code,  | 
and (iii) the teacher receives ratings of "excellent" during  | 
his or her first 2 school terms of full-time service. | 
 For a probationary-appointed teacher in full-time service  | 
who has not entered into contractual continued service after 2  | 
or 3 school terms of full-time service as provided in this  | 
Section, the probationary period shall be 3 school terms of  | 
full-time service, provided that the teacher holds a  | 
Professional Educator License and receives a rating of at  | 
least "proficient" in the last school term and a rating of at  | 
least "proficient" in either the second or third school term.  | 
 As used in this Section, "school term" means the school  | 
term established by the board pursuant to Section 10-19 of  | 
this Code, and "full-time service" means the teacher has  | 
actually worked at least 150 days during the school term. As  | 
used in this Article, "teachers" means and includes all  | 
 | 
members of the teaching force excluding the general  | 
superintendent and principals. | 
 There shall be no reduction in teachers because of a  | 
decrease in student membership or a change in subject  | 
requirements within the attendance center organization after  | 
the 20th day following the first day of the school year, except  | 
that: (1) this provision shall not apply to desegregation  | 
positions, special education positions, or any other positions  | 
funded by State or federal categorical funds, and (2) at  | 
attendance centers maintaining any of grades 9 through 12,  | 
there may be a second reduction in teachers on the first day of  | 
the second semester of the regular school term because of a  | 
decrease in student membership or a change in subject  | 
requirements within the attendance center organization. | 
 A teacher Teachers who is are due to be evaluated in the  | 
last year before the teacher is they are set to retire shall be  | 
offered the opportunity to waive the their evaluation and to  | 
retain the teacher's their most recent rating, unless the  | 
teacher was last rated as "needs improvement" or  | 
"unsatisfactory". The school district may still reserve the  | 
right to evaluate a teacher provided the district gives notice  | 
to the teacher at least 14 days before the evaluation and a  | 
reason for evaluating the teacher.  | 
 The school principal shall make the decision in selecting  | 
teachers to fill new and vacant positions consistent with  | 
Section 34-8.1. | 
 | 
(Source: P.A. 103-85, eff. 6-9-23; 103-500, eff. 8-4-23;  | 
revised 9-6-23.)
 | 
 Section 280. The Asbestos Abatement Act is amended by  | 
changing Section 10a as follows:
 | 
 (105 ILCS 105/10a) (from Ch. 122, par. 1410a) | 
 Sec. 10a. Licensing. No inspector, management planner,  | 
project designer, project manager, air sampling professional,  | 
asbestos abatement contractor, worker or project supervisor  | 
may be employed as a response action contractor unless that  | 
individual or entity is licensed by the Department. Those  | 
individuals and entities wishing to be licensed shall make  | 
application on forms prescribed and furnished by the  | 
Department. A license shall expire annually according to a  | 
schedule determined by the Department. Applications for  | 
renewal of licenses shall be filed with the Department at  | 
least 30 days before the expiration date. When a licensure  | 
examination is required, the application for licensure shall  | 
be submitted to the Department at least 30 days prior to the  | 
date of the scheduled examination. The Department shall  | 
evaluate each application based on its minimum standards for  | 
licensure, promulgated as rules, and render a decision. Such  | 
standards may include a requirement for the successful  | 
completion of a course of training approved by the Department.  | 
If the Department denies the application, the applicant may  | 
 | 
appeal such decision pursuant to the provisions of the  | 
"Administrative Review Law". | 
 The Department, upon notification by the Illinois Workers'  | 
Compensation Commission or the Department of Insurance, shall  | 
refuse the issuance or renewal of a license to, or suspend or  | 
revoke the license of, any individual, corporation,  | 
partnership, or other business entity that has been found by  | 
the Illinois Workers' Compensation Commission or the  | 
Department of Insurance to have failed:  | 
  (a) to secure workers' compensation obligations in the  | 
 manner required by subsections (a) and (b) of Section 4 of  | 
 the Workers' Compensation Act;  | 
  (b) to pay in full a fine or penalty imposed by the  | 
 Illinois Workers' Compensation Commission or the  | 
 Department of Insurance due to a failure to secure  | 
 workers' compensation obligations in the manner required  | 
 by subsections (a) and (b) of Section 4 of the Workers'  | 
 Compensation Act; or  | 
  (c) to fulfill all obligations assumed pursuant to any  | 
 settlement reached with the Illinois Workers' Compensation  | 
 Commission or the Department of Insurance due to a failure  | 
 to secure workers' compensation obligations in the manner  | 
 required by subsections (a) and (b) of Section 4 of the  | 
 Workers' Compensation Act.  | 
 A complaint filed with the Department by the Illinois  | 
Workers' Compensation Commission or the Department of  | 
 | 
Insurance that includes a certification, signed by its  | 
Director or Chairman, or the Director or Chairman's designee,  | 
attesting to a finding of the failure to secure workers'  | 
compensation obligations in the manner required by subsections  | 
(a) and (b) of Section 4 of the Workers' Compensation Act or  | 
the failure to pay any fines or penalties or to discharge any  | 
obligation under a settlement relating to the failure to  | 
secure workers' compensation obligations in the manner  | 
required by subsections (a) and (b) of Section 4 of the  | 
Workers' Compensation Act is prima facie evidence of the  | 
licensee's or applicant's failure to comply with subsections  | 
(a) and (b) of Section 4 of the Workers' Compensation Act. Upon  | 
receipt of that certification, the Department shall, without a  | 
hearing, immediately suspend all licenses held by the licensee  | 
or the processing of any application from the applicant.  | 
Enforcement of the Department's order shall be stayed for 60  | 
days. The Department shall provide notice of the suspension to  | 
the licensee by mailing a copy of the Department's order to the  | 
licensee's or applicant's address of record or emailing a copy  | 
of the order to the licensee's or applicant's email address of  | 
record. The notice shall advise the licensee or applicant that  | 
the suspension shall be effective 60 days after the issuance  | 
of the order unless the Department receives, from the licensee  | 
or applicant, a request for a hearing before the Department to  | 
dispute the matters contained in the order. | 
 Upon receiving notice from the Illinois Workers'  | 
 | 
Compensation Commission or the Department of Insurance that  | 
the violation has been corrected or otherwise resolved, the  | 
Department shall vacate the order suspending a licensee's  | 
license or the processing of an applicant's application. | 
 No license shall be suspended or revoked until after the  | 
licensee is afforded any due process protection guaranteed by  | 
statute or rule adopted by the Illinois Workers' Compensation  | 
Commission or the Department of Insurance.  | 
(Source: P.A. 103-26, eff. 1-1-24; revised 1-2-24.)
 | 
 Section 285. The Critical Health Problems and  | 
Comprehensive Health Education Act is amended by changing  | 
Section 3 as follows:
 | 
 (105 ILCS 110/3) | 
 Sec. 3. Comprehensive Health Education Program. The  | 
program established under this Act shall include, but not be  | 
limited to, the following major educational areas as a basis  | 
for curricula in all elementary and secondary schools in this  | 
State: human ecology and health; human growth and development;  | 
the emotional, psychological, physiological, hygienic, and  | 
social responsibilities of family life, including sexual  | 
abstinence until marriage; the prevention and control of  | 
disease, including instruction in grades 6 through 12 on the  | 
prevention, transmission, and spread of AIDS; age-appropriate  | 
sexual abuse and assault awareness and prevention education in  | 
 | 
grades pre-kindergarten through 12; public and environmental  | 
health; consumer health; safety education and disaster  | 
survival; mental health and illness; personal health habits;  | 
alcohol and drug use and abuse, including the medical and  | 
legal ramifications of alcohol, drug, and tobacco use; abuse  | 
during pregnancy; evidence-based and medically accurate  | 
information regarding sexual abstinence; tobacco and  | 
e-cigarettes and other vapor devices; nutrition; and dental  | 
health. The instruction on mental health and illness must  | 
evaluate the multiple dimensions of health by reviewing the  | 
relationship between physical and mental health so as to  | 
enhance student understanding, attitudes, and behaviors that  | 
promote health, well-being, and human dignity and must include  | 
how and where to find mental health resources and specialized  | 
treatment in the State. The program shall also provide course  | 
material and instruction to advise pupils of the Abandoned  | 
Newborn Infant Protection Act. The program shall include  | 
information about cancer, including, without limitation, types  | 
of cancer, signs and symptoms, risk factors, the importance of  | 
early prevention and detection, and information on where to go  | 
for help. Notwithstanding the above educational areas, the  | 
following areas may also be included as a basis for curricula  | 
in all elementary and secondary schools in this State: basic  | 
first aid (including, but not limited to, cardiopulmonary  | 
resuscitation and the Heimlich maneuver), heart disease,  | 
diabetes, stroke, the prevention of child abuse, neglect, and  | 
 | 
suicide, and teen dating violence in grades 7 through 12.  | 
Beginning with the 2014-2015 school year, training on how to  | 
properly administer cardiopulmonary resuscitation (which  | 
training must be in accordance with standards of the American  | 
Red Cross, the American Heart Association, or another  | 
nationally recognized certifying organization) and how to use  | 
an automated external defibrillator shall be included as a  | 
basis for curricula in all secondary schools in this State.  | 
 Beginning with the 2024-2025 school year in grades 9  | 
through 12, the program shall include instruction, study, and  | 
discussion on the dangers of allergies. Information for the  | 
instruction, study, and discussion shall come from information  | 
provided by the Department of Public Health and the federal  | 
Centers for Disease Control and Prevention. This instruction,  | 
study, and discussion shall include, at a minimum: | 
  (1) recognizing the signs and symptoms of an allergic  | 
 reaction, including anaphylaxis; | 
  (2) the steps to take to prevent exposure to  | 
 allergens; and | 
  (3) safe emergency epinephrine administration.  | 
 The school board of each public elementary and secondary  | 
school in the State shall encourage all teachers and other  | 
school personnel to acquire, develop, and maintain the  | 
knowledge and skills necessary to properly administer  | 
life-saving techniques, including, without limitation, the  | 
Heimlich maneuver and rescue breathing. The training shall be  | 
 | 
in accordance with standards of the American Red Cross, the  | 
American Heart Association, or another nationally recognized  | 
certifying organization. A school board may use the services  | 
of non-governmental entities whose personnel have expertise in  | 
life-saving techniques to instruct teachers and other school  | 
personnel in these techniques. Each school board is encouraged  | 
to have in its employ, or on its volunteer staff, at least one  | 
person who is certified, by the American Red Cross or by  | 
another qualified certifying agency, as qualified to  | 
administer first aid and cardiopulmonary resuscitation. In  | 
addition, each school board is authorized to allocate  | 
appropriate portions of its institute or inservice days to  | 
conduct training programs for teachers and other school  | 
personnel who have expressed an interest in becoming qualified  | 
to administer emergency first aid or cardiopulmonary  | 
resuscitation. School boards are urged to encourage their  | 
teachers and other school personnel who coach school athletic  | 
programs and other extracurricular school activities to  | 
acquire, develop, and maintain the knowledge and skills  | 
necessary to properly administer first aid and cardiopulmonary  | 
resuscitation in accordance with standards and requirements  | 
established by the American Red Cross or another qualified  | 
certifying agency. Subject to appropriation, the State Board  | 
of Education shall establish and administer a matching grant  | 
program to pay for half of the cost that a school district  | 
incurs in training those teachers and other school personnel  | 
 | 
who express an interest in becoming qualified to administer  | 
cardiopulmonary resuscitation (which training must be in  | 
accordance with standards of the American Red Cross, the  | 
American Heart Association, or another nationally recognized  | 
certifying organization) or in learning how to use an  | 
automated external defibrillator. A school district that  | 
applies for a grant must demonstrate that it has funds to pay  | 
half of the cost of the training for which matching grant money  | 
is sought. The State Board of Education shall award the grants  | 
on a first-come, first-serve basis.  | 
 No pupil shall be required to take or participate in any  | 
class or course on AIDS or family life instruction or to  | 
receive training on how to properly administer cardiopulmonary  | 
resuscitation or how to use an automated external  | 
defibrillator if his or her parent or guardian submits written  | 
objection thereto, and refusal to take or participate in the  | 
course or program or the training shall not be reason for  | 
suspension or expulsion of the pupil. | 
 Curricula developed under programs established in  | 
accordance with this Act in the major educational area of  | 
alcohol and drug use and abuse shall include classroom  | 
instruction in grades 5 through 12. The instruction, which  | 
shall include matters relating to both the physical and legal  | 
effects and ramifications of drug and substance abuse, shall  | 
be integrated into existing curricula; and the State Board of  | 
Education shall develop and make available to all elementary  | 
 | 
and secondary schools in this State instructional materials  | 
and guidelines which will assist the schools in incorporating  | 
the instruction into their existing curricula. In addition,  | 
school districts may offer, as part of existing curricula  | 
during the school day or as part of an after-school after  | 
school program, support services and instruction for pupils or  | 
pupils whose parent, parents, or guardians are chemically  | 
dependent. Curricula developed under programs established in  | 
accordance with this Act in the major educational area of  | 
alcohol and drug use and abuse shall include the instruction,  | 
study, and discussion required under subsection (c) of Section  | 
27-13.2 of the School Code. | 
(Source: P.A. 102-464, eff. 8-20-21; 102-558, eff. 8-20-21;  | 
102-1034, eff. 1-1-23; 103-212, eff. 1-1-24; 103-365, eff.  | 
1-1-24; revised 12-12-23.)
 | 
 Section 290. The School Safety Drill Act is amended by  | 
setting forth, renumbering, and changing multiple versions of  | 
Section 50 as follows:
 | 
 (105 ILCS 128/50) | 
 Sec. 50. Crisis response mapping data grants. | 
 (a) Subject to appropriation, a public school district, a  | 
charter school, a special education cooperative or district,  | 
an education for employment system, a State-approved area  | 
career center, a public university laboratory school, the  | 
 | 
Illinois Mathematics and Science Academy, the Department of  | 
Juvenile Justice School District, a regional office of  | 
education, the Illinois School for the Deaf, the Illinois  | 
School for the Visually Impaired, the Philip J. Rock Center  | 
and School, an early childhood or preschool program supported  | 
by the Early Childhood Block Grant, or any other public school  | 
entity designated by the State Board of Education by rule, may  | 
apply to the State Board of Education or the State Board of  | 
Education or the State Board's designee for a grant to obtain  | 
crisis response mapping data and to provide copies of the  | 
crisis response mapping data to appropriate local, county,  | 
State, and federal first responders for use in response to  | 
emergencies. The crisis response mapping data shall be stored  | 
and provided in an electronic or digital format to assist  | 
first responders in responding to emergencies at the school. | 
 (b) Subject to appropriation, including funding for any  | 
administrative costs reasonably incurred by the State Board of  | 
Education or the State Board's designee in the administration  | 
of the grant program described by this Section, the State  | 
Board shall provide grants to any entity in subsection (a)  | 
upon approval of an application submitted by the entity to  | 
cover the costs incurred in obtaining crisis response mapping  | 
data under this Section. The grant application must include  | 
crisis response mapping data for all schools under the  | 
jurisdiction of the entity submitting the application,  | 
including, in the case of a public school district, any  | 
 | 
charter schools authorized by the school board for the school  | 
district. | 
 (c) To be eligible for a grant under this Section, the  | 
crisis response mapping data must, at a minimum: | 
  (1) be compatible and integrate into security software  | 
 platforms in use by the specific school for which the data  | 
 is provided without requiring local law enforcement  | 
 agencies or the school district to purchase additional  | 
 software or requiring the integration of third-party  | 
 software to view the data;  | 
  (2) be compatible with security software platforms in  | 
 use by the specific school for which the data is provided  | 
 without requiring local public safety agencies or the  | 
 school district to purchase additional software or  | 
 requiring the integration of third-party software to view  | 
 the data;  | 
  (3) be capable of being provided in a printable  | 
 format;  | 
  (4) be verified for accuracy by an on-site  | 
 walk-through of the school building and grounds;  | 
  (5) be oriented to true north;  | 
  (6) be overlaid on current aerial imagery or plans of  | 
 the school building;  | 
  (7) contain site-specific labeling that matches the  | 
 structure of the school building, including room labels,  | 
 hallway names, and external door or stairwell numbers and  | 
 | 
 the location of hazards, critical utilities, key boxes,  | 
 automated external defibrillators, and trauma kits, and  | 
 that matches the school grounds, including parking areas,  | 
 athletic fields, surrounding roads, and neighboring  | 
 properties; and  | 
  (8) be overlaid with gridded x/y coordinates.  | 
 (d) Subject to appropriation, the crisis response mapping  | 
data may be reviewed annually to update the data as necessary. | 
 (e) Crisis response mapping data obtained pursuant to this  | 
Section are confidential and exempt from disclosure under the  | 
Freedom of Information Act. | 
 (f) The State Board may adopt rules to implement the  | 
provisions of this Section.  | 
(Source: P.A. 103-8, eff. 6-7-23; revised 1-20-24.)
 | 
 (105 ILCS 128/55) | 
 Sec. 55 50. Rapid entry. A school building's emergency and  | 
crisis response plan, protocol, and procedures shall include a  | 
plan for local law enforcement to rapidly enter a school  | 
building in the event of an emergency. | 
(Source: P.A. 103-194, eff. 1-1-24; revised 1-2-24.)
 | 
 Section 295. The University of Illinois Act is amended by  | 
changing Section 115 as follows:
 | 
 (110 ILCS 305/115) | 
 | 
 (Section scheduled to be repealed on January 1, 2025) | 
 Sec. 115. Water rates report. | 
 (a) Subject to appropriation, no later than June 30, 2023,  | 
the Government Finance Research Center at the University of  | 
Illinois at Chicago, in coordination with an intergovernmental  | 
advisory committee, must issue a report evaluating the setting  | 
of water rates throughout the Lake Michigan service area of  | 
northeastern Illinois and, no later than December 31, 2024,  | 
for the remainder of Illinois. The report must provide  | 
recommendations for policy and regulatory needs at the State  | 
and local level based on its findings. The report shall, at a  | 
minimum, address all of the following areas: | 
  (1) The components of a water bill. | 
  (2) Reasons for increases in water rates. | 
  (3) The definition of affordability throughout the  | 
 State and any variances to that definition. | 
  (4) Evidence of rate-setting that utilizes  | 
 inappropriate practices. | 
  (5) The extent to which State or local policies drive  | 
 cost increases or variations in rate-settings. | 
  (6) Challenges within economically disadvantaged  | 
 communities in setting water rates. | 
  (7) Opportunities for increased intergovernmental  | 
 coordination for setting equitable water rates. | 
 (b) In developing the report under this Section, the  | 
Government Finance Research Center shall form an advisory  | 
 | 
committee, which shall be composed of all of the following  | 
members: | 
  (1) The Director of the Environmental Protection  | 
 Agency, or his or her designee. | 
  (2) The Director of Natural Resources, or his or her  | 
 designee. | 
  (3) The Director of Commerce and Economic Opportunity,  | 
 or his or her designee. | 
  (4) The Attorney General, or his or her designee. | 
  (5) At least 2 members who are representatives of  | 
 private water utilities operating in Illinois, appointed  | 
 by the Director of the Government Finance Research Center. | 
  (6) At least 4 members who are representatives of  | 
 municipal water utilities, appointed by the Director of  | 
 the Government Finance Research Center. | 
  (7) One member who is a representative of an  | 
 environmental justice advocacy organization, appointed by  | 
 the Director of the Government Finance Research Center. | 
  (8) One member who is a representative of a consumer  | 
 advocacy organization, appointed by the Director of the  | 
 Government Finance Research Center. | 
  (9) One member who is a representative of an  | 
 environmental planning organization that serves  | 
 northeastern Illinois, appointed by the Director of the  | 
 Government Finance Research Center. | 
  (10) The Director of the Illinois State Water Survey,  | 
 | 
 or his or her designee. | 
  (11) The Chairperson of the Illinois Commerce  | 
 Commission, or his or her designee.  | 
 (c) After all members are appointed, the committee shall  | 
hold its first meeting at the call of the Director of the  | 
Government Finance Research Center, at which meeting the  | 
members shall select a chairperson from among themselves.  | 
After its first meeting, the committee shall meet at the call  | 
of the chairperson. Members of the committee shall serve  | 
without compensation but may be reimbursed for their  | 
reasonable and necessary expenses incurred in performing their  | 
duties. The Government Finance Research Center shall provide  | 
administrative and other support to the committee. | 
 (d) (Blank.).  | 
 (e) This Section is repealed on January 1, 2025.  | 
(Source: P.A. 102-507, eff. 8-20-21; 102-558, eff. 8-20-21;  | 
103-4, eff. 5-31-23; revised 9-20-23.)
 | 
 Section 300. The University of Illinois Hospital Act is  | 
amended by setting forth, renumbering, and changing multiple  | 
versions of Section 8h as follows:
 | 
 (110 ILCS 330/8h) | 
 Sec. 8h. Maternal milk donation education. | 
 (a) To ensure an adequate supply of pasteurized donor  | 
human milk for premature infants in Illinois, the University  | 
 | 
of Illinois Hospital shall provide information and  | 
instructional materials to parents of each newborn, upon  | 
discharge from the University of Illinois Hospital, regarding  | 
the option to voluntarily donate milk to nonprofit non-profit  | 
milk banks that are accredited by the Human Milk Banking  | 
Association of North America or its successor organization.  | 
The materials shall be provided free of charge and shall  | 
include general information regarding nonprofit non-profit  | 
milk banking practices and contact information for area  | 
nonprofit milk banks that are accredited by the Human Milk  | 
Banking Association of North America. | 
 (b) The information and instructional materials described  | 
in subsection (a) may be provided electronically. | 
 (c) Nothing in this Section prohibits the University of  | 
Illinois Hospital from obtaining free and suitable information  | 
on voluntary milk donation from the Human Milk Banking  | 
Association of North America, or its successor organization,  | 
or their accredited members.  | 
(Source: P.A. 103-160, eff. 1-1-24; revised 9-26-23.)
 | 
 (110 ILCS 330/8i) | 
 Sec. 8i 8h. Emergency room treatment; delay of treatment  | 
prohibition. Notwithstanding any provision of law to the  | 
contrary, the University of Illinois Hospital, in accordance  | 
with Section 1395dd(a) and 1395dd(b) of the Social Security  | 
Act, shall not delay provisions of a required appropriate  | 
 | 
medical screening examination or further medical examination  | 
and treatment for a patient in a University of Illinois  | 
Hospital emergency room in order to inquire about the  | 
individual's method of payment or insurance status. | 
(Source: P.A. 103-213, eff. 1-1-24; revised 1-2-24.)
 | 
 Section 305. The Underserved Health Care Provider  | 
Workforce Act is amended by changing Section 3.09 as follows:
 | 
 (110 ILCS 935/3.09) | 
 Sec. 3.09. Eligible health care provider. "Eligible health  | 
care provider" means a primary care physician, general  | 
surgeon, emergency medicine physician, obstetrician,  | 
chiropractic physician, anesthesiologist, advanced practice  | 
registered nurse, or physician assistant who accepts Medicaid,  | 
Medicare, the State's Children's Health Insurance Program,  | 
private insurance, and self-pay. | 
(Source: P.A. 102-888, eff. 5-17-22; 103-219, eff. 1-1-24;  | 
103-507, eff. 1-1-24; revised 9-5-23.)
 | 
 Section 310. The Higher Education Student Assistance Act  | 
is amended by changing Sections 65.100 and 67 as follows:
 | 
 (110 ILCS 947/65.100) | 
 Sec. 65.100. AIM HIGH Grant Program. | 
 (a) The General Assembly makes all of the following  | 
 | 
findings:  | 
  (1) Both access and affordability are important  | 
 aspects of the Illinois Public Agenda for College and  | 
 Career Success report. | 
  (2) This State is in the top quartile with respect to  | 
 the percentage of family income needed to pay for college. | 
  (3) Research suggests that as loan amounts increase,  | 
 rather than an increase in grant amounts, the probability  | 
 of college attendance decreases. | 
  (4) There is further research indicating that  | 
 socioeconomic status may affect the willingness of  | 
 students to use loans to attend college. | 
  (5) Strategic use of tuition discounting can decrease  | 
 the amount of loans that students must use to pay for  | 
 tuition. | 
  (6) A modest, individually tailored tuition discount  | 
 can make the difference in a student choosing to attend  | 
 college and enhance college access for low-income and  | 
 middle-income families. | 
  (7) Even if the federally calculated financial need  | 
 for college attendance is met, the federally determined  | 
 Expected Family Contribution can still be a daunting  | 
 amount. | 
  (8) This State is the second largest exporter of  | 
 students in the country. | 
  (9) When talented Illinois students attend  | 
 | 
 universities in this State, the State and those  | 
 universities benefit. | 
  (10) State universities in other states have adopted  | 
 pricing and incentives that allow many Illinois residents  | 
 to pay less to attend an out-of-state university than to  | 
 remain in this State for college. | 
  (11) Supporting Illinois student attendance at  | 
 Illinois public universities can assist in State efforts  | 
 to maintain and educate a highly trained workforce. | 
  (12) Modest tuition discounts that are individually  | 
 targeted and tailored can result in enhanced revenue for  | 
 public universities. | 
  (13) By increasing a public university's capacity to  | 
 strategically use tuition discounting, the public  | 
 university will be capable of creating enhanced tuition  | 
 revenue by increasing enrollment yields.  | 
 (b) In this Section:  | 
 "Eligible applicant" means a student from any high school  | 
in this State, whether or not recognized by the State Board of  | 
Education, who is engaged in a program of study that in due  | 
course will be completed by the end of the school year and who  | 
meets all of the qualifications and requirements under this  | 
Section.  | 
 "Tuition and other necessary fees" includes the customary  | 
charge for instruction and use of facilities in general and  | 
the additional fixed fees charged for specified purposes that  | 
 | 
are required generally of non-grant recipients for each  | 
academic period for which the grant applicant actually  | 
enrolls, but does not include fees payable only once or  | 
breakage fees and other contingent deposits that are  | 
refundable in whole or in part. The Commission may adopt, by  | 
rule not inconsistent with this Section, detailed provisions  | 
concerning the computation of tuition and other necessary  | 
fees. | 
 (c) Beginning with the 2019-2020 academic year, each  | 
public university may establish a merit-based scholarship  | 
program known as the AIM HIGH Grant Program. Each year, the  | 
Commission shall receive and consider applications from public  | 
universities under this Section. Each participating public  | 
university shall indicate that grants under the program come  | 
from AIM HIGH and shall use the words "AIM HIGH" in the name of  | 
any grant under the program and in any published or posted  | 
materials about the program. Subject to appropriation and any  | 
tuition waiver limitation established by the Board of Higher  | 
Education, a public university campus may award a grant to a  | 
student under this Section if it finds that the applicant  | 
meets all of the following criteria:  | 
  (1) He or she is a resident of this State and a citizen  | 
 or eligible noncitizen of the United States. | 
  (2) He or she files a Free Application for Federal  | 
 Student Aid and demonstrates financial need with a  | 
 household income no greater than 8 times the poverty  | 
 | 
 guidelines updated periodically in the Federal Register by  | 
 the U.S. Department of Health and Human Services under the  | 
 authority of 42 U.S.C. 9902(2). The household income of  | 
 the applicant at the time of initial application shall be  | 
 deemed to be the household income of the applicant for the  | 
 duration of the program. | 
  (3) He or she meets the minimum cumulative grade point  | 
 average or ACT or SAT college admissions test score, as  | 
 determined by the public university campus. | 
  (4) He or she is enrolled in a public university as an  | 
 undergraduate student on a full-time basis. | 
  (5) He or she has not yet received a baccalaureate  | 
 degree or the equivalent of 135 semester credit hours. | 
  (6) He or she is not incarcerated. | 
  (7) He or she is not in default on any student loan or  | 
 does not owe a refund or repayment on any State or federal  | 
 grant or scholarship. | 
  (8) Any other reasonable criteria, as determined by  | 
 the public university campus.  | 
 Each public university campus shall allow qualified  | 
full-time undergraduate students to apply for a grant, but may  | 
choose to allow qualified part-time undergraduate students who  | 
are enrolling in their final semester at the public university  | 
campus to also apply.  | 
 (d) Each public university campus shall determine grant  | 
renewal criteria consistent with the requirements under this  | 
 | 
Section. | 
 (e) Each participating public university campus shall post  | 
on its Internet website criteria and eligibility requirements  | 
for receiving awards that use funds under this Section that  | 
include a range in the sizes of these individual awards. The  | 
criteria and amounts must also be reported to the Commission  | 
and the Board of Higher Education, who shall post the  | 
information on their respective Internet websites.  | 
 (f) After enactment of an appropriation for this Program,  | 
the Commission shall determine an allocation of funds to each  | 
public university in an amount proportionate to the number of  | 
undergraduate students who are residents of this State and  | 
citizens or eligible noncitizens of the United States and who  | 
were enrolled at each public university campus in the previous  | 
academic year. All applications must be made to the Commission  | 
on or before a date determined by the Commission and on forms  | 
that the Commission shall provide to each public university  | 
campus. The form of the application and the information  | 
required shall be determined by the Commission and shall  | 
include, without limitation, the total public university  | 
campus funds used to match funds received from the Commission  | 
in the previous academic year under this Section, if any, the  | 
total enrollment of undergraduate students who are residents  | 
of this State from the previous academic year, and any  | 
supporting documents as the Commission deems necessary. Each  | 
public university campus shall match the amount of funds  | 
 | 
received by the Commission with financial aid for eligible  | 
students. | 
 A public university in which an average of at least 49% of  | 
the students seeking a bachelor's degree or certificate  | 
received a Pell Grant over the prior 3 academic years, as  | 
reported to the Commission, shall match 35% of the amount of  | 
funds awarded in a given academic year with non-loan financial  | 
aid for eligible students. A public university in which an  | 
average of less than 49% of the students seeking a bachelor's  | 
degree or certificate received a Pell Grant over the prior 3  | 
academic years, as reported to the Commission, shall match 70%  | 
of the amount of funds awarded in a given academic year with  | 
non-loan financial aid for eligible students. | 
 A public university campus is not required to claim its  | 
entire allocation. The Commission shall make available to all  | 
public universities, on a date determined by the Commission,  | 
any unclaimed funds and the funds must be made available to  | 
those public university campuses in the proportion determined  | 
under this subsection (f), excluding from the calculation  | 
those public university campuses not claiming their full  | 
allocations. | 
 Each public university campus may determine the award  | 
amounts for eligible students on an individual or broad basis,  | 
but, subject to renewal eligibility, each renewed award may  | 
not be less than the amount awarded to the eligible student in  | 
his or her first year attending the public university campus.  | 
 | 
Notwithstanding this limitation, a renewal grant may be  | 
reduced due to changes in the student's cost of attendance,  | 
including, but not limited to, if a student reduces the number  | 
of credit hours in which he or she is enrolled, but remains a  | 
full-time student, or switches to a course of study with a  | 
lower tuition rate. | 
 An eligible applicant awarded grant assistance under this  | 
Section is eligible to receive other financial aid. Total  | 
grant aid to the student from all sources may not exceed the  | 
total cost of attendance at the public university campus. | 
 (g) All money allocated to a public university campus  | 
under this Section may be used only for financial aid purposes  | 
for students attending the public university campus during the  | 
academic year, not including summer terms. Notwithstanding any  | 
other provision of law to the contrary, any funds received by a  | 
public university campus under this Section that are not  | 
granted to students in the academic year for which the funds  | 
are received may be retained by the public university campus  | 
for expenditure on students participating in the Program or  | 
students eligible to participate in the Program.  | 
 (h) Each public university campus that establishes a  | 
Program under this Section must annually report to the  | 
Commission, on or before a date determined by the Commission,  | 
the number of undergraduate students enrolled at that campus  | 
who are residents of this State. | 
 (i) Each public university campus must report to the  | 
 | 
Commission the total non-loan financial aid amount given by  | 
the public university campus to undergraduate students in the  | 
2017-2018 academic year or the 2021-2022 academic year, not  | 
including the summer terms. To be eligible to receive funds  | 
under the Program, a public university campus may not decrease  | 
the total amount of non-loan financial aid it gives to  | 
undergraduate students, not including any funds received from  | 
the Commission under this Section or any funds used to match  | 
grant awards under this Section, to an amount lower than the  | 
amount reported under this subsection (i) for the 2017-2018  | 
academic year or the 2021-2022 academic year, whichever is  | 
less, not including the summer terms. | 
 (j) On or before a date determined by the Commission, each  | 
public university campus that participates in the Program  | 
under this Section shall annually submit a report to the  | 
Commission with all of the following information:  | 
  (1) The Program's impact on tuition revenue and  | 
 enrollment goals and increase in access and affordability  | 
 at the public university campus. | 
  (2) Total funds received by the public university  | 
 campus under the Program. | 
  (3) Total non-loan financial aid awarded to  | 
 undergraduate students attending the public university  | 
 campus. | 
  (4) Total amount of funds matched by the public  | 
 university campus. | 
 | 
  (5) Total amount of claimed and unexpended funds  | 
 retained by the public university campus. | 
  (6) The percentage of total financial aid distributed  | 
 under the Program by the public university campus. | 
  (7) The total number of students receiving grants from  | 
 the public university campus under the Program and those  | 
 students' grade level, race, gender, income level, family  | 
 size, Monetary Award Program eligibility, Pell Grant  | 
 eligibility, and zip code of residence and the amount of  | 
 each grant award. This information shall include unit  | 
 record data on those students regarding variables  | 
 associated with the parameters of the public university's  | 
 Program, including, but not limited to, a student's ACT or  | 
 SAT college admissions test score, high school or  | 
 university cumulative grade point average, or program of  | 
 study.  | 
 On or before October 1, 2020 and annually on or before  | 
October 1 through 2024, the Commission shall submit a report  | 
with the findings under this subsection (j) and any other  | 
information regarding the AIM HIGH Grant Program to (i) the  | 
Governor, (ii) the Speaker of the House of Representatives,  | 
(iii) the Minority Leader of the House of Representatives,  | 
(iv) the President of the Senate, and (v) the Minority Leader  | 
of the Senate. The reports to the General Assembly shall be  | 
filed with the Clerk of the House of Representatives and the  | 
Secretary of the Senate in electronic form only, in the manner  | 
 | 
that the Clerk and the Secretary shall direct. The  | 
Commission's report may not disaggregate data to a level that  | 
may disclose personally identifying information of individual  | 
students. | 
 The sharing and reporting of student data under this  | 
subsection (j) must be in accordance with the requirements  | 
under the federal Family Educational Rights and Privacy Act of  | 
1974 and the Illinois School Student Records Act. All parties  | 
must preserve the confidentiality of the information as  | 
required by law. The names of the grant recipients under this  | 
Section are not subject to disclosure under the Freedom of  | 
Information Act. | 
 Public university campuses that fail to submit a report  | 
under this subsection (j) or that fail to adhere to any other  | 
requirements under this Section may not be eligible for  | 
distribution of funds under the Program for the next academic  | 
year, but may be eligible for distribution of funds for each  | 
academic year thereafter.  | 
 (k) The Commission shall adopt rules to implement this  | 
Section. | 
 (l) (Blank).  | 
(Source: P.A. 103-8, eff. 6-7-23; 103-516, eff. 8-11-23;  | 
revised 9-6-23.)
 | 
 (110 ILCS 947/67) | 
 Sec. 67. Illinois DREAM Fund Commission. | 
 | 
 (a) The Illinois Student Assistance Commission shall  | 
establish an Illinois DREAM Fund Commission. The Governor  | 
shall appoint, with the advice and consent of the Senate,  | 
members to the Illinois DREAM Fund Commission, which shall be  | 
comprised of 9 members representing the geographic and ethnic  | 
diversity of this State, including students, college and  | 
university administrators and faculty, and other individuals  | 
committed to advancing the educational opportunities of the  | 
children of immigrants. | 
 (b) The Illinois DREAM Fund Commission is charged with all  | 
of the following responsibilities: | 
  (1) Administering this Section and raising funds for  | 
 the Illinois DREAM Fund. | 
  (2) Establishing a not-for-profit entity charged with  | 
 raising funds for the administration of this Section, any  | 
 educational or training programs the Commission is tasked  | 
 with administering, and funding scholarships to students  | 
 who are the children of immigrants to the United States.  | 
  (3) Publicizing the availability of scholarships from  | 
 the Illinois DREAM Fund. | 
  (4) Selecting the recipients of scholarships funded  | 
 through the Illinois DREAM Fund. | 
  (5) Researching issues pertaining to the availability  | 
 of assistance with the costs of higher education for the  | 
 children of immigrants and other issues regarding access  | 
 for and the performance of the children of immigrants  | 
 | 
 within higher education. | 
  (6) Overseeing implementation of the other provisions  | 
 of Public Act 97-233 this amendatory Act of the 97th  | 
 General Assembly. | 
  (7) Establishing and administering training programs  | 
 for high school counselors and counselors, admissions  | 
 officers, and financial aid officers of public  | 
 institutions of higher education. The training programs  | 
 shall instruct participants on the educational  | 
 opportunities available to college-bound students who are  | 
 the children of immigrants, including, but not limited to,  | 
 in-state tuition and scholarship programs. The Illinois  | 
 DREAM Fund Commission may also establish a public  | 
 awareness campaign regarding educational opportunities  | 
 available to college bound students who are the children  | 
 of immigrants.  | 
 The Illinois DREAM Fund Commission shall establish, by  | 
rule, procedures for accepting and evaluating applications for  | 
scholarships from the children of immigrants and issuing  | 
scholarships to selected student applicants. | 
 (c) To receive a scholarship under this Section, a student  | 
must meet all of the following qualifications: | 
  (1) Have resided with his or her parents or guardian  | 
 while attending a public or private high school in this  | 
 State. | 
  (2) Have graduated from a public or private high  | 
 | 
 school or received the equivalent of a high school diploma  | 
 in this State. | 
  (3) Have attended school in this State for at least 3  | 
 years as of the date he or she graduated from high school  | 
 or received the equivalent of a high school diploma. | 
  (4) Have at least one parent who immigrated to the  | 
 United States. | 
 (d) The Illinois Student Assistance Commission shall  | 
establish an Illinois DREAM Fund to provide scholarships under  | 
this Section. The Illinois DREAM Fund shall be funded entirely  | 
from private contributions, gifts, grants, awards, and  | 
proceeds from the scratch-off created in Section 21.16 of the  | 
Illinois Lottery Law.  | 
 (e) The Illinois DREAM Fund Commission shall develop a  | 
comprehensive program, including creation of informational  | 
materials and a marketing plan, to educate people in the State  | 
of Illinois about the purpose and benefits of contributions  | 
made to the Illinois DREAM Fund. The Illinois DREAM Fund  | 
Commission shall develop specific marketing materials for the  | 
voluntary use by persons licensed pursuant to the Transmitters  | 
of Money Act.  | 
(Source: P.A. 103-338, eff. 7-28-23; 103-381, eff. 7-28-23;  | 
revised 9-6-23.)
 | 
 Section 315. The Illinois Educational Labor Relations Act  | 
is amended by changing Section 2 as follows:
 | 
 | 
 (115 ILCS 5/2) (from Ch. 48, par. 1702) | 
 Sec. 2. Definitions. As used in this Act: | 
 (a) "Educational employer" or "employer" means the  | 
governing body of a public school district, including the  | 
governing body of a charter school established under Article  | 
27A of the School Code or of a contract school or contract  | 
turnaround school established under paragraph 30 of Section  | 
34-18 of the School Code, combination of public school  | 
districts, including the governing body of joint agreements of  | 
any type formed by 2 or more school districts, public  | 
community college district or State college or university, a  | 
subcontractor of instructional services of a school district  | 
(other than a school district organized under Article 34 of  | 
the School Code), combination of school districts, charter  | 
school established under Article 27A of the School Code, or  | 
contract school or contract turnaround school established  | 
under paragraph 30 of Section 34-18 of the School Code, an  | 
Independent Authority created under Section 2-3.25f-5 of the  | 
School Code, and any State agency whose major function is  | 
providing educational services. "Educational employer" or  | 
"employer" does not include (1) a Financial Oversight Panel  | 
created pursuant to Section 1A-8 of the School Code due to a  | 
district violating a financial plan or (2) an approved  | 
nonpublic special education facility that contracts with a  | 
school district or combination of school districts to provide  | 
 | 
special education services pursuant to Section 14-7.02 of the  | 
School Code, but does include a School Finance Authority  | 
created under Article 1E of the School Code and a Financial  | 
Oversight Panel created under Article 1B or 1H of the School  | 
Code. The change made by Public Act 96-104 this amendatory Act  | 
of the 96th General Assembly to this paragraph (a) to make  | 
clear that the governing body of a charter school is an  | 
"educational employer" is declaratory of existing law.  | 
 (b) "Educational employee" or "employee" means any  | 
individual, excluding supervisors, managerial, confidential,  | 
short term employees, student, and part-time academic  | 
employees of community colleges employed full or part time by  | 
an educational employer, but shall not include elected  | 
officials and appointees of the Governor with the advice and  | 
consent of the Senate, firefighters as defined by subsection  | 
(g-1) of Section 3 of the Illinois Public Labor Relations Act,  | 
and peace officers employed by a State university. However,  | 
with respect to an educational employer of a school district  | 
organized under Article 34 of the School Code, a supervisor  | 
shall be considered an educational employee under this  | 
definition unless the supervisor is also a managerial  | 
employee. For the purposes of this Act, part-time academic  | 
employees of community colleges shall be defined as those  | 
employees who provide less than 3 credit hours of instruction  | 
per academic semester. In this subsection (b), the term  | 
"student" does not include graduate students who are research  | 
 | 
assistants primarily performing duties that involve research,  | 
graduate assistants primarily performing duties that are  | 
pre-professional, graduate students who are teaching  | 
assistants primarily performing duties that involve the  | 
delivery and support of instruction, or any other graduate  | 
assistants. | 
 (c) "Employee organization" or "labor organization" means  | 
an organization of any kind in which membership includes  | 
educational employees, and which exists for the purpose, in  | 
whole or in part, of dealing with employers concerning  | 
grievances, employee-employer disputes, wages, rates of pay,  | 
hours of employment, or conditions of work, but shall not  | 
include any organization which practices discrimination in  | 
membership because of race, color, creed, age, gender,  | 
national origin or political affiliation. | 
 (d) "Exclusive representative" means the labor  | 
organization which has been designated by the Illinois  | 
Educational Labor Relations Board as the representative of the  | 
majority of educational employees in an appropriate unit, or  | 
recognized by an educational employer prior to January 1, 1984  | 
as the exclusive representative of the employees in an  | 
appropriate unit or, after January 1, 1984, recognized by an  | 
employer upon evidence that the employee organization has been  | 
designated as the exclusive representative by a majority of  | 
the employees in an appropriate unit. | 
 (e) "Board" means the Illinois Educational Labor Relations  | 
 | 
Board. | 
 (f) "Regional Superintendent" means the regional  | 
superintendent of schools provided for in Articles 3 and 3A of  | 
The School Code. | 
 (g) "Supervisor" means any individual having authority in  | 
the interests of the employer to hire, transfer, suspend, lay  | 
off, recall, promote, discharge, reward or discipline other  | 
employees within the appropriate bargaining unit and adjust  | 
their grievances, or to effectively recommend such action if  | 
the exercise of such authority is not of a merely routine or  | 
clerical nature but requires the use of independent judgment.  | 
The term "supervisor" includes only those individuals who  | 
devote a preponderance of their employment time to such  | 
exercising authority. | 
 (h) "Unfair labor practice" or "unfair practice" means any  | 
practice prohibited by Section 14 of this Act. | 
 (i) "Person" includes an individual, educational employee,  | 
educational employer, legal representative, or employee  | 
organization. | 
 (j) "Wages" means salaries or other forms of compensation  | 
for services rendered. | 
 (k) "Professional employee" means, in the case of a public  | 
community college, State college or university, State agency  | 
whose major function is providing educational services, the  | 
Illinois School for the Deaf, and the Illinois School for the  | 
Visually Impaired, (1) any employee engaged in work (i)  | 
 | 
predominantly intellectual and varied in character as opposed  | 
to routine mental, manual, mechanical, or physical work; (ii)  | 
involving the consistent exercise of discretion and judgment  | 
in its performance; (iii) of such character that the output  | 
produced or the result accomplished cannot be standardized in  | 
relation to a given period of time; and (iv) requiring  | 
knowledge of an advanced type in a field of science or learning  | 
customarily acquired by a prolonged course of specialized  | 
intellectual instruction and study in an institution of higher  | 
learning or a hospital, as distinguished from a general  | 
academic education or from an apprenticeship or from training  | 
in the performance of routine mental, manual, or physical  | 
processes; or (2) any employee, who (i) has completed the  | 
courses of specialized intellectual instruction and study  | 
described in clause (iv) of paragraph (1) of this subsection,  | 
and (ii) is performing related work under the supervision of a  | 
professional person to qualify himself or herself to become a  | 
professional as defined in paragraph (l). | 
 (l) "Professional employee" means, in the case of any  | 
public school district, or combination of school districts  | 
pursuant to joint agreement, any employee who has a license  | 
issued under Article 21B of the School Code. | 
 (m) "Unit" or "bargaining unit" means any group of  | 
employees for which an exclusive representative is selected. | 
 (n) "Confidential employee" means an employee, who (i) in  | 
the regular course of his or her duties, assists and acts in a  | 
 | 
confidential capacity to persons who formulate, determine and  | 
effectuate management policies with regard to labor relations  | 
or who (ii) in the regular course of his or her duties has  | 
access to information relating to the effectuation or review  | 
of the employer's collective bargaining policies. | 
 (o) "Managerial employee" means, with respect to an  | 
educational employer other than an educational employer of a  | 
school district organized under Article 34 of the School Code,  | 
an individual who is engaged predominantly in executive and  | 
management functions and is charged with the responsibility of  | 
directing the effectuation of such management policies and  | 
practices or, with respect to an educational employer of a  | 
school district organized under Article 34 of the School Code,  | 
an individual who has a significant role in the negotiation of  | 
collective bargaining agreements or who formulates and  | 
determines employer-wide management policies and practices.  | 
"Managerial employee" includes a general superintendent of  | 
schools provided for under Section 34-6 of the School Code. | 
 (p) "Craft employee" means a skilled journeyman, craft  | 
person, and his or her apprentice or helper. | 
 (q) "Short-term employee" is an employee who is employed  | 
for less than 2 consecutive calendar quarters during a  | 
calendar year and who does not have a reasonable expectation  | 
that he or she will be rehired by the same employer for the  | 
same service in a subsequent calendar year. Nothing in this  | 
subsection shall affect the employee status of individuals who  | 
 | 
were covered by a collective bargaining agreement on January  | 
1, 1992 (the effective date of Public Act 87-736) this  | 
amendatory Act of 1991. | 
 The changes made to this Section by Public Act 102-1138  | 
this amendatory Act of the 102nd General Assembly may not be  | 
construed to void or change the powers and duties given to  | 
local school councils under Section 34-2.3 of the School Code.  | 
(Source: P.A. 101-380, eff. 1-1-20; 102-894, eff. 5-20-22;  | 
102-1071, eff. 6-10-22; 102-1138, eff. 2-10-23; revised  | 
3-2-23.)
 | 
 Section 320. The Alternative Health Care Delivery Act is  | 
amended by changing Section 35.2 as follows:
 | 
 (210 ILCS 3/35.2) | 
 Sec. 35.2. Maternal milk donation education. | 
 (a) To ensure an adequate supply of pasteurized donor  | 
human milk for premature infants in Illinois, a birth center  | 
with obstetrical service beds shall provide information and  | 
instructional materials to parents of each newborn, upon  | 
discharge from the birth center, regarding the option to  | 
voluntarily donate milk to nonprofit non-profit milk banks  | 
that are accredited by the Human Milk Banking Association of  | 
North America or its successor organization. The materials  | 
shall be provided free of charge and shall include general  | 
information regarding nonprofit non-profit milk banking  | 
 | 
practices and contact information for area nonprofit milk  | 
banks that are accredited by the Human Milk Banking  | 
Association of North America. | 
 (b) The information and instructional materials described  | 
in subsection (a) may be provided electronically. | 
 (c) Nothing in this Section prohibits a birth center from  | 
obtaining free and suitable information on voluntary milk  | 
donation from the Human Milk Banking Association of North  | 
America, or its successor organization, or its accredited  | 
members. | 
(Source: P.A. 103-160, eff. 1-1-24; revised 12-22-23.)
 | 
 Section 325. The Life Care Facilities Act is amended by  | 
setting forth, renumbering, and changing multiple versions of  | 
Section 10.3 as follows:
 | 
 (210 ILCS 40/10.3) | 
 Sec. 10.3. Posting of Long Term Care Ombudsman Program  | 
information. | 
 (a) Except as provided under subsection (b), all licensed  | 
facilities shall post on the home page of the facility's  | 
website the following: | 
  (1) The Long Term Care Ombudsman Program's statewide  | 
 toll-free telephone number. | 
  (2) A link to the Long Term Care Ombudsman Program's  | 
 website. | 
 | 
 (b) A facility: | 
  (1) may comply with this Section by posting the  | 
 required information on the website of the facility's  | 
 parent company if the facility does not maintain a unique  | 
 website; | 
  (2) is not required to comply with this Section if the  | 
 facility and any parent company do not maintain a website;  | 
 and | 
  (3) is not required to comply with this Section in  | 
 instances where the parent company operates in multiple  | 
 states and the facility does not maintain a unique  | 
 website.  | 
(Source: P.A. 103-119, eff. 1-1-24; revised 12-22-23.)
 | 
 (210 ILCS 40/10.4) | 
 Sec. 10.4 10.3. Provision of at-home continuing care. | 
 (a) The Department shall adopt rules that: | 
  (1) establish standards for providers of at-home  | 
 continuing care; | 
  (2) provide for the certification and registration of  | 
 providers of at-home continuing care and the annual  | 
 renewal of certificates of registration; | 
  (3) provide for and encourage the establishment of  | 
 at-home continuing care programs; | 
  (4) set minimum requirements for any individual who is  | 
 employed by or under contract with a provider of at-home  | 
 | 
 continuing care and who will enter a provider of at-home  | 
 continuing care's subscriber's home to provide at-home  | 
 continuing care services, including requirements for  | 
 criminal background checks of such an individual who will  | 
 have routine, direct access to a subscriber; | 
  (5) establish standards for the renewal of  | 
 certificates of registration for providers of at-home  | 
 continuing care; | 
  (6) establish standards for the number of executed  | 
 agreements necessary to begin operation as a provider of  | 
 at-home continuing care; | 
  (7) establish standards for when and how a provider of  | 
 at-home continuing care or a subscriber may rescind an  | 
 at-home continuing care agreement before at-home  | 
 continuing care services are provided to the subscriber; | 
  (8) allow a subscriber to rescind an agreement for  | 
 at-home continuing care services at any time if the terms  | 
 of the agreement violate this Section; | 
  (9) establish that a provider may terminate an  | 
 agreement to provide at-home continuing care services or  | 
 discharge a subscriber only for just cause; and | 
  (10) establish procedures to carry out a termination  | 
 or discharge under paragraph (9). | 
 (b) The Department shall certify and register a person as  | 
a provider of at-home continuing care services under this  | 
Section if the Department determines that: | 
 | 
  (1) a reasonable financial plan has been developed to  | 
 provide at-home continuing care services, including a plan  | 
 for the number of agreements to be executed before  | 
 beginning operation; | 
  (2) a market for the at-home continuing care program  | 
 exists; | 
  (3) the provider has submitted all proposed  | 
 advertisements, advertising campaigns, and other  | 
 promotional materials for the program; | 
  (4) the form and substance of all advertisements,  | 
 advertising campaigns, and other promotional materials  | 
 submitted are not deceptive, misleading, or likely to  | 
 mislead; and | 
  (5) an actuarial forecast supports the market for the  | 
 program. | 
 (c) A provider may not enter into an agreement to provide  | 
at-home continuing care services until the Department issues a  | 
preliminary certificate of registration to the provider. An  | 
application for a preliminary certificate of registration  | 
shall: | 
  (1) be filed in a form determined by the Department by  | 
 rule; and | 
  (2) include: | 
   (A) a copy of the proposed at-home continuing care  | 
 agreement; and | 
   (B) the form and substance of any proposed  | 
 | 
 advertisements, advertising campaigns, or other  | 
 promotional materials for the program that are is  | 
 available at the time of filing the application and  | 
 that have has not been filed previously with the  | 
 Department. | 
 (d) The Department shall issue a preliminary certificate  | 
of registration to a provider under subsection (c) if the  | 
Department determines that: | 
  (1) the proposed at-home continuing care agreement is  | 
 satisfactory; | 
  (2) the provider has submitted all proposed  | 
 advertisements, advertising campaigns, and other  | 
 promotional materials for the program; and | 
  (3) the form and substance of all advertisements,  | 
 advertising campaigns, and other promotional materials  | 
 submitted are not deceptive, misleading, or likely to  | 
 mislead. | 
 (e) A person may not provide at-home continuing care  | 
services until the Department issues a certificate of  | 
registration to the person. An application for a certificate  | 
of registration shall: | 
  (1) be filed in a form determined by the Department by  | 
 rule; and | 
  (2) include: | 
   (A) verification that the required number of  | 
 agreements has been executed; | 
 | 
   (B) the form and substance of any proposed  | 
 advertisements, advertising campaigns, or other  | 
 promotional materials for the program that are  | 
 available at the time of filing and that have not been  | 
 filed previously with the Department; and | 
   (C) verification that any other license or  | 
 certificate required by other appropriate State units  | 
 has been issued to the provider. | 
 (f) The Department shall issue a certificate of  | 
registration to a provider under subsection (e) if the  | 
Department determines that: | 
  (1) the information and documents submitted and  | 
 application for a preliminary certificate of registration  | 
 are current and accurate or have been updated to make them  | 
 accurate; | 
  (2) the required agreements have been executed; | 
  (3) any other license or certificate required by other  | 
 appropriate State units has been issued to the provider; | 
  (4) the provider has submitted all proposed  | 
 advertisements, advertising campaigns, and other  | 
 promotional materials for the program; and | 
  (5) the material submitted is not an advertisement,  | 
 advertising campaign, or other promotional material that  | 
 is deceptive, misleading, or likely to mislead. | 
 If a provider intends to advertise before the Department  | 
issues a certificate of registration, the provider shall  | 
 | 
submit to the Department any advertisement, advertising  | 
campaign, or other promotional material materials before using  | 
it. | 
 (g) Every 2 years, within 120 days after the end of a  | 
provider's fiscal year, a provider shall file an application  | 
for a renewal certificate of registration with the Department.  | 
The application shall: | 
   (A) be filed in a form determined by the  | 
 Department by rule; and | 
   (B) contain any reasonable and pertinent  | 
 information that the Department requires. | 
 (h) The Department shall issue a renewal certificate of  | 
registration under subsection (g) if the Department determines  | 
that: | 
  (1) all required documents have been filed and are  | 
 satisfactory; | 
  (2) any revised agreements for at-home continuing care  | 
 services meet the Department's requirements; | 
  (3) the provider has submitted all proposed  | 
 advertisements, advertising campaigns, and other  | 
 promotional materials for the program; and | 
  (4) the form and substance of all advertisements,  | 
 advertising campaigns, and other promotional materials  | 
 submitted are not deceptive, misleading, or likely to  | 
 mislead. | 
 (i) The Department may deny, suspend, or revoke a  | 
 | 
preliminary, initial, or renewal certificate of registration  | 
under this Section for cause. The Department shall set forth  | 
in writing its reasons for a denial, suspension, or  | 
revocation. A provider may appeal a denial in writing. Grounds  | 
for a denial, suspension, or revocation include, but are not  | 
limited to: | 
  (1) violation of this Section; | 
  (2) violation of a rule adopted by the Department  | 
 under this Section; | 
  (3) misrepresentation; or | 
  (4) submission of false information.  | 
(Source: P.A. 103-332, eff. 1-1-24; revised 1-2-24.)
 | 
 Section 330. The Emergency Medical Services (EMS) Systems  | 
Act is amended by changing Sections 3.55 and 3.116 as follows:
 | 
 (210 ILCS 50/3.55) | 
 Sec. 3.55. Scope of practice.  | 
 (a) Any person currently licensed as an EMR, EMT, EMT-I,  | 
A-EMT, PHRN, PHAPRN, PHPA, or Paramedic may perform emergency  | 
and non-emergency medical services as defined in this Act, in  | 
accordance with his or her level of education, training and  | 
licensure, the standards of performance and conduct prescribed  | 
by the Department in rules adopted pursuant to this Act, and  | 
the requirements of the EMS System in which he or she  | 
practices, as contained in the approved Program Plan for that  | 
 | 
System. The Director may, by written order, temporarily modify  | 
individual scopes of practice in response to public health  | 
emergencies for periods not exceeding 180 days.  | 
 (a-5) EMS personnel who have successfully completed a  | 
Department approved course in automated defibrillator  | 
operation and who are functioning within a Department approved  | 
EMS System may utilize such automated defibrillator according  | 
to the standards of performance and conduct prescribed by the  | 
Department in rules adopted pursuant to this Act and the  | 
requirements of the EMS System in which they practice, as  | 
contained in the approved Program Plan for that System. | 
 (a-7) An EMT, EMT-I, A-EMT, PHRN, PHAPRN, PHPA, or  | 
Paramedic who has successfully completed a Department approved  | 
course in the administration of epinephrine shall be required  | 
to carry epinephrine with him or her as part of the EMS  | 
personnel medical supplies whenever he or she is performing  | 
official duties as determined by the EMS System. The  | 
epinephrine may be administered from a glass vial,  | 
auto-injector, ampule, or pre-filled syringe.  | 
 (b) An EMR, EMT, EMT-I, A-EMT, PHRN, PHAPRN, PHPA, or  | 
Paramedic may practice as an EMR, EMT, EMT-I, A-EMT, or  | 
Paramedic or utilize his or her EMR, EMT, EMT-I, A-EMT, PHRN,  | 
PHAPRN, PHPA, or Paramedic license in pre-hospital or  | 
inter-hospital emergency care settings or non-emergency  | 
medical transport situations, under the written or verbal  | 
direction of the EMS Medical Director. For purposes of this  | 
 | 
Section, a "pre-hospital emergency care setting" may include a  | 
location, that is not a health care facility, which utilizes  | 
EMS personnel to render pre-hospital emergency care prior to  | 
the arrival of a transport vehicle. The location shall include  | 
communication equipment and all of the portable equipment and  | 
drugs appropriate for the EMR, EMT, EMT-I, A-EMT, or  | 
Paramedic's level of care, as required by this Act, rules  | 
adopted by the Department pursuant to this Act, and the  | 
protocols of the EMS Systems, and shall operate only with the  | 
approval and under the direction of the EMS Medical Director. | 
 This Section shall not prohibit an EMR, EMT, EMT-I, A-EMT,  | 
PHRN, PHAPRN, PHPA, or Paramedic from practicing within an  | 
emergency department or other health care setting for the  | 
purpose of receiving continuing education or training approved  | 
by the EMS Medical Director. This Section shall also not  | 
prohibit an EMT, EMT-I, A-EMT, PHRN, PHAPRN, PHPA, or  | 
Paramedic from seeking credentials other than his or her EMT,  | 
EMT-I, A-EMT, PHRN, PHAPRN, PHPA, or Paramedic license and  | 
utilizing such credentials to work in emergency departments or  | 
other health care settings under the jurisdiction of that  | 
employer. | 
 (c) An EMT, EMT-I, A-EMT, PHRN, PHAPRN, PHPA, or Paramedic  | 
may honor Do Not Resuscitate (DNR) orders and powers of  | 
attorney for health care only in accordance with rules adopted  | 
by the Department pursuant to this Act and protocols of the EMS  | 
System in which he or she practices. | 
 | 
 (d) A student enrolled in a Department approved EMS  | 
personnel program, while fulfilling the clinical training and  | 
in-field supervised experience requirements mandated for  | 
licensure or approval by the System and the Department, may  | 
perform prescribed procedures under the direct supervision of  | 
a physician licensed to practice medicine in all of its  | 
branches, a qualified registered professional nurse, or  | 
qualified EMS personnel, only when authorized by the EMS  | 
Medical Director. | 
 (e) An EMR, EMT, EMT-I, A-EMT, PHRN, PHAPRN, PHPA, or  | 
Paramedic may transport a police dog injured in the line of  | 
duty to a veterinary clinic or similar facility if there are no  | 
persons requiring medical attention or transport at that time.  | 
For the purposes of this subsection, "police dog" means a dog  | 
owned or used by a law enforcement department or agency in the  | 
course of the department or agency's work, including a search  | 
and rescue dog, service dog, accelerant detection canine, or  | 
other dog that is in use by a county, municipal, or State law  | 
enforcement agency.  | 
 (f) Nothing in this Act shall be construed to prohibit an  | 
EMT, EMT-I, A-EMT, Paramedic, or PHRN from completing an  | 
initial Occupational Safety and Health Administration  | 
Respirator Medical Evaluation Questionnaire on behalf of fire  | 
service personnel, as permitted by his or her EMS System  | 
Medical Director. | 
 (g) An EMT, EMT-I, A-EMT, Paramedic, PHRN, PHAPRN, or PHPA  | 
 | 
shall be eligible to work for another EMS System for a period  | 
not to exceed 2 weeks if the individual is under the direct  | 
supervision of another licensed individual operating at the  | 
same or higher level as the EMT, EMT-I, A-EMT, Paramedic,  | 
PHRN, PHAPRN, or PHPA; obtained approval in writing from the  | 
EMS System's Medical Director; and tests into the EMS System  | 
based upon appropriate standards as outlined in the EMS System  | 
Program Plan. The EMS System within which the EMT, EMT-I,  | 
A-EMT, Paramedic, PHRN, PHAPRN, or PHPA is seeking to join  | 
must make all required testing available to the EMT, EMT-I,  | 
A-EMT, Paramedic, PHRN, PHAPRN, or PHPA within 2 weeks after  | 
the written request. Failure to do so by the EMS System shall  | 
allow the EMT, EMT-I, A-EMT, Paramedic, PHRN, PHAPRN, or PHPA  | 
to continue working for another EMS System until all required  | 
testing becomes available.  | 
 (h) (g) A member of a fire department's or fire protection  | 
district's collective bargaining unit shall be eligible to  | 
work under a silver spanner program for another EMS System's  | 
fire department or fire protection district that is not the  | 
full-time employer of that member, for a period not to exceed 2  | 
weeks, if the member: (1) is under the direct supervision of  | 
another licensed individual operating at the same or higher  | 
licensure level as the member; (2) made a written request to  | 
the EMS System's Medical Director for approval to work under  | 
the silver spanner program, which shall be approved or denied  | 
within 24 hours after the EMS System's Medical Director  | 
 | 
received the request; and (3) tests into the EMS System based  | 
upon appropriate standards as outlined in the EMS System  | 
Program Plan. The EMS System within which the member is  | 
seeking to join must make all required testing available to  | 
the member within 2 weeks of the written request. Failure to do  | 
so by the EMS System shall allow the member to continue working  | 
under a silver spanner program until all required testing  | 
becomes available. | 
(Source: P.A. 102-79, eff. 1-1-22; 103-521, eff. 1-1-24;  | 
103-547, eff. 8-11-23; revised 8-30-23.)
 | 
 (210 ILCS 50/3.116) | 
 Sec. 3.116. Hospital Stroke Care; definitions. As used in  | 
Sections 3.116 through 3.119, 3.130, and 3.200 of this Act: | 
 "Acute Stroke-Ready Hospital" means a hospital that has  | 
been designated by the Department as meeting the criteria for  | 
providing emergent stroke care. Designation may be provided  | 
after a hospital has been certified or through application and  | 
designation as such.  | 
 "Certification" or "certified" means certification, using  | 
evidence-based standards, from a nationally recognized  | 
certifying body approved by the Department. | 
 "Comprehensive Stroke Center" means a hospital that has  | 
been certified and has been designated as such.  | 
 "Designation" or "designated" means the Department's  | 
recognition of a hospital as a Comprehensive Stroke Center,  | 
 | 
Primary Stroke Center, or Acute Stroke-Ready Hospital. | 
 "Emergent stroke care" is emergency medical care that  | 
includes diagnosis and emergency medical treatment of acute  | 
stroke patients. | 
 "Emergent Stroke Ready Hospital" means a hospital that has  | 
been designated by the Department as meeting the criteria for  | 
providing emergent stroke care.  | 
 "Primary Stroke Center" means a hospital that has been  | 
certified by a Department-approved, nationally recognized  | 
certifying body and designated as such by the Department. | 
 "Primary Stroke Center Plus" means a hospital that has  | 
been certified by a Department-approved, nationally recognized  | 
certifying body and designated as such by the Department.  | 
 "Regional Stroke Advisory Subcommittee" means a  | 
subcommittee formed within each Regional EMS Advisory  | 
Committee to advise the Director and the Region's EMS Medical  | 
Directors Committee on the triage, treatment, and transport of  | 
possible acute stroke patients and to select the Region's  | 
representative to the State Stroke Advisory Subcommittee. At  | 
minimum, the Regional Stroke Advisory Subcommittee shall  | 
consist of: one representative from the EMS Medical Directors  | 
Committee; one EMS coordinator from a Resource Hospital; one  | 
administrative representative or his or her designee from each  | 
level of stroke care, including Comprehensive Stroke Centers  | 
within the Region, if any, Thrombectomy Capable Stroke Centers  | 
within the Region, if any, Thrombectomy Ready Stroke Centers  | 
 | 
within the Region, if any, Primary Stroke Centers Plus within  | 
the Region, if any, Primary Stroke Centers within the Region,  | 
if any, and Acute Stroke-Ready Hospitals within the Region, if  | 
any; one physician from each level of stroke care, including  | 
one physician who is a neurologist or who provides advanced  | 
stroke care at a Comprehensive Stroke Center in the Region, if  | 
any, one physician who is a neurologist or who provides acute  | 
stroke care at a Thrombectomy Capable Stroke Center within the  | 
Region, if any, a Thrombectomy Ready Stroke Center within the  | 
Region, if any, or a Primary Stroke Center Plus in the Region,  | 
if any, one physician who is a neurologist or who provides  | 
acute stroke care at a Primary Stroke Center in the Region, if  | 
any, and one physician who provides acute stroke care at an  | 
Acute Stroke-Ready Hospital in the Region, if any; one nurse  | 
practicing in each level of stroke care, including one nurse  | 
from a Comprehensive Stroke Center in the Region, if any, one  | 
nurse from a Thrombectomy Capable Stroke Center, if any, a  | 
Thrombectomy Ready Stroke Center within the Region, if any, or  | 
a Primary Stroke Center Plus in the Region, if any, one nurse  | 
from a Primary Stroke Center in the Region, if any, and one  | 
nurse from an Acute Stroke-Ready Hospital in the Region, if  | 
any; one representative from both a public and a private  | 
vehicle service provider that transports possible acute stroke  | 
patients within the Region; the State-designated regional EMS  | 
Coordinator; and a fire chief or his or her designee from the  | 
EMS Region, if the Region serves a population of more than  | 
 | 
2,000,000. The Regional Stroke Advisory Subcommittee shall  | 
establish bylaws to ensure equal membership that rotates and  | 
clearly delineates committee responsibilities and structure.  | 
Of the members first appointed, one-third shall be appointed  | 
for a term of one year, one-third shall be appointed for a term  | 
of 2 years, and the remaining members shall be appointed for a  | 
term of 3 years. The terms of subsequent appointees shall be 3  | 
years. | 
 "State Stroke Advisory Subcommittee" means a standing  | 
advisory body within the State Emergency Medical Services  | 
Advisory Council. | 
 "Thrombectomy Capable Stroke Center" means a hospital that  | 
has been certified by a Department-approved, nationally  | 
recognized certifying body and designated as such by the  | 
Department. | 
 "Thrombectomy Ready Stroke Center" means a hospital that  | 
has been certified by a Department-approved, nationally  | 
recognized certifying body and designated as such by the  | 
Department.  | 
(Source: P.A. 102-687, eff. 12-17-21; 103-149, eff. 1-1-24;  | 
103-363, eff. 7-28-23; revised 12-12-23.)
 | 
 Section 335. The Hospital Licensing Act is amended by  | 
changing Sections 10.10 and 11.9 as follows:
 | 
 (210 ILCS 85/10.10) | 
 | 
 Sec. 10.10. Nurse staffing by patient acuity.  | 
 (a) Findings. The Legislature finds and declares all of  | 
the following: | 
  (1) The State of Illinois has a substantial interest  | 
 in promoting quality care and improving the delivery of  | 
 health care services. | 
  (2) Evidence-based studies have shown that the basic  | 
 principles of staffing in the acute care setting should be  | 
 based on the complexity of patients' care needs aligned  | 
 with available nursing skills to promote quality patient  | 
 care consistent with professional nursing standards. | 
  (3) Compliance with this Section promotes an  | 
 organizational climate that values registered nurses'  | 
 input in meeting the health care needs of hospital  | 
 patients. | 
 (b) Definitions. As used in this Section: | 
 "Acuity model" means an assessment tool selected and  | 
implemented by a hospital, as recommended by a nursing care  | 
committee, that assesses the complexity of patient care needs  | 
requiring professional nursing care and skills and aligns  | 
patient care needs and nursing skills consistent with  | 
professional nursing standards. | 
 "Department" means the Department of Public Health. | 
 "Direct patient care" means care provided by a registered  | 
professional nurse with direct responsibility to oversee or  | 
carry out medical regimens or nursing care for one or more  | 
 | 
patients. | 
 "Nursing care committee" means a hospital-wide committee  | 
or committees of nurses whose functions, in part or in whole,  | 
contribute to the development, recommendation, and review of  | 
the hospital's nurse staffing plan established pursuant to  | 
subsection (d). | 
 "Registered professional nurse" means a person licensed as  | 
a Registered Nurse under the Nurse Practice Act. | 
 "Written staffing plan for nursing care services" means a  | 
written plan for the assignment of patient care nursing staff  | 
based on multiple nurse and patient considerations that yield  | 
minimum staffing levels for inpatient care units and the  | 
adopted acuity model aligning patient care needs with nursing  | 
skills required for quality patient care consistent with  | 
professional nursing standards. | 
 (c) Written staffing plan. | 
  (1) Every hospital shall implement a written  | 
 hospital-wide staffing plan, prepared by a nursing care  | 
 committee or committees, that provides for minimum direct  | 
 care professional registered nurse-to-patient staffing  | 
 needs for each inpatient care unit, including inpatient  | 
 emergency departments. If the staffing plan prepared by  | 
 the nursing care committee is not adopted by the hospital,  | 
 or if substantial changes are proposed to it, the chief  | 
 nursing officer shall either: (i) provide a written  | 
 explanation to the committee of the reasons the plan was  | 
 | 
 not adopted; or (ii) provide a written explanation of any  | 
 substantial changes made to the proposed plan prior to it  | 
 being adopted by the hospital. The written hospital-wide  | 
 staffing plan shall include, but need not be limited to,  | 
 the following considerations: | 
   (A) The complexity of complete care, assessment on  | 
 patient admission, volume of patient admissions,  | 
 discharges and transfers, evaluation of the progress  | 
 of a patient's problems, ongoing physical assessments,  | 
 planning for a patient's discharge, assessment after a  | 
 change in patient condition, and assessment of the  | 
 need for patient referrals. | 
   (B) The complexity of clinical professional  | 
 nursing judgment needed to design and implement a  | 
 patient's nursing care plan, the need for specialized  | 
 equipment and technology, the skill mix of other  | 
 personnel providing or supporting direct patient care,  | 
 and involvement in quality improvement activities,  | 
 professional preparation, and experience. | 
   (C) Patient acuity and the number of patients for  | 
 whom care is being provided. | 
   (D) The ongoing assessments of a unit's patient  | 
 acuity levels and nursing staff needed shall be  | 
 routinely made by the unit nurse manager or his or her  | 
 designee. | 
   (E) The identification of additional registered  | 
 | 
 nurses available for direct patient care when  | 
 patients' unexpected needs exceed the planned workload  | 
 for direct care staff. | 
  (2) In order to provide staffing flexibility to meet  | 
 patient needs, every hospital shall identify an acuity  | 
 model for adjusting the staffing plan for each inpatient  | 
 care unit. | 
  (2.5) Each hospital shall implement the staffing plan  | 
 and assign nursing personnel to each inpatient care unit,  | 
 including inpatient emergency departments, in accordance  | 
 with the staffing plan. | 
   (A) A registered nurse may report to the nursing  | 
 care committee any variations where the nurse  | 
 personnel assignment in an inpatient care unit is not  | 
 in accordance with the adopted staffing plan and may  | 
 make a written report to the nursing care committee  | 
 based on the variations. | 
   (B) Shift-to-shift adjustments in staffing levels  | 
 required by the staffing plan may be made by the  | 
 appropriate hospital personnel overseeing inpatient  | 
 care operations. If a registered nurse in an inpatient  | 
 care unit objects to a shift-to-shift adjustment, the  | 
 registered nurse may submit a written report to the  | 
 nursing care committee. | 
   (C) The nursing care committee shall develop a  | 
 process to examine and respond to written reports  | 
 | 
 submitted under subparagraphs (A) and (B) of this  | 
 paragraph (2.5), including the ability to determine if  | 
 a specific written report is resolved or should be  | 
 dismissed.  | 
  (3) The written staffing plan shall be posted, either  | 
 by physical or electronic means, in a conspicuous and  | 
 accessible location for both patients and direct care  | 
 staff, as required under the Hospital Report Card Act. A  | 
 copy of the written staffing plan shall be provided to any  | 
 member of the general public upon request.  | 
 (d) Nursing care committee. | 
  (1) Every hospital shall have a nursing care committee  | 
 that meets at least 6 times per year. A hospital shall  | 
 appoint members of a committee whereby at least 55% of the  | 
 members are registered professional nurses providing  | 
 direct inpatient care, one of whom shall be selected  | 
 annually by the direct inpatient care nurses to serve as  | 
 co-chair of the committee. | 
  (2) (Blank).  | 
  (2.5) A nursing care committee shall prepare and  | 
 recommend to hospital administration the hospital's  | 
 written hospital-wide staffing plan. If the staffing plan  | 
 is not adopted by the hospital, the chief nursing officer  | 
 shall provide a written statement to the committee prior  | 
 to a staffing plan being adopted by the hospital that: (A)  | 
 explains the reasons the committee's proposed staffing  | 
 | 
 plan was not adopted; and (B) describes the changes to the  | 
 committee's proposed staffing or any alternative to the  | 
 committee's proposed staffing plan.  | 
  (3) A nursing care committee's or committees' written  | 
 staffing plan for the hospital shall be based on the  | 
 principles from the staffing components set forth in  | 
 subsection (c). In particular, a committee or committees  | 
 shall provide input and feedback on the following: | 
   (A) Selection, implementation, and evaluation of  | 
 minimum staffing levels for inpatient care units. | 
   (B) Selection, implementation, and evaluation of  | 
 an acuity model to provide staffing flexibility that  | 
 aligns changing patient acuity with nursing skills  | 
 required. | 
   (C) Selection, implementation, and evaluation of a  | 
 written staffing plan incorporating the items  | 
 described in subdivisions (c)(1) and (c)(2) of this  | 
 Section. | 
   (D) Review the nurse staffing plans for all  | 
 inpatient areas and current acuity tools and measures  | 
 in use. The nursing care committee's review shall  | 
 consider:  | 
    (i) patient outcomes; | 
    (ii) complaints regarding staffing, including  | 
 complaints about a delay in direct care nursing or  | 
 an absence of direct care nursing; | 
 | 
    (iii) the number of hours of nursing care  | 
 provided through an inpatient hospital unit  | 
 compared with the number of inpatients served by  | 
 the hospital unit during a 24-hour period; | 
    (iv) the aggregate hours of overtime worked by  | 
 the nursing staff; | 
    (v) the extent to which actual nurse staffing  | 
 for each hospital inpatient unit differs from the  | 
 staffing specified by the staffing plan; and | 
    (vi) any other matter or change to the  | 
 staffing plan determined by the committee to  | 
 ensure that the hospital is staffed to meet the  | 
 health care needs of patients.  | 
  (4) A nursing care committee must issue a written  | 
 report addressing the items described in subparagraphs (A)  | 
 through (D) of paragraph (3) semi-annually. A written copy  | 
 of this report shall be made available to direct inpatient  | 
 care nurses by making available a paper copy of the  | 
 report, distributing it electronically, or posting it on  | 
 the hospital's website.  | 
  (5) A nursing care committee must issue a written  | 
 report at least annually to the hospital governing board  | 
 that addresses items including, but not limited to: the  | 
 items described in paragraph (3); changes made based on  | 
 committee recommendations and the impact of such changes;  | 
 and recommendations for future changes related to nurse  | 
 | 
 staffing. | 
  (6) A nursing care committee must annually notify the  | 
 hospital nursing staff of the staff's rights under this  | 
 Section. The annual notice must provide a phone number and  | 
 an email address for staff to report noncompliance with  | 
 the nursing staff's rights as described in this Section.  | 
 The notice must be provided by email or by regular mail in  | 
 a manner that effectively facilitates receipt of the  | 
 notice. The Department shall monitor and enforce the  | 
 requirements of this paragraph (6).  | 
 (e) Nothing in this Section 10.10 shall be construed to  | 
limit, alter, or modify any of the terms, conditions, or  | 
provisions of a collective bargaining agreement entered into  | 
by the hospital.  | 
 (f) No hospital may discipline, discharge, or take any  | 
other adverse employment action against an employee solely  | 
because the employee expresses a concern or complaint  | 
regarding an alleged violation of this Section or concerns  | 
related to nurse staffing. | 
 (g) Any employee of a hospital may file a complaint with  | 
the Department regarding an alleged violation of this Section.  | 
The Department must forward notification of the alleged  | 
violation to the hospital in question within 10 business days  | 
after the complaint is filed. Upon receiving a complaint of a  | 
violation of this Section, the Department may take any action  | 
authorized under Section Sections 7 or 9 of this Act. | 
 | 
(Source: P.A. 102-4, eff. 4-27-21; 102-641, eff. 8-27-21;  | 
102-813, eff. 5-13-22; 103-211, eff. 1-1-24; revised 1-2-24.)
 | 
 (210 ILCS 85/11.9) | 
 Sec. 11.9. Maternal milk donation education. | 
 (a) To ensure an adequate supply of pasteurized donor  | 
human milk for premature infants in Illinois, a hospital with  | 
licensed obstetric beds shall provide information and  | 
instructional materials to parents of each newborn, upon  | 
discharge from the hospital, regarding the option to  | 
voluntarily donate milk to nonprofit non-profit milk banks  | 
that are accredited by the Human Milk Banking Association of  | 
North America or its successor organization. The materials  | 
shall be provided free of charge and shall include general  | 
information regarding nonprofit non-profit milk banking  | 
practices and contact information for area nonprofit milk  | 
banks that are accredited by the Human Milk Banking  | 
Association of North America. | 
 (b) The information and instructional materials described  | 
in subsection (a) may be provided electronically. | 
 (c) Nothing in this Section prohibits a hospital from  | 
obtaining free and suitable information on voluntary milk  | 
donation from the Human Milk Banking Association of North  | 
America, or its successor organization, or its accredited  | 
members.  | 
(Source: P.A. 103-160, eff. 1-1-24; revised 12-22-23.)
 | 
 | 
 Section 340. The Hospital Uninsured Patient Discount Act  | 
is amended by changing Section 15 as follows:
 | 
 (210 ILCS 89/15) | 
 Sec. 15. Patient responsibility.  | 
 (a) Hospitals may make the availability of a discount and  | 
the maximum collectible amount under this Act contingent upon  | 
the uninsured patient first applying for coverage under public  | 
health insurance programs, such as Medicare, Medicaid,  | 
AllKids, the State Children's Health Insurance Program, the  | 
Health Benefits for Immigrants program, or any other program,  | 
if there is a reasonable basis to believe that the uninsured  | 
patient may be eligible for such program. If the patient  | 
declines to apply for a public health insurance program on the  | 
basis of concern for immigration-related consequences, the  | 
hospital may refer the patient to a free, unbiased resource,  | 
such as an Immigrant Family Resource Program, to address the  | 
patient's immigration-related concerns and assist in enrolling  | 
the patient in a public health insurance program. The hospital  | 
may still screen the patient for eligibility under its  | 
financial assistance policy.  | 
 (b) Hospitals shall permit an uninsured patient to apply  | 
for a discount within 90 days of the date of discharge, date of  | 
service, completion of the screening under the Fair Patient  | 
Billing Act, or denial of an application for a public health  | 
 | 
insurance program. | 
 Hospitals shall offer uninsured patients who receive  | 
community-based primary care provided by a community health  | 
center or a free and charitable clinic, are referred by such an  | 
entity to the hospital, and seek access to nonemergency  | 
hospital-based health care services with an opportunity to be  | 
screened for and assistance with applying for public health  | 
insurance programs if there is a reasonable basis to believe  | 
that the uninsured patient may be eligible for a public health  | 
insurance program. An uninsured patient who receives  | 
community-based primary care provided by a community health  | 
center or free and charitable clinic and is referred by such an  | 
entity to the hospital for whom there is not a reasonable basis  | 
to believe that the uninsured patient may be eligible for a  | 
public health insurance program shall be given the opportunity  | 
to apply for hospital financial assistance when hospital  | 
services are scheduled.  | 
  (1) Income verification. Hospitals may require an  | 
 uninsured patient who is requesting an uninsured discount  | 
 to provide documentation of family income. Acceptable  | 
 family income documentation shall include any one of the  | 
 following: | 
   (A) a copy of the most recent tax return; | 
   (B) a copy of the most recent W-2 form and 1099  | 
 forms; | 
   (C) copies of the 2 most recent pay stubs; | 
 | 
   (D) written income verification from an employer  | 
 if paid in cash; or | 
   (E) one other reasonable form of third-party third  | 
 party income verification deemed acceptable to the  | 
 hospital. | 
  (2) Asset verification. Hospitals may require an  | 
 uninsured patient who is requesting an uninsured discount  | 
 to certify the existence or absence of assets owned by the  | 
 patient and to provide documentation of the value of such  | 
 assets, except for those assets referenced in paragraph  | 
 (4) of subsection (c) of Section 10. Acceptable  | 
 documentation may include statements from financial  | 
 institutions or some other third-party third party  | 
 verification of an asset's value. If no third-party third  | 
 party verification exists, then the patient shall certify  | 
 as to the estimated value of the asset. | 
  (3) Illinois resident verification. Hospitals may  | 
 require an uninsured patient who is requesting an  | 
 uninsured discount to verify Illinois residency.  | 
 Acceptable verification of Illinois residency shall  | 
 include any one of the following: | 
   (A) any of the documents listed in paragraph (1); | 
   (B) a valid state-issued identification card; | 
   (C) a recent residential utility bill; | 
   (D) a lease agreement; | 
   (E) a vehicle registration card; | 
 | 
   (F) a voter registration card; | 
   (G) mail addressed to the uninsured patient at an  | 
 Illinois address from a government or other credible  | 
 source; | 
   (H) a statement from a family member of the  | 
 uninsured patient who resides at the same address and  | 
 presents verification of residency; | 
   (I) a letter from a homeless shelter, transitional  | 
 house or other similar facility verifying that the  | 
 uninsured patient resides at the facility; or | 
   (J) a temporary visitor's drivers license.  | 
 (c) Hospital obligations toward an individual uninsured  | 
patient under this Act shall cease if that patient  | 
unreasonably fails or refuses to provide the hospital with  | 
information or documentation requested under subsection (b) or  | 
to apply for coverage under public programs when requested  | 
under subsection (a) within 30 days of the hospital's request. | 
 (d) In order for a hospital to determine the 12 month  | 
maximum amount that can be collected from a patient deemed  | 
eligible under Section 10, an uninsured patient shall inform  | 
the hospital in subsequent inpatient admissions or outpatient  | 
encounters that the patient has previously received health  | 
care services from that hospital and was determined to be  | 
entitled to the uninsured discount. | 
 (e) Hospitals may require patients to certify that all of  | 
the information provided in the application is true. The  | 
 | 
application may state that if any of the information is  | 
untrue, any discount granted to the patient is forfeited and  | 
the patient is responsible for payment of the hospital's full  | 
charges. | 
 (f) Hospitals shall ask for an applicant's race,  | 
ethnicity, sex, and preferred language on the financial  | 
assistance application. However, the questions shall be  | 
clearly marked as optional responses for the patient and shall  | 
note that responses or nonresponses by the patient will not  | 
have any impact on the outcome of the application.  | 
(Source: P.A. 102-581, eff. 1-1-22; 103-323, eff. 1-1-24;  | 
103-492, eff. 1-1-24; revised 9-7-23.)
 | 
 Section 345. The Birth Center Licensing Act is amended by  | 
changing Section 46 as follows:
 | 
 (210 ILCS 170/46) | 
 Sec. 46. Maternal milk donation education.  | 
 (a) To ensure an adequate supply of pasteurized donor  | 
human milk for premature infants in Illinois, a birth center  | 
with obstetrical service beds shall provide information and  | 
instructional materials to parents of each newborn, upon  | 
discharge from the birth center, regarding the option to  | 
voluntarily donate milk to nonprofit non-profit milk banks  | 
that are accredited by the Human Milk Banking Association of  | 
North America or its successor organization. The materials  | 
 | 
shall be provided free of charge and shall include general  | 
information regarding nonprofit non-profit milk banking  | 
practices and contact information for area nonprofit milk  | 
banks that are accredited by the Human Milk Banking  | 
Association of North America. | 
 (b) The information and instructional materials described  | 
in subsection (a) may be provided electronically. | 
 (c) Nothing in this Section prohibits a birth center from  | 
obtaining free and suitable information on voluntary milk  | 
donation from the Human Milk Banking Association of North  | 
America, or its successor organization, or its accredited  | 
members. | 
(Source: P.A. 103-160, eff. 1-1-24; revised 12-22-23.)
 | 
 Section 350. The Illinois Insurance Code is amended by  | 
setting forth, renumbering, and changing multiple versions of  | 
Section 356z.61 and by changing Section 370c.1 as follows:
 | 
 (215 ILCS 5/356z.61) | 
 Sec. 356z.61. Coverage for liver disease screening. A  | 
group or individual policy of accident and health insurance or  | 
a managed care plan that is amended, delivered, issued, or  | 
renewed on or after January 1, 2025 shall provide coverage for  | 
preventative liver disease screenings for individuals 35 years  | 
of age or older and under the age of 65 at high risk for liver  | 
disease, including liver ultrasounds and alpha-fetoprotein  | 
 | 
blood tests every 6 months, without imposing a deductible,  | 
coinsurance, copayment, or any other cost-sharing requirement  | 
on the coverage provided; except that this Section does not  | 
apply to coverage of liver disease screenings to the extent  | 
such coverage would disqualify a high-deductible health plan  | 
from eligibility for a health savings account pursuant to  | 
Section 223 of the Internal Revenue Code. | 
(Source: P.A. 103-84, eff. 1-1-24.)
 | 
 (215 ILCS 5/356z.63) | 
 Sec. 356z.63 356z.61. Coverage of pharmacy testing,  | 
screening, vaccinations, and treatment. A group or individual  | 
policy of accident and health insurance or a managed care plan  | 
that is amended, delivered, issued, or renewed on or after  | 
January 1, 2025 shall provide coverage for health care or  | 
patient care services provided by a pharmacist if: | 
  (1) the pharmacist meets the requirements and scope of  | 
 practice described in paragraph (15), (16), or (17) of  | 
 subsection (d) of Section 3 of the Pharmacy Practice Act; | 
  (2) the health plan provides coverage for the same  | 
 service provided by a licensed physician, an advanced  | 
 practice registered nurse, or a physician assistant; | 
  (3) the pharmacist is included in the health benefit  | 
 plan's network of participating providers; and | 
  (4) reimbursement has been successfully negotiated in  | 
 good faith between the pharmacist and the health plan. | 
 | 
(Source: P.A. 103-1, eff. 4-27-23; revised 8-29-23.)
 | 
 (215 ILCS 5/356z.64) | 
 Sec. 356z.64 356z.61. Coverage for compression sleeves. A  | 
group or individual policy of accident and health insurance or  | 
a managed care plan that is amended, delivered, issued, or  | 
renewed on or after January 1, 2025 shall provide coverage for  | 
compression sleeves that are is medically necessary for the  | 
enrollee to prevent or mitigate lymphedema. | 
(Source: P.A. 103-91, eff. 1-1-24; revised 8-29-23.)
 | 
 (215 ILCS 5/356z.65) | 
 Sec. 356z.65 356z.61. Coverage for reconstructive  | 
services. | 
 (a) As used in this Section, "reconstructive services"  | 
means treatments performed on structures of the body damaged  | 
by trauma to restore physical appearance.  | 
 (b) A group or individual policy of accident and health  | 
insurance or a managed care plan that is amended, delivered,  | 
issued, or renewed on or after January 1, 2025 may not deny  | 
coverage for medically necessary reconstructive services that  | 
are intended to restore physical appearance. | 
(Source: P.A. 103-123, eff. 1-1-24; revised 8-29-23.)
 | 
 (215 ILCS 5/356z.66) | 
 Sec. 356z.66 356z.61. Proton beam therapy. | 
 | 
 (a) As used in this Section: | 
 "Medically necessary" has the meaning given to that term  | 
in the Prior Authorization Reform Act.  | 
 "Proton beam therapy" means a type of radiation therapy  | 
treatment that utilizes protons as the radiation delivery  | 
method for the treatment of tumors and cancerous cells. | 
 "Radiation therapy treatment" means the delivery of  | 
biological effective doses with proton therapy, intensity  | 
modulated radiation therapy, brachytherapy, stereotactic body  | 
radiation therapy, three-dimensional conformal radiation  | 
therapy, or other forms of therapy using radiation.  | 
 (b) A group or individual policy of accident and health  | 
insurance or managed care plan that is amended, delivered,  | 
issued, or renewed on or after January 1, 2025 that provides  | 
coverage for the treatment of cancer shall not apply a higher  | 
standard of clinical evidence for the coverage of proton beam  | 
therapy than the insurer applies for the coverage of any other  | 
form of radiation therapy treatment.  | 
 (c) A group or individual policy of accident and health  | 
insurance or managed care plan that is amended, delivered,  | 
issued, or renewed on or after January 1, 2025 that provides  | 
coverage or benefits to any resident of this State for  | 
radiation oncology shall include coverage or benefits for  | 
medically necessary proton beam therapy for the treatment of  | 
cancer.  | 
(Source: P.A. 103-325, eff. 1-1-24; revised 8-29-23.)
 | 
 | 
 (215 ILCS 5/356z.67) | 
 Sec. 356z.67 356z.61. Coverage of prescription estrogen. | 
 (a) A group or individual policy of accident and health  | 
insurance or a managed care plan that is amended, delivered,  | 
issued, or renewed on or after January 1, 2025 and that  | 
provides coverage for prescription drugs shall include  | 
coverage for one or more therapeutic equivalent versions of  | 
vaginal estrogen in its formulary.  | 
 (b) If a particular vaginal estrogen product or its  | 
therapeutic equivalent version approved by the United States  | 
Food and Drug Administration is determined to be medically  | 
necessary, the issuer must cover that service or item pursuant  | 
to the cost-sharing requirement contained in subsection (c).  | 
 (c) A policy subject to this Section shall not impose a  | 
deductible, copayment, or any other cost sharing requirement  | 
that exceeds any deductible, coinsurance, copayment, or any  | 
other cost-sharing requirement imposed on any prescription  | 
drug authorized for the treatment of erectile dysfunction  | 
covered by the policy; except that this subsection does not  | 
apply to coverage of vaginal estrogen to the extent such  | 
coverage would disqualify a high-deductible health plan from  | 
eligibility for a health savings account pursuant to Section  | 
223 of the Internal Revenue Code.  | 
 (d) As used in this Section, "therapeutic equivalent  | 
version" has the meaning given to that term in paragraph (2) of  | 
 | 
subsection (a) of Section 356z.4.  | 
(Source: P.A. 103-420, eff. 1-1-24; revised 8-29-23.)
 | 
 (215 ILCS 5/356z.68) | 
 Sec. 356z.68 356z.61. Home saliva cancer screening. | 
 (a) As used in this Section, "home saliva cancer  | 
screening" means an outpatient test that utilizes an  | 
individual's saliva to detect biomarkers for early-stage  | 
cancer. | 
 (b) An individual or group policy of accident and health  | 
insurance that is amended, delivered, issued, or renewed on or  | 
after January 1, 2025 shall cover a medically necessary home  | 
saliva cancer screening every 24 months if the patient: | 
  (1) is asymptomatic and at high risk for the disease  | 
 being tested for; or | 
  (2) demonstrates symptoms of the disease being tested  | 
 for at a physical exam. | 
(Source: P.A. 103-445, eff. 1-1-24; revised 8-29-23.)
 | 
 (215 ILCS 5/356z.69) | 
 Sec. 356z.69 356z.61. Coverage for children with  | 
neuromuscular, neurological, or cognitive impairment. A group  | 
or individual policy of accident and health insurance amended,  | 
delivered, issued, or renewed on or after January 1, 2025  | 
shall provide coverage for therapy, diagnostic testing, and  | 
equipment necessary to increase quality of life for children  | 
 | 
who have been clinically or genetically diagnosed with any  | 
disease, syndrome, or disorder that includes low tone  | 
neuromuscular impairment, neurological impairment, or  | 
cognitive impairment. | 
(Source: P.A. 103-458, eff. 1-1-24; revised 8-29-23.)
 | 
 (215 ILCS 5/356z.70) | 
 Sec. 356z.70 356z.61. Coverage of no-cost mental health  | 
prevention and wellness visits. | 
 (a) A group or individual policy of accident and health  | 
insurance or managed care plan that is amended, delivered,  | 
issued, or renewed on or after January 1, 2025 shall provide  | 
coverage for one annual mental health prevention and wellness  | 
visit for children and for adults. | 
 (b) Mental health prevention and wellness visits shall  | 
include any age-appropriate screening recommended by the  | 
United States Preventive Services Task Force or by the  | 
American Academy of Pediatrics' Bright Futures: Guidelines for  | 
Health Supervision of Infants, Children, and Adolescents for  | 
purposes of identifying a mental health issue, condition, or  | 
disorder; discussing mental health symptoms that might be  | 
present, including symptoms of a previously diagnosed mental  | 
health condition or disorder; performing an evaluation of  | 
adverse childhood experiences; and discussing mental health  | 
and wellness. | 
 (c) A mental health prevention and wellness visit shall be  | 
 | 
covered for up to 60 minutes and may be performed by a  | 
physician licensed to practice medicine in all of its  | 
branches, a licensed clinical psychologist, a licensed  | 
clinical social worker, a licensed clinical professional  | 
counselor, a licensed marriage and family therapist, a  | 
licensed social worker, or a licensed professional counselor. | 
 (d) A policy subject to this Section shall not impose a  | 
deductible, coinsurance, copayment, or other cost-sharing  | 
requirement for mental health prevention and wellness visits.  | 
The cost-sharing prohibition in this subsection (d) does not  | 
apply to coverage of mental health prevention and wellness  | 
visits to the extent such coverage would disqualify a  | 
high-deductible health plan from eligibility for a health  | 
savings account pursuant to Section 223 of the Internal  | 
Revenue Code. | 
 (e) A mental health prevention and wellness visit shall be  | 
in addition to an annual physical examination and shall not  | 
replace a well-child visit or a general health or medical  | 
visit. | 
 (f) A mental health prevention and wellness visit shall be  | 
reimbursed through the following American Medical Association  | 
current procedural terminology codes and at the same rate that  | 
current procedural terminology codes are reimbursed for the  | 
provision of other medical care: 99381-99387 and 99391-99397.  | 
The Department shall update the current procedural terminology  | 
codes through adoption of rules if the codes listed in this  | 
 | 
subsection are altered, amended, changed, deleted, or  | 
supplemented. | 
 (g) Reimbursement of any of the current procedural  | 
terminology codes listed in this Section shall comply with the  | 
following: | 
  (1) reimbursement may be adjusted for payment of  | 
 claims that are billed by a nonphysician clinician so long  | 
 as the methodology to determine the adjustments are  | 
 comparable to and applied no more stringently than the  | 
 methodology for adjustments made for reimbursement of  | 
 claims billed by nonphysician clinicians for other medical  | 
 care, in accordance with 45 CFR 146.136(c)(4); and | 
  (2) for a mental health prevention and wellness visit  | 
 and for a service other than a mental health prevention  | 
 and wellness visit, reimbursement shall not be denied if  | 
 they occur on the same date by the same provider and the  | 
 provider is a primary care provider. | 
 (h) A mental health prevention and wellness visit may be  | 
incorporated into and reimbursed within any type of integrated  | 
primary care service delivery method, including, but not  | 
limited to, a psychiatric collaborative care model as provided  | 
for under this Code.  | 
 (i) The Department shall adopt any rules necessary to  | 
implement this Section by no later than October 31, 2024. | 
(Source: P.A. 103-535, eff. 8-11-23; revised 8-29-23.)
 | 
 | 
 (215 ILCS 5/370c.1) | 
 Sec. 370c.1. Mental, emotional, nervous, or substance use  | 
disorder or condition parity. | 
 (a) On and after July 23, 2021 (the effective date of  | 
Public Act 102-135), every insurer that amends, delivers,  | 
issues, or renews a group or individual policy of accident and  | 
health insurance or a qualified health plan offered through  | 
the Health Insurance Marketplace in this State providing  | 
coverage for hospital or medical treatment and for the  | 
treatment of mental, emotional, nervous, or substance use  | 
disorders or conditions shall ensure prior to policy issuance  | 
that: | 
  (1) the financial requirements applicable to such  | 
 mental, emotional, nervous, or substance use disorder or  | 
 condition benefits are no more restrictive than the  | 
 predominant financial requirements applied to  | 
 substantially all hospital and medical benefits covered by  | 
 the policy and that there are no separate cost-sharing  | 
 requirements that are applicable only with respect to  | 
 mental, emotional, nervous, or substance use disorder or  | 
 condition benefits; and | 
  (2) the treatment limitations applicable to such  | 
 mental, emotional, nervous, or substance use disorder or  | 
 condition benefits are no more restrictive than the  | 
 predominant treatment limitations applied to substantially  | 
 all hospital and medical benefits covered by the policy  | 
 | 
 and that there are no separate treatment limitations that  | 
 are applicable only with respect to mental, emotional,  | 
 nervous, or substance use disorder or condition benefits. | 
 (b) The following provisions shall apply concerning  | 
aggregate lifetime limits: | 
  (1) In the case of a group or individual policy of  | 
 accident and health insurance or a qualified health plan  | 
 offered through the Health Insurance Marketplace amended,  | 
 delivered, issued, or renewed in this State on or after  | 
 September 9, 2015 (the effective date of Public Act  | 
 99-480) that provides coverage for hospital or medical  | 
 treatment and for the treatment of mental, emotional,  | 
 nervous, or substance use disorders or conditions the  | 
 following provisions shall apply: | 
   (A) if the policy does not include an aggregate  | 
 lifetime limit on substantially all hospital and  | 
 medical benefits, then the policy may not impose any  | 
 aggregate lifetime limit on mental, emotional,  | 
 nervous, or substance use disorder or condition  | 
 benefits; or | 
   (B) if the policy includes an aggregate lifetime  | 
 limit on substantially all hospital and medical  | 
 benefits (in this subsection referred to as the  | 
 "applicable lifetime limit"), then the policy shall  | 
 either: | 
    (i) apply the applicable lifetime limit both  | 
 | 
 to the hospital and medical benefits to which it  | 
 otherwise would apply and to mental, emotional,  | 
 nervous, or substance use disorder or condition  | 
 benefits and not distinguish in the application of  | 
 the limit between the hospital and medical  | 
 benefits and mental, emotional, nervous, or  | 
 substance use disorder or condition benefits; or | 
    (ii) not include any aggregate lifetime limit  | 
 on mental, emotional, nervous, or substance use  | 
 disorder or condition benefits that is less than  | 
 the applicable lifetime limit. | 
  (2) In the case of a policy that is not described in  | 
 paragraph (1) of subsection (b) of this Section and that  | 
 includes no or different aggregate lifetime limits on  | 
 different categories of hospital and medical benefits, the  | 
 Director shall establish rules under which subparagraph  | 
 (B) of paragraph (1) of subsection (b) of this Section is  | 
 applied to such policy with respect to mental, emotional,  | 
 nervous, or substance use disorder or condition benefits  | 
 by substituting for the applicable lifetime limit an  | 
 average aggregate lifetime limit that is computed taking  | 
 into account the weighted average of the aggregate  | 
 lifetime limits applicable to such categories.  | 
 (c) The following provisions shall apply concerning annual  | 
limits: | 
  (1) In the case of a group or individual policy of  | 
 | 
 accident and health insurance or a qualified health plan  | 
 offered through the Health Insurance Marketplace amended,  | 
 delivered, issued, or renewed in this State on or after  | 
 September 9, 2015 (the effective date of Public Act  | 
 99-480) that provides coverage for hospital or medical  | 
 treatment and for the treatment of mental, emotional,  | 
 nervous, or substance use disorders or conditions the  | 
 following provisions shall apply:  | 
   (A) if the policy does not include an annual limit  | 
 on substantially all hospital and medical benefits,  | 
 then the policy may not impose any annual limits on  | 
 mental, emotional, nervous, or substance use disorder  | 
 or condition benefits; or | 
   (B) if the policy includes an annual limit on  | 
 substantially all hospital and medical benefits (in  | 
 this subsection referred to as the "applicable annual  | 
 limit"), then the policy shall either:  | 
    (i) apply the applicable annual limit both to  | 
 the hospital and medical benefits to which it  | 
 otherwise would apply and to mental, emotional,  | 
 nervous, or substance use disorder or condition  | 
 benefits and not distinguish in the application of  | 
 the limit between the hospital and medical  | 
 benefits and mental, emotional, nervous, or  | 
 substance use disorder or condition benefits; or | 
    (ii) not include any annual limit on mental,  | 
 | 
 emotional, nervous, or substance use disorder or  | 
 condition benefits that is less than the  | 
 applicable annual limit.  | 
  (2) In the case of a policy that is not described in  | 
 paragraph (1) of subsection (c) of this Section and that  | 
 includes no or different annual limits on different  | 
 categories of hospital and medical benefits, the Director  | 
 shall establish rules under which subparagraph (B) of  | 
 paragraph (1) of subsection (c) of this Section is applied  | 
 to such policy with respect to mental, emotional, nervous,  | 
 or substance use disorder or condition benefits by  | 
 substituting for the applicable annual limit an average  | 
 annual limit that is computed taking into account the  | 
 weighted average of the annual limits applicable to such  | 
 categories.  | 
 (d) With respect to mental, emotional, nervous, or  | 
substance use disorders or conditions, an insurer shall use  | 
policies and procedures for the election and placement of  | 
mental, emotional, nervous, or substance use disorder or  | 
condition treatment drugs on their formulary that are no less  | 
favorable to the insured as those policies and procedures the  | 
insurer uses for the selection and placement of drugs for  | 
medical or surgical conditions and shall follow the expedited  | 
coverage determination requirements for substance abuse  | 
treatment drugs set forth in Section 45.2 of the Managed Care  | 
Reform and Patient Rights Act.  | 
 | 
 (e) This Section shall be interpreted in a manner  | 
consistent with all applicable federal parity regulations  | 
including, but not limited to, the Paul Wellstone and Pete  | 
Domenici Mental Health Parity and Addiction Equity Act of  | 
2008, final regulations issued under the Paul Wellstone and  | 
Pete Domenici Mental Health Parity and Addiction Equity Act of  | 
2008 and final regulations applying the Paul Wellstone and  | 
Pete Domenici Mental Health Parity and Addiction Equity Act of  | 
2008 to Medicaid managed care organizations, the Children's  | 
Health Insurance Program, and alternative benefit plans. | 
 (f) The provisions of subsections (b) and (c) of this  | 
Section shall not be interpreted to allow the use of lifetime  | 
or annual limits otherwise prohibited by State or federal law. | 
 (g) As used in this Section: | 
 "Financial requirement" includes deductibles, copayments,  | 
coinsurance, and out-of-pocket maximums, but does not include  | 
an aggregate lifetime limit or an annual limit subject to  | 
subsections (b) and (c). | 
 "Mental, emotional, nervous, or substance use disorder or  | 
condition" means a condition or disorder that involves a  | 
mental health condition or substance use disorder that falls  | 
under any of the diagnostic categories listed in the mental  | 
and behavioral disorders chapter of the current edition of the  | 
International Classification of Disease or that is listed in  | 
the most recent version of the Diagnostic and Statistical  | 
Manual of Mental Disorders.  | 
 | 
 "Treatment limitation" includes limits on benefits based  | 
on the frequency of treatment, number of visits, days of  | 
coverage, days in a waiting period, or other similar limits on  | 
the scope or duration of treatment. "Treatment limitation"  | 
includes both quantitative treatment limitations, which are  | 
expressed numerically (such as 50 outpatient visits per year),  | 
and nonquantitative treatment limitations, which otherwise  | 
limit the scope or duration of treatment. A permanent  | 
exclusion of all benefits for a particular condition or  | 
disorder shall not be considered a treatment limitation.  | 
"Nonquantitative treatment" means those limitations as  | 
described under federal regulations (26 CFR 54.9812-1).  | 
"Nonquantitative treatment limitations" include, but are not  | 
limited to, those limitations described under federal  | 
regulations 26 CFR 54.9812-1, 29 CFR 2590.712, and 45 CFR  | 
146.136.  | 
 (h) The Department of Insurance shall implement the  | 
following education initiatives: | 
  (1) By January 1, 2016, the Department shall develop a  | 
 plan for a Consumer Education Campaign on parity. The  | 
 Consumer Education Campaign shall focus its efforts  | 
 throughout the State and include trainings in the  | 
 northern, southern, and central regions of the State, as  | 
 defined by the Department, as well as each of the 5 managed  | 
 care regions of the State as identified by the Department  | 
 of Healthcare and Family Services. Under this Consumer  | 
 | 
 Education Campaign, the Department shall: (1) by January  | 
 1, 2017, provide at least one live training in each region  | 
 on parity for consumers and providers and one webinar  | 
 training to be posted on the Department website and (2)  | 
 establish a consumer hotline to assist consumers in  | 
 navigating the parity process by March 1, 2017. By January  | 
 1, 2018 the Department shall issue a report to the General  | 
 Assembly on the success of the Consumer Education  | 
 Campaign, which shall indicate whether additional training  | 
 is necessary or would be recommended. | 
  (2) The Department, in coordination with the  | 
 Department of Human Services and the Department of  | 
 Healthcare and Family Services, shall convene a working  | 
 group of health care insurance carriers, mental health  | 
 advocacy groups, substance abuse patient advocacy groups,  | 
 and mental health physician groups for the purpose of  | 
 discussing issues related to the treatment and coverage of  | 
 mental, emotional, nervous, or substance use disorders or  | 
 conditions and compliance with parity obligations under  | 
 State and federal law. Compliance shall be measured,  | 
 tracked, and shared during the meetings of the working  | 
 group. The working group shall meet once before January 1,  | 
 2016 and shall meet semiannually thereafter. The  | 
 Department shall issue an annual report to the General  | 
 Assembly that includes a list of the health care insurance  | 
 carriers, mental health advocacy groups, substance abuse  | 
 | 
 patient advocacy groups, and mental health physician  | 
 groups that participated in the working group meetings,  | 
 details on the issues and topics covered, and any  | 
 legislative recommendations developed by the working  | 
 group. | 
  (3) Not later than January 1 of each year, the  | 
 Department, in conjunction with the Department of  | 
 Healthcare and Family Services, shall issue a joint report  | 
 to the General Assembly and provide an educational  | 
 presentation to the General Assembly. The report and  | 
 presentation shall:  | 
   (A) Cover the methodology the Departments use to  | 
 check for compliance with the federal Paul Wellstone  | 
 and Pete Domenici Mental Health Parity and Addiction  | 
 Equity Act of 2008, 42 U.S.C. 18031(j), and any  | 
 federal regulations or guidance relating to the  | 
 compliance and oversight of the federal Paul Wellstone  | 
 and Pete Domenici Mental Health Parity and Addiction  | 
 Equity Act of 2008 and 42 U.S.C. 18031(j). | 
   (B) Cover the methodology the Departments use to  | 
 check for compliance with this Section and Sections  | 
 356z.23 and 370c of this Code. | 
   (C) Identify market conduct examinations or, in  | 
 the case of the Department of Healthcare and Family  | 
 Services, audits conducted or completed during the  | 
 preceding 12-month period regarding compliance with  | 
 | 
 parity in mental, emotional, nervous, and substance  | 
 use disorder or condition benefits under State and  | 
 federal laws and summarize the results of such market  | 
 conduct examinations and audits. This shall include:  | 
    (i) the number of market conduct examinations  | 
 and audits initiated and completed; | 
    (ii) the benefit classifications examined by  | 
 each market conduct examination and audit; | 
    (iii) the subject matter of each market  | 
 conduct examination and audit, including  | 
 quantitative and nonquantitative treatment  | 
 limitations; and | 
    (iv) a summary of the basis for the final  | 
 decision rendered in each market conduct  | 
 examination and audit. | 
   Individually identifiable information shall be  | 
 excluded from the reports consistent with federal  | 
 privacy protections. | 
   (D) Detail any educational or corrective actions  | 
 the Departments have taken to ensure compliance with  | 
 the federal Paul Wellstone and Pete Domenici Mental  | 
 Health Parity and Addiction Equity Act of 2008, 42  | 
 U.S.C. 18031(j), this Section, and Sections 356z.23  | 
 and 370c of this Code. | 
   (E) The report must be written in non-technical,  | 
 readily understandable language and shall be made  | 
 | 
 available to the public by, among such other means as  | 
 the Departments find appropriate, posting the report  | 
 on the Departments' websites.  | 
 (i) The Parity Advancement Fund is created as a special  | 
fund in the State treasury. Moneys from fines and penalties  | 
collected from insurers for violations of this Section shall  | 
be deposited into the Fund. Moneys deposited into the Fund for  | 
appropriation by the General Assembly to the Department shall  | 
be used for the purpose of providing financial support of the  | 
Consumer Education Campaign, parity compliance advocacy, and  | 
other initiatives that support parity implementation and  | 
enforcement on behalf of consumers.  | 
 (j) (Blank).  | 
 (j-5) The Department of Insurance shall collect the  | 
following information: | 
  (1) The number of employment disability insurance  | 
 plans offered in this State, including, but not limited  | 
 to: | 
   (A) individual short-term policies; | 
   (B) individual long-term policies; | 
   (C) group short-term policies; and | 
   (D) group long-term policies. | 
  (2) The number of policies referenced in paragraph (1)  | 
 of this subsection that limit mental health and substance  | 
 use disorder benefits. | 
  (3) The average defined benefit period for the  | 
 | 
 policies referenced in paragraph (1) of this subsection,  | 
 both for those policies that limit and those policies that  | 
 have no limitation on mental health and substance use  | 
 disorder benefits. | 
  (4) Whether the policies referenced in paragraph (1)  | 
 of this subsection are purchased on a voluntary or  | 
 non-voluntary basis. | 
  (5) The identities of the individuals, entities, or a  | 
 combination of the 2, that assume the cost associated with  | 
 covering the policies referenced in paragraph (1) of this  | 
 subsection. | 
  (6) The average defined benefit period for plans that  | 
 cover physical disability and mental health and substance  | 
 abuse without limitation, including, but not limited to: | 
   (A) individual short-term policies; | 
   (B) individual long-term policies; | 
   (C) group short-term policies; and | 
   (D) group long-term policies. | 
  (7) The average premiums for disability income  | 
 insurance issued in this State for: | 
   (A) individual short-term policies that limit  | 
 mental health and substance use disorder benefits; | 
   (B) individual long-term policies that limit  | 
 mental health and substance use disorder benefits; | 
   (C) group short-term policies that limit mental  | 
 health and substance use disorder benefits; | 
 | 
   (D) group long-term policies that limit mental  | 
 health and substance use disorder benefits; | 
   (E) individual short-term policies that include  | 
 mental health and substance use disorder benefits  | 
 without limitation; | 
   (F) individual long-term policies that include  | 
 mental health and substance use disorder benefits  | 
 without limitation; | 
   (G) group short-term policies that include mental  | 
 health and substance use disorder benefits without  | 
 limitation; and | 
   (H) group long-term policies that include mental  | 
 health and substance use disorder benefits without  | 
 limitation. | 
 The Department shall present its findings regarding  | 
information collected under this subsection (j-5) to the  | 
General Assembly no later than April 30, 2024. Information  | 
regarding a specific insurance provider's contributions to the  | 
Department's report shall be exempt from disclosure under  | 
paragraph (t) of subsection (1) of Section 7 of the Freedom of  | 
Information Act. The aggregated information gathered by the  | 
Department shall not be exempt from disclosure under paragraph  | 
(t) of subsection (1) of Section 7 of the Freedom of  | 
Information Act. | 
 (k) An insurer that amends, delivers, issues, or renews a  | 
group or individual policy of accident and health insurance or  | 
 | 
a qualified health plan offered through the health insurance  | 
marketplace in this State providing coverage for hospital or  | 
medical treatment and for the treatment of mental, emotional,  | 
nervous, or substance use disorders or conditions shall submit  | 
an annual report, the format and definitions for which will be  | 
determined by the Department and the Department of Healthcare  | 
and Family Services and posted on their respective websites,  | 
starting on September 1, 2023 and annually thereafter, that  | 
contains the following information separately for inpatient  | 
in-network benefits, inpatient out-of-network benefits,  | 
outpatient in-network benefits, outpatient out-of-network  | 
benefits, emergency care benefits, and prescription drug  | 
benefits in the case of accident and health insurance or  | 
qualified health plans, or inpatient, outpatient, emergency  | 
care, and prescription drug benefits in the case of medical  | 
assistance:  | 
  (1) A summary of the plan's pharmacy management  | 
 processes for mental, emotional, nervous, or substance use  | 
 disorder or condition benefits compared to those for other  | 
 medical benefits. | 
  (2) A summary of the internal processes of review for  | 
 experimental benefits and unproven technology for mental,  | 
 emotional, nervous, or substance use disorder or condition  | 
 benefits and those for other medical benefits. | 
  (3) A summary of how the plan's policies and  | 
 procedures for utilization management for mental,  | 
 | 
 emotional, nervous, or substance use disorder or condition  | 
 benefits compare to those for other medical benefits. | 
  (4) A description of the process used to develop or  | 
 select the medical necessity criteria for mental,  | 
 emotional, nervous, or substance use disorder or condition  | 
 benefits and the process used to develop or select the  | 
 medical necessity criteria for medical and surgical  | 
 benefits.  | 
  (5) Identification of all nonquantitative treatment  | 
 limitations that are applied to both mental, emotional,  | 
 nervous, or substance use disorder or condition benefits  | 
 and medical and surgical benefits within each  | 
 classification of benefits. | 
  (6) The results of an analysis that demonstrates that  | 
 for the medical necessity criteria described in  | 
 subparagraph (A) and for each nonquantitative treatment  | 
 limitation identified in subparagraph (B), as written and  | 
 in operation, the processes, strategies, evidentiary  | 
 standards, or other factors used in applying the medical  | 
 necessity criteria and each nonquantitative treatment  | 
 limitation to mental, emotional, nervous, or substance use  | 
 disorder or condition benefits within each classification  | 
 of benefits are comparable to, and are applied no more  | 
 stringently than, the processes, strategies, evidentiary  | 
 standards, or other factors used in applying the medical  | 
 necessity criteria and each nonquantitative treatment  | 
 | 
 limitation to medical and surgical benefits within the  | 
 corresponding classification of benefits; at a minimum,  | 
 the results of the analysis shall: | 
   (A) identify the factors used to determine that a  | 
 nonquantitative treatment limitation applies to a  | 
 benefit, including factors that were considered but  | 
 rejected; | 
   (B) identify and define the specific evidentiary  | 
 standards used to define the factors and any other  | 
 evidence relied upon in designing each nonquantitative  | 
 treatment limitation; | 
   (C) provide the comparative analyses, including  | 
 the results of the analyses, performed to determine  | 
 that the processes and strategies used to design each  | 
 nonquantitative treatment limitation, as written, for  | 
 mental, emotional, nervous, or substance use disorder  | 
 or condition benefits are comparable to, and are  | 
 applied no more stringently than, the processes and  | 
 strategies used to design each nonquantitative  | 
 treatment limitation, as written, for medical and  | 
 surgical benefits; | 
   (D) provide the comparative analyses, including  | 
 the results of the analyses, performed to determine  | 
 that the processes and strategies used to apply each  | 
 nonquantitative treatment limitation, in operation,  | 
 for mental, emotional, nervous, or substance use  | 
 | 
 disorder or condition benefits are comparable to, and  | 
 applied no more stringently than, the processes or  | 
 strategies used to apply each nonquantitative  | 
 treatment limitation, in operation, for medical and  | 
 surgical benefits; and | 
   (E) disclose the specific findings and conclusions  | 
 reached by the insurer that the results of the  | 
 analyses described in subparagraphs (C) and (D)  | 
 indicate that the insurer is in compliance with this  | 
 Section and the Mental Health Parity and Addiction  | 
 Equity Act of 2008 and its implementing regulations,  | 
 which includes 42 CFR Parts 438, 440, and 457 and 45  | 
 CFR 146.136 and any other related federal regulations  | 
 found in the Code of Federal Regulations. | 
  (7) Any other information necessary to clarify data  | 
 provided in accordance with this Section requested by the  | 
 Director, including information that may be proprietary or  | 
 have commercial value, under the requirements of Section  | 
 30 of the Viatical Settlements Act of 2009. | 
 (l) An insurer that amends, delivers, issues, or renews a  | 
group or individual policy of accident and health insurance or  | 
a qualified health plan offered through the health insurance  | 
marketplace in this State providing coverage for hospital or  | 
medical treatment and for the treatment of mental, emotional,  | 
nervous, or substance use disorders or conditions on or after  | 
January 1, 2019 (the effective date of Public Act 100-1024)  | 
 | 
shall, in advance of the plan year, make available to the  | 
Department or, with respect to medical assistance, the  | 
Department of Healthcare and Family Services and to all plan  | 
participants and beneficiaries the information required in  | 
subparagraphs (C) through (E) of paragraph (6) of subsection  | 
(k). For plan participants and medical assistance  | 
beneficiaries, the information required in subparagraphs (C)  | 
through (E) of paragraph (6) of subsection (k) shall be made  | 
available on a publicly available publicly-available website  | 
whose web address is prominently displayed in plan and managed  | 
care organization informational and marketing materials. | 
 (m) In conjunction with its compliance examination program  | 
conducted in accordance with the Illinois State Auditing Act,  | 
the Auditor General shall undertake a review of compliance by  | 
the Department and the Department of Healthcare and Family  | 
Services with Section 370c and this Section. Any findings  | 
resulting from the review conducted under this Section shall  | 
be included in the applicable State agency's compliance  | 
examination report. Each compliance examination report shall  | 
be issued in accordance with Section 3-14 of the Illinois  | 
State Auditing Act. A copy of each report shall also be  | 
delivered to the head of the applicable State agency and  | 
posted on the Auditor General's website.  | 
(Source: P.A. 102-135, eff. 7-23-21; 102-579, eff. 8-25-21;  | 
102-813, eff. 5-13-22; 103-94, eff. 1-1-24; 103-105, eff.  | 
6-27-23; revised 12-15-23.)
 | 
 | 
 Section 355. The Network Adequacy and Transparency Act is  | 
amended by changing Section 25 as follows:
 | 
 (215 ILCS 124/25) | 
 Sec. 25. Network transparency. | 
 (a) A network plan shall post electronically an  | 
up-to-date, accurate, and complete provider directory for each  | 
of its network plans, with the information and search  | 
functions, as described in this Section. | 
  (1) In making the directory available electronically,  | 
 the network plans shall ensure that the general public is  | 
 able to view all of the current providers for a plan  | 
 through a clearly identifiable link or tab and without  | 
 creating or accessing an account or entering a policy or  | 
 contract number. | 
  (2) The network plan shall update the online provider  | 
 directory at least monthly. Providers shall notify the  | 
 network plan electronically or in writing of any changes  | 
 to their information as listed in the provider directory,  | 
 including the information required in subparagraph (K) of  | 
 paragraph (1) of subsection (b). The network plan shall  | 
 update its online provider directory in a manner  | 
 consistent with the information provided by the provider  | 
 within 10 business days after being notified of the change  | 
 by the provider. Nothing in this paragraph (2) shall void  | 
 | 
 any contractual relationship between the provider and the  | 
 plan. | 
  (3) The network plan shall audit periodically at least  | 
 25% of its provider directories for accuracy, make any  | 
 corrections necessary, and retain documentation of the  | 
 audit. The network plan shall submit the audit to the  | 
 Director upon request. As part of these audits, the  | 
 network plan shall contact any provider in its network  | 
 that has not submitted a claim to the plan or otherwise  | 
 communicated his or her intent to continue participation  | 
 in the plan's network. | 
  (4) A network plan shall provide a printed print copy  | 
 of a current provider directory or a printed print copy of  | 
 the requested directory information upon request of a  | 
 beneficiary or a prospective beneficiary. Printed Print  | 
 copies must be updated quarterly and an errata that  | 
 reflects changes in the provider network must be updated  | 
 quarterly. | 
  (5) For each network plan, a network plan shall  | 
 include, in plain language in both the electronic and  | 
 print directory, the following general information: | 
   (A) in plain language, a description of the  | 
 criteria the plan has used to build its provider  | 
 network; | 
   (B) if applicable, in plain language, a  | 
 description of the criteria the insurer or network  | 
 | 
 plan has used to create tiered networks; | 
   (C) if applicable, in plain language, how the  | 
 network plan designates the different provider tiers  | 
 or levels in the network and identifies for each  | 
 specific provider, hospital, or other type of facility  | 
 in the network which tier each is placed, for example,  | 
 by name, symbols, or grouping, in order for a  | 
 beneficiary-covered person or a prospective  | 
 beneficiary-covered person to be able to identify the  | 
 provider tier; and | 
   (D) if applicable, a notation that authorization  | 
 or referral may be required to access some providers. | 
  (6) A network plan shall make it clear for both its  | 
 electronic and print directories what provider directory  | 
 applies to which network plan, such as including the  | 
 specific name of the network plan as marketed and issued  | 
 in this State. The network plan shall include in both its  | 
 electronic and print directories a customer service email  | 
 address and telephone number or electronic link that  | 
 beneficiaries or the general public may use to notify the  | 
 network plan of inaccurate provider directory information  | 
 and contact information for the Department's Office of  | 
 Consumer Health Insurance. | 
  (7) A provider directory, whether in electronic or  | 
 print format, shall accommodate the communication needs of  | 
 individuals with disabilities, and include a link to or  | 
 | 
 information regarding available assistance for persons  | 
 with limited English proficiency. | 
 (b) For each network plan, a network plan shall make  | 
available through an electronic provider directory the  | 
following information in a searchable format: | 
  (1) for health care professionals: | 
   (A) name; | 
   (B) gender; | 
   (C) participating office locations; | 
   (D) specialty, if applicable; | 
   (E) medical group affiliations, if applicable; | 
   (F) facility affiliations, if applicable; | 
   (G) participating facility affiliations, if  | 
 applicable; | 
   (H) languages spoken other than English, if  | 
 applicable; | 
   (I) whether accepting new patients; | 
   (J) board certifications, if applicable; and | 
   (K) use of telehealth or telemedicine, including,  | 
 but not limited to: | 
    (i) whether the provider offers the use of  | 
 telehealth or telemedicine to deliver services to  | 
 patients for whom it would be clinically  | 
 appropriate; | 
    (ii) what modalities are used and what types  | 
 of services may be provided via telehealth or  | 
 | 
 telemedicine; and | 
    (iii) whether the provider has the ability and  | 
 willingness to include in a telehealth or  | 
 telemedicine encounter a family caregiver who is  | 
 in a separate location than the patient if the  | 
 patient wishes and provides his or her consent;  | 
  (2) for hospitals: | 
   (A) hospital name; | 
   (B) hospital type (such as acute, rehabilitation,  | 
 children's, or cancer); | 
   (C) participating hospital location; and | 
   (D) hospital accreditation status; and | 
  (3) for facilities, other than hospitals, by type: | 
   (A) facility name; | 
   (B) facility type; | 
   (C) types of services performed; and | 
   (D) participating facility location or locations. | 
 (c) For the electronic provider directories, for each  | 
network plan, a network plan shall make available all of the  | 
following information in addition to the searchable  | 
information required in this Section: | 
  (1) for health care professionals: | 
   (A) contact information; and | 
   (B) languages spoken other than English by  | 
 clinical staff, if applicable; | 
  (2) for hospitals, telephone number; and | 
 | 
  (3) for facilities other than hospitals, telephone  | 
 number. | 
 (d) The insurer or network plan shall make available in  | 
print, upon request, the following provider directory  | 
information for the applicable network plan: | 
  (1) for health care professionals: | 
   (A) name; | 
   (B) contact information; | 
   (C) participating office location or locations; | 
   (D) specialty, if applicable; | 
   (E) languages spoken other than English, if  | 
 applicable; | 
   (F) whether accepting new patients; and | 
   (G) use of telehealth or telemedicine, including,  | 
 but not limited to: | 
    (i) whether the provider offers the use of  | 
 telehealth or telemedicine to deliver services to  | 
 patients for whom it would be clinically  | 
 appropriate; | 
    (ii) what modalities are used and what types  | 
 of services may be provided via telehealth or  | 
 telemedicine; and | 
    (iii) whether the provider has the ability and  | 
 willingness to include in a telehealth or  | 
 telemedicine encounter a family caregiver who is  | 
 in a separate location than the patient if the  | 
 | 
 patient wishes and provides his or her consent;  | 
  (2) for hospitals: | 
   (A) hospital name; | 
   (B) hospital type (such as acute, rehabilitation,  | 
 children's, or cancer); and | 
   (C) participating hospital location and telephone  | 
 number; and | 
  (3) for facilities, other than hospitals, by type: | 
   (A) facility name; | 
   (B) facility type; | 
   (C) types of services performed; and | 
   (D) participating facility location or locations  | 
 and telephone numbers. | 
 (e) The network plan shall include a disclosure in the  | 
print format provider directory that the information included  | 
in the directory is accurate as of the date of printing and  | 
that beneficiaries or prospective beneficiaries should consult  | 
the insurer's electronic provider directory on its website and  | 
contact the provider. The network plan shall also include a  | 
telephone number in the print format provider directory for a  | 
customer service representative where the beneficiary can  | 
obtain current provider directory information. | 
 (f) The Director may conduct periodic audits of the  | 
accuracy of provider directories. A network plan shall not be  | 
subject to any fines or penalties for information required in  | 
this Section that a provider submits that is inaccurate or  | 
 | 
incomplete.  | 
(Source: P.A. 102-92, eff. 7-9-21; revised 9-26-23.)
 | 
 Section 360. The Health Maintenance Organization Act is  | 
amended by changing Section 5-3 as follows:
 | 
 (215 ILCS 125/5-3) (from Ch. 111 1/2, par. 1411.2) | 
 Sec. 5-3. Insurance Code provisions.  | 
 (a) Health Maintenance Organizations shall be subject to  | 
the provisions of Sections 133, 134, 136, 137, 139, 140,  | 
141.1, 141.2, 141.3, 143, 143c, 147, 148, 149, 151, 152, 153,  | 
154, 154.5, 154.6, 154.7, 154.8, 155.04, 155.22a, 155.49,  | 
355.2, 355.3, 355b, 355c, 356f, 356g.5-1, 356m, 356q, 356v,  | 
356w, 356x, 356z.2, 356z.3a, 356z.4, 356z.4a, 356z.5, 356z.6,  | 
356z.8, 356z.9, 356z.10, 356z.11, 356z.12, 356z.13, 356z.14,  | 
356z.15, 356z.17, 356z.18, 356z.19, 356z.20, 356z.21, 356z.22,  | 
356z.23, 356z.24, 356z.25, 356z.26, 356z.28, 356z.29, 356z.30,  | 
356z.30a, 356z.31, 356z.32, 356z.33, 356z.34, 356z.35,  | 
356z.36, 356z.37, 356z.38, 356z.39, 356z.40, 356z.41, 356z.44,  | 
356z.45, 356z.46, 356z.47, 356z.48, 356z.49, 356z.50, 356z.51,  | 
356z.53, 356z.54, 356z.55, 356z.56, 356z.57, 356z.58, 356z.59,  | 
356z.60, 356z.61, 356z.62, 356z.64, 356z.65, 356z.67, 356z.68,  | 
364, 364.01, 364.3, 367.2, 367.2-5, 367i, 368a, 368b, 368c,  | 
368d, 368e, 370c, 370c.1, 401, 401.1, 402, 403, 403A, 408,  | 
408.2, 409, 412, 444, and 444.1, paragraph (c) of subsection  | 
(2) of Section 367, and Articles IIA, VIII 1/2, XII, XII 1/2,  | 
 | 
XIII, XIII 1/2, XXV, XXVI, and XXXIIB of the Illinois  | 
Insurance Code. | 
 (b) For purposes of the Illinois Insurance Code, except  | 
for Sections 444 and 444.1 and Articles XIII and XIII 1/2,  | 
Health Maintenance Organizations in the following categories  | 
are deemed to be "domestic companies": | 
  (1) a corporation authorized under the Dental Service  | 
 Plan Act or the Voluntary Health Services Plans Act; | 
  (2) a corporation organized under the laws of this  | 
 State; or | 
  (3) a corporation organized under the laws of another  | 
 state, 30% or more of the enrollees of which are residents  | 
 of this State, except a corporation subject to  | 
 substantially the same requirements in its state of  | 
 organization as is a "domestic company" under Article VIII  | 
 1/2 of the Illinois Insurance Code. | 
 (c) In considering the merger, consolidation, or other  | 
acquisition of control of a Health Maintenance Organization  | 
pursuant to Article VIII 1/2 of the Illinois Insurance Code, | 
  (1) the Director shall give primary consideration to  | 
 the continuation of benefits to enrollees and the  | 
 financial conditions of the acquired Health Maintenance  | 
 Organization after the merger, consolidation, or other  | 
 acquisition of control takes effect; | 
  (2)(i) the criteria specified in subsection (1)(b) of  | 
 Section 131.8 of the Illinois Insurance Code shall not  | 
 | 
 apply and (ii) the Director, in making his determination  | 
 with respect to the merger, consolidation, or other  | 
 acquisition of control, need not take into account the  | 
 effect on competition of the merger, consolidation, or  | 
 other acquisition of control; | 
  (3) the Director shall have the power to require the  | 
 following information: | 
   (A) certification by an independent actuary of the  | 
 adequacy of the reserves of the Health Maintenance  | 
 Organization sought to be acquired; | 
   (B) pro forma financial statements reflecting the  | 
 combined balance sheets of the acquiring company and  | 
 the Health Maintenance Organization sought to be  | 
 acquired as of the end of the preceding year and as of  | 
 a date 90 days prior to the acquisition, as well as pro  | 
 forma financial statements reflecting projected  | 
 combined operation for a period of 2 years; | 
   (C) a pro forma business plan detailing an  | 
 acquiring party's plans with respect to the operation  | 
 of the Health Maintenance Organization sought to be  | 
 acquired for a period of not less than 3 years; and | 
   (D) such other information as the Director shall  | 
 require. | 
 (d) The provisions of Article VIII 1/2 of the Illinois  | 
Insurance Code and this Section 5-3 shall apply to the sale by  | 
any health maintenance organization of greater than 10% of its  | 
 | 
enrollee population (including, without limitation, the health  | 
maintenance organization's right, title, and interest in and  | 
to its health care certificates). | 
 (e) In considering any management contract or service  | 
agreement subject to Section 141.1 of the Illinois Insurance  | 
Code, the Director (i) shall, in addition to the criteria  | 
specified in Section 141.2 of the Illinois Insurance Code,  | 
take into account the effect of the management contract or  | 
service agreement on the continuation of benefits to enrollees  | 
and the financial condition of the health maintenance  | 
organization to be managed or serviced, and (ii) need not take  | 
into account the effect of the management contract or service  | 
agreement on competition. | 
 (f) Except for small employer groups as defined in the  | 
Small Employer Rating, Renewability and Portability Health  | 
Insurance Act and except for medicare supplement policies as  | 
defined in Section 363 of the Illinois Insurance Code, a  | 
Health Maintenance Organization may by contract agree with a  | 
group or other enrollment unit to effect refunds or charge  | 
additional premiums under the following terms and conditions: | 
  (i) the amount of, and other terms and conditions with  | 
 respect to, the refund or additional premium are set forth  | 
 in the group or enrollment unit contract agreed in advance  | 
 of the period for which a refund is to be paid or  | 
 additional premium is to be charged (which period shall  | 
 not be less than one year); and | 
 | 
  (ii) the amount of the refund or additional premium  | 
 shall not exceed 20% of the Health Maintenance  | 
 Organization's profitable or unprofitable experience with  | 
 respect to the group or other enrollment unit for the  | 
 period (and, for purposes of a refund or additional  | 
 premium, the profitable or unprofitable experience shall  | 
 be calculated taking into account a pro rata share of the  | 
 Health Maintenance Organization's administrative and  | 
 marketing expenses, but shall not include any refund to be  | 
 made or additional premium to be paid pursuant to this  | 
 subsection (f)). The Health Maintenance Organization and  | 
 the group or enrollment unit may agree that the profitable  | 
 or unprofitable experience may be calculated taking into  | 
 account the refund period and the immediately preceding 2  | 
 plan years. | 
 The Health Maintenance Organization shall include a  | 
statement in the evidence of coverage issued to each enrollee  | 
describing the possibility of a refund or additional premium,  | 
and upon request of any group or enrollment unit, provide to  | 
the group or enrollment unit a description of the method used  | 
to calculate (1) the Health Maintenance Organization's  | 
profitable experience with respect to the group or enrollment  | 
unit and the resulting refund to the group or enrollment unit  | 
or (2) the Health Maintenance Organization's unprofitable  | 
experience with respect to the group or enrollment unit and  | 
the resulting additional premium to be paid by the group or  | 
 | 
enrollment unit. | 
 In no event shall the Illinois Health Maintenance  | 
Organization Guaranty Association be liable to pay any  | 
contractual obligation of an insolvent organization to pay any  | 
refund authorized under this Section. | 
 (g) Rulemaking authority to implement Public Act 95-1045,  | 
if any, is conditioned on the rules being adopted in  | 
accordance with all provisions of the Illinois Administrative  | 
Procedure Act and all rules and procedures of the Joint  | 
Committee on Administrative Rules; any purported rule not so  | 
adopted, for whatever reason, is unauthorized.  | 
(Source: P.A. 102-30, eff. 1-1-22; 102-34, eff. 6-25-21;  | 
102-203, eff. 1-1-22; 102-306, eff. 1-1-22; 102-443, eff.  | 
1-1-22; 102-589, eff. 1-1-22; 102-642, eff. 1-1-22; 102-665,  | 
eff. 10-8-21; 102-731, eff. 1-1-23; 102-775, eff. 5-13-22;  | 
102-804, eff. 1-1-23; 102-813, eff. 5-13-22; 102-816, eff.  | 
1-1-23; 102-860, eff. 1-1-23; 102-901, eff. 7-1-22; 102-1093,  | 
eff. 1-1-23; 102-1117, eff. 1-13-23; 103-84, eff. 1-1-24;  | 
103-91, eff. 1-1-24; 103-123, eff. 1-1-24; 103-154, eff.  | 
6-30-23; 103-420, eff. 1-1-24; 103-426, eff. 8-4-23; 103-445,  | 
eff. 1-1-24; 103-551, eff. 8-11-23; revised 8-29-23.)
 | 
 Section 365. The Limited Health Service Organization Act  | 
is amended by changing Sections 3006 and 4003 as follows:
 | 
 (215 ILCS 130/3006) (from Ch. 73, par. 1503-6) | 
 | 
 Sec. 3006. Changes in rate methodology and benefits;  | 
material modifications; addition of limited health services. | 
 (a) A limited health service organization shall file with  | 
the Director prior to use, a notice of any change in rate  | 
methodology, charges, or benefits and of any material  | 
modification of any matter or document furnished pursuant to  | 
Section 2001, together with such supporting documents as are  | 
necessary to fully explain the change or modification. | 
  (1) Contract modifications described in paragraphs (5)  | 
 and (6) of subsection (c) of Section 2001 shall include  | 
 all agreements between the organization and enrollees,  | 
 providers, administrators of services, and insurers of  | 
 limited health services; also other material transactions  | 
 or series of transactions, the total annual value of which  | 
 exceeds the greater of $100,000 or 5% of net earned  | 
 subscription revenue for the most current 12-month 12  | 
 month period as determined from filed financial  | 
 statements. | 
  (2) Contract modification for reinsurance. Any  | 
 agreement between the organization and an insurer shall be  | 
 subject to the provisions of Article XI of the Illinois  | 
 Insurance Code, as now or hereafter amended. All  | 
 reinsurance agreements must be filed with the Director.  | 
 Approval of the Director in required agreements must be  | 
 filed. Approval of the director is required for all  | 
 agreements except individual stop loss, aggregate excess,  | 
 | 
 hospitalization benefits, or out-of-area of the  | 
 participating providers, unless 20% or more of the  | 
 organization's total risk is reinsured, in which case all  | 
 reinsurance agreements shall require approval. | 
 (b) If a limited health service organization desires to  | 
add one or more additional limited health services, it shall  | 
file a notice with the Director and, at the same time, submit  | 
the information required by Section 2001 if different from  | 
that filed with the prepaid limited health service  | 
organization's application. Issuance of such an amended  | 
certificate of authority shall be subject to the conditions of  | 
Section 2002 of this Act. | 
 (c) In addition to any applicable provisions of this Act,  | 
premium rate filings shall be subject to subsection (i) of  | 
Section 355 of the Illinois Insurance Code.  | 
(Source: P.A. 103-106, eff. 1-1-24; revised 1-2-24.)
 | 
 (215 ILCS 130/4003) (from Ch. 73, par. 1504-3) | 
 Sec. 4003. Illinois Insurance Code provisions. Limited  | 
health service organizations shall be subject to the  | 
provisions of Sections 133, 134, 136, 137, 139, 140, 141.1,  | 
141.2, 141.3, 143, 143c, 147, 148, 149, 151, 152, 153, 154,  | 
154.5, 154.6, 154.7, 154.8, 155.04, 155.37, 155.49, 355.2,  | 
355.3, 355b, 356q, 356v, 356z.4, 356z.4a, 356z.10, 356z.21,  | 
356z.22, 356z.25, 356z.26, 356z.29, 356z.30a, 356z.32,  | 
356z.33, 356z.41, 356z.46, 356z.47, 356z.51, 356z.53, 356z.54,  | 
 | 
356z.57, 356z.59, 356z.61, 356z.64, 356z.67, 356z.68, 364.3,  | 
368a, 401, 401.1, 402, 403, 403A, 408, 408.2, 409, 412, 444,  | 
and 444.1 and Articles IIA, VIII 1/2, XII, XII 1/2, XIII, XIII  | 
1/2, XXV, and XXVI of the Illinois Insurance Code. Nothing in  | 
this Section shall require a limited health care plan to cover  | 
any service that is not a limited health service. For purposes  | 
of the Illinois Insurance Code, except for Sections 444 and  | 
444.1 and Articles XIII and XIII 1/2, limited health service  | 
organizations in the following categories are deemed to be  | 
domestic companies: | 
  (1) a corporation under the laws of this State; or | 
  (2) a corporation organized under the laws of another  | 
 state, 30% or more of the enrollees of which are residents  | 
 of this State, except a corporation subject to  | 
 substantially the same requirements in its state of  | 
 organization as is a domestic company under Article VIII  | 
 1/2 of the Illinois Insurance Code. | 
(Source: P.A. 102-30, eff. 1-1-22; 102-203, eff. 1-1-22;  | 
102-306, eff. 1-1-22; 102-642, eff. 1-1-22; 102-731, eff.  | 
1-1-23; 102-775, eff. 5-13-22; 102-813, eff. 5-13-22; 102-816,  | 
eff. 1-1-23; 102-860, eff. 1-1-23; 102-1093, eff. 1-1-23;  | 
102-1117, eff. 1-13-23; 103-84, eff. 1-1-24; 103-91, eff.  | 
1-1-24; 103-420, eff. 1-1-24; 103-426, eff. 8-4-23; 103-445,  | 
eff. 1-1-24; revised 8-29-23.)
 | 
 Section 370. The Voluntary Health Services Plans Act is  | 
 | 
amended by changing Section 10 as follows:
 | 
 (215 ILCS 165/10) (from Ch. 32, par. 604) | 
 Sec. 10. Application of Insurance Code provisions. Health  | 
services plan corporations and all persons interested therein  | 
or dealing therewith shall be subject to the provisions of  | 
Articles IIA and XII 1/2 and Sections 3.1, 133, 136, 139, 140,  | 
143, 143c, 149, 155.22a, 155.37, 354, 355.2, 355.3, 355b,  | 
356g, 356g.5, 356g.5-1, 356q, 356r, 356t, 356u, 356v, 356w,  | 
356x, 356y, 356z.1, 356z.2, 356z.3a, 356z.4, 356z.4a, 356z.5,  | 
356z.6, 356z.8, 356z.9, 356z.10, 356z.11, 356z.12, 356z.13,  | 
356z.14, 356z.15, 356z.18, 356z.19, 356z.21, 356z.22, 356z.25,  | 
356z.26, 356z.29, 356z.30, 356z.30a, 356z.32, 356z.33,  | 
356z.40, 356z.41, 356z.46, 356z.47, 356z.51, 356z.53, 356z.54,  | 
356z.56, 356z.57, 356z.59, 356z.60, 356z.61, 356z.62, 356z.64,  | 
356z.67, 356z.68, 364.01, 364.3, 367.2, 368a, 401, 401.1, 402,  | 
403, 403A, 408, 408.2, and 412, and paragraphs (7) and (15) of  | 
Section 367 of the Illinois Insurance Code. | 
 Rulemaking authority to implement Public Act 95-1045, if  | 
any, is conditioned on the rules being adopted in accordance  | 
with all provisions of the Illinois Administrative Procedure  | 
Act and all rules and procedures of the Joint Committee on  | 
Administrative Rules; any purported rule not so adopted, for  | 
whatever reason, is unauthorized.  | 
(Source: P.A. 102-30, eff. 1-1-22; 102-203, eff. 1-1-22;  | 
102-306, eff. 1-1-22; 102-642, eff. 1-1-22; 102-665, eff.  | 
 | 
10-8-21; 102-731, eff. 1-1-23; 102-775, eff. 5-13-22; 102-804,  | 
eff. 1-1-23; 102-813, eff. 5-13-22; 102-816, eff. 1-1-23;  | 
102-860, eff. 1-1-23; 102-901, eff. 7-1-22; 102-1093, eff.  | 
1-1-23; 102-1117, eff. 1-13-23; 103-84, eff. 1-1-24; 103-91,  | 
eff. 1-1-24; 103-420, eff. 1-1-24; 103-445, eff. 1-1-24;  | 
103-551, eff. 8-11-23; revised 8-29-23.)
 | 
 Section 375. The Public Utilities Act is amended by  | 
changing Sections 8-205, 9-222.1A, and 9-229 as follows:
 | 
 (220 ILCS 5/8-205) (from Ch. 111 2/3, par. 8-205) | 
 Sec. 8-205. (a) Termination of gas and electric utility  | 
service to all residential users, including all tenants of  | 
mastermetered apartment buildings, for nonpayment of bills,  | 
where gas or electricity is used as the only source of space  | 
heating or to control or operate the only space heating  | 
equipment at the residence is prohibited: , | 
  (1) on any day when the National Weather Service  | 
 forecast for the following 24 hours covering the area of  | 
 the utility in which the residence is located includes a  | 
 forecast that the temperature will be 32 degrees  | 
 Fahrenheit or below; or | 
  (2) on any day preceding a holiday or a weekend when  | 
 such a forecast indicated that the temperature will be 32  | 
 degrees Fahrenheit or below during the holiday or weekend. | 
 (b) If gas or electricity is used as the only source of  | 
 | 
space cooling or to control or operate the only space cooling  | 
equipment at a residence, then a utility may not terminate gas  | 
or electric utility service to a residential user, including  | 
all tenants of mastermetered apartment buildings, for  | 
nonpayment of bills: | 
  (1) on any day when the National Weather Service  | 
 forecast for the following 24 hours covering the area of  | 
 the utility in which the residence is located includes a  | 
 forecast that the temperature will be 90 degrees  | 
 Fahrenheit or above; | 
  (2) on any day preceding a holiday or weekend when the  | 
 National Weather Service for the following 24 hours  | 
 covering the area of the utility in which the residence is  | 
 located includes a forecast that the temperature will be  | 
 90 degrees Fahrenheit or above during the holiday or  | 
 weekend; or | 
  (3) when the National Weather Service issues an  | 
 excessive heat watch, heat advisory, or excessive heat  | 
 warning covering the area of the utility in which the  | 
 residence is located.  | 
(Source: P.A. 103-19, eff. 1-1-24; revised 1-2-24.)
 | 
 (220 ILCS 5/9-222.1A) | 
 Sec. 9-222.1A. High impact business. Beginning on August  | 
1, 1998 and thereafter, a business enterprise that is  | 
certified as a High Impact Business by the Department of  | 
 | 
Commerce and Economic Opportunity (formerly Department of  | 
Commerce and Community Affairs) is exempt from the tax imposed  | 
by Section 2-4 of the Electricity Excise Tax Law, if the High  | 
Impact Business is registered to self-assess that tax, and is  | 
exempt from any additional charges added to the business  | 
enterprise's utility bills as a pass-on of State utility taxes  | 
under Section 9-222 of this Act, to the extent the tax or  | 
charges are exempted by the percentage specified by the  | 
Department of Commerce and Economic Opportunity for State  | 
utility taxes, provided the business enterprise meets the  | 
following criteria: | 
  (1) (A) it intends either (i) to make a minimum  | 
 eligible investment of $12,000,000 that will be placed  | 
 in service in qualified property in Illinois and is  | 
 intended to create at least 500 full-time equivalent  | 
 jobs at a designated location in Illinois; or (ii) to  | 
 make a minimum eligible investment of $30,000,000 that  | 
 will be placed in service in qualified property in  | 
 Illinois and is intended to retain at least 1,500  | 
 full-time equivalent jobs at a designated location in  | 
 Illinois; or | 
   (B) it meets the criteria of subdivision  | 
 (a)(3)(B), (a)(3)(C), (a)(3)(D), (a)(3)(F), or  | 
 (a)(3)(G), or (a)(3)(H) of Section 5.5 of the Illinois  | 
 Enterprise Zone Act; | 
  (2) it is designated as a High Impact Business by the  | 
 | 
 Department of Commerce and Economic Opportunity; and | 
  (3) it is certified by the Department of Commerce and  | 
 Economic Opportunity as complying with the requirements  | 
 specified in clauses (1) and (2) of this Section. | 
 The Department of Commerce and Economic Opportunity shall  | 
determine the period during which the exemption from the  | 
Electricity Excise Tax Law and the charges imposed under  | 
Section 9-222 are in effect and shall specify the percentage  | 
of the exemption from those taxes or additional charges. | 
 The Department of Commerce and Economic Opportunity is  | 
authorized to promulgate rules and regulations to carry out  | 
the provisions of this Section, including procedures for  | 
complying with the requirements specified in clauses (1) and  | 
(2) of this Section and procedures for applying for the  | 
exemptions authorized under this Section; to define the  | 
amounts and types of eligible investments that business  | 
enterprises must make in order to receive State utility tax  | 
exemptions or exemptions from the additional charges imposed  | 
under Section 9-222 and this Section; to approve such utility  | 
tax exemptions for business enterprises whose investments are  | 
not yet placed in service; and to require that business  | 
enterprises granted tax exemptions or exemptions from  | 
additional charges under Section 9-222 repay the exempted  | 
amount if the business enterprise fails to comply with the  | 
terms and conditions of the certification. | 
 Upon certification of the business enterprises by the  | 
 | 
Department of Commerce and Economic Opportunity, the  | 
Department of Commerce and Economic Opportunity shall notify  | 
the Department of Revenue of the certification. The Department  | 
of Revenue shall notify the public utilities of the exemption  | 
status of business enterprises from the tax or pass-on charges  | 
of State utility taxes. The exemption status shall take effect  | 
within 3 months after certification of the business  | 
enterprise. | 
(Source: P.A. 102-1125, eff. 2-3-23; 103-9, eff. 6-7-23;  | 
103-561, eff. 1-1-24; revised 11-21-23.)
 | 
 (220 ILCS 5/9-229) | 
 Sec. 9-229. Consideration of attorney and expert  | 
compensation as an expense and intervenor compensation fund.  | 
 (a) The Commission shall specifically assess the justness  | 
and reasonableness of any amount expended by a public utility  | 
to compensate attorneys or technical experts to prepare and  | 
litigate a general rate case filing. This issue shall be  | 
expressly addressed in the Commission's final order. | 
 (b) The State of Illinois shall create a Consumer  | 
Intervenor Compensation Fund subject to the following: | 
  (1) Provision of compensation for Consumer Interest  | 
 Representatives that intervene in Illinois Commerce  | 
 Commission proceedings will increase public engagement,  | 
 encourage additional transparency, expand the information  | 
 available to the Commission, and improve decision-making. | 
 | 
  (2) As used in this Section, "Consumer interest  | 
 representative" means: | 
   (A) a residential utility customer or group of  | 
 residential utility customers represented by a  | 
 not-for-profit group or organization registered with  | 
 the Illinois Attorney General under the Solicitation  | 
 for of Charity Act; | 
   (B) representatives of not-for-profit groups or  | 
 organizations whose membership is limited to  | 
 residential utility customers; or | 
   (C) representatives of not-for-profit groups or  | 
 organizations whose membership includes Illinois  | 
 residents and that address the community, economic,  | 
 environmental, or social welfare of Illinois  | 
 residents, except government agencies or intervenors  | 
 specifically authorized by Illinois law to participate  | 
 in Commission proceedings on behalf of Illinois  | 
 consumers. | 
  (3) A consumer interest representative is eligible to  | 
 receive compensation from the consumer intervenor  | 
 compensation fund if its participation included lay or  | 
 expert testimony or legal briefing and argument concerning  | 
 the expenses, investments, rate design, rate impact, or  | 
 other matters affecting the pricing, rates, costs or other  | 
 charges associated with utility service, the Commission  | 
 adopts a material recommendation related to a significant  | 
 | 
 issue in the docket, and participation caused a  | 
 significant financial hardship to the participant;  | 
 however, no consumer interest representative shall be  | 
 eligible to receive an award pursuant to this Section if  | 
 the consumer interest representative receives any  | 
 compensation, funding, or donations, directly or  | 
 indirectly, from parties that have a financial interest in  | 
 the outcome of the proceeding. | 
  (4) Within 30 days after September 15, 2021 (the  | 
 effective date of Public Act 102-662) this amendatory Act  | 
 of the 102nd General Assembly, each utility that files a  | 
 request for an increase in rates under Article IX or  | 
 Article XVI shall deposit an amount equal to one half of  | 
 the rate case attorney and expert expense allowed by the  | 
 Commission, but not to exceed $500,000, into the fund  | 
 within 35 days of the date of the Commission's final Order  | 
 in the rate case or 20 days after the denial of rehearing  | 
 under Section 10-113 of this Act, whichever is later. The  | 
 Consumer Intervenor Compensation Fund shall be used to  | 
 provide payment to consumer interest representatives as  | 
 described in this Section. | 
  (5) An electric public utility with 3,000,000 or more  | 
 retail customers shall contribute $450,000 to the Consumer  | 
 Intervenor Compensation Fund within 60 days after  | 
 September 15, 2021 (the effective date of Public Act  | 
 102-662) this amendatory Act of the 102nd General  | 
 | 
 Assembly. A combined electric and gas public utility  | 
 serving fewer than 3,000,000 but more than 500,000 retail  | 
 customers shall contribute $225,000 to the Consumer  | 
 Intervenor Compensation Fund within 60 days after  | 
 September 15, 2021 (the effective date of Public Act  | 
 102-662) this amendatory Act of the 102nd General  | 
 Assembly. A gas public utility with 1,500,000 or more  | 
 retail customers that is not a combined electric and gas  | 
 public utility shall contribute $225,000 to the Consumer  | 
 Intervenor Compensation Fund within 60 days after  | 
 September 15, 2021 (the effective date of Public Act  | 
 102-662) this amendatory Act of the 102nd General  | 
 Assembly. A gas public utility with fewer than 1,500,000  | 
 retail customers but more than 300,000 retail customers  | 
 that is not a combined electric and gas public utility  | 
 shall contribute $80,000 to the Consumer Intervenor  | 
 Compensation Fund within 60 days after September 15, 2021  | 
 (the effective date of Public Act 102-662) this amendatory  | 
 Act of the 102nd General Assembly. A gas public utility  | 
 with fewer than 300,000 retail customers that is not a  | 
 combined electric and gas public utility shall contribute  | 
 $20,000 to the Consumer Intervenor Compensation Fund  | 
 within 60 days after September 15, 2021 (the effective  | 
 date of Public Act 102-662) this amendatory Act of the  | 
 102nd General Assembly. A combined electric and gas public  | 
 utility serving fewer than 500,000 retail customers shall  | 
 | 
 contribute $20,000 to the Consumer Intervenor Compensation  | 
 Fund within 60 days after September 15, 2021 (the  | 
 effective date of Public Act 102-662) this amendatory Act  | 
 of the 102nd General Assembly. A water or sewer public  | 
 utility serving more than 100,000 retail customers shall  | 
 contribute $80,000, and a water or sewer public utility  | 
 serving fewer than 100,000 but more than 10,000 retail  | 
 customers shall contribute $20,000. | 
  (6)(A) Prior to the entry of a Final Order in a  | 
 docketed case, the Commission Administrator shall provide  | 
 a payment to a consumer interest representative that  | 
 demonstrates through a verified application for funding  | 
 that the consumer interest representative's participation  | 
 or intervention without an award of fees or costs imposes  | 
 a significant financial hardship based on a schedule to be  | 
 developed by the Commission. The Administrator may require  | 
 verification of costs incurred, including statements of  | 
 hours spent, as a condition to paying the consumer  | 
 interest representative prior to the entry of a Final  | 
 Order in a docketed case. | 
  (B) If the Commission adopts a material recommendation  | 
 related to a significant issue in the docket and  | 
 participation caused a financial hardship to the  | 
 participant, then the consumer interest representative  | 
 shall be allowed payment for some or all of the consumer  | 
 interest representative's reasonable attorney's or  | 
 | 
 advocate's fees, reasonable expert witness fees, and other  | 
 reasonable costs of preparation for and participation in a  | 
 hearing or proceeding. Expenses related to travel or meals  | 
 shall not be compensable. | 
  (C) The consumer interest representative shall submit  | 
 an itemized request for compensation to the Consumer  | 
 Intervenor Compensation Fund, including the advocate's or  | 
 attorney's reasonable fee rate, the number of hours  | 
 expended, reasonable expert and expert witness fees, and  | 
 other reasonable costs for the preparation for and  | 
 participation in the hearing and briefing within 30 days  | 
 of the Commission's final order after denial or decision  | 
 on rehearing, if any. | 
  (7) Administration of the Fund. | 
  (A) The Consumer Intervenor Compensation Fund is  | 
 created as a special fund in the State treasury. All  | 
 disbursements from the Consumer Intervenor Compensation  | 
 Fund shall be made only upon warrants of the Comptroller  | 
 drawn upon the Treasurer as custodian of the Fund upon  | 
 vouchers signed by the Executive Director of the  | 
 Commission or by the person or persons designated by the  | 
 Director for that purpose. The Comptroller is authorized  | 
 to draw the warrant upon vouchers so signed. The Treasurer  | 
 shall accept all warrants so signed and shall be released  | 
 from liability for all payments made on those warrants.  | 
 The Consumer Intervenor Compensation Fund shall be  | 
 | 
 administered by an Administrator that is a person or  | 
 entity that is independent of the Commission. The  | 
 administrator will be responsible for the prudent  | 
 management of the Consumer Intervenor Compensation Fund  | 
 and for recommendations for the award of consumer  | 
 intervenor compensation from the Consumer Intervenor  | 
 Compensation Fund. The Commission shall issue a request  | 
 for qualifications for a third-party program administrator  | 
 to administer the Consumer Intervenor Compensation Fund.  | 
 The third-party administrator shall be chosen through a  | 
 competitive bid process based on selection criteria and  | 
 requirements developed by the Commission. The Illinois  | 
 Procurement Code does not apply to the hiring or payment  | 
 of the Administrator. All Administrator costs may be paid  | 
 for using monies from the Consumer Intervenor Compensation  | 
 Fund, but the Program Administrator shall strive to  | 
 minimize costs in the implementation of the program. | 
  (B) The computation of compensation awarded from the  | 
 fund shall take into consideration the market rates paid  | 
 to persons of comparable training and experience who offer  | 
 similar services, but may not exceed the comparable market  | 
 rate for services paid by the public utility as part of its  | 
 rate case expense. | 
  (C)(1) Recommendations on the award of compensation by  | 
 the administrator shall include consideration of whether  | 
 the Commission adopted a material recommendation related  | 
 | 
 to a significant issue in the docket and whether  | 
 participation caused a financial hardship to the  | 
 participant and the payment of compensation is fair, just  | 
 and reasonable. | 
  (2) Recommendations on the award of compensation by  | 
 the administrator shall be submitted to the Commission for  | 
 approval. Unless the Commission initiates an investigation  | 
 within 45 days after the notice to the Commission, the  | 
 award of compensation shall be allowed 45 days after  | 
 notice to the Commission. Such notice shall be given by  | 
 filing with the Commission on the Commission's e-docket  | 
 system, and keeping open for public inspection the award  | 
 for compensation proposed by the Administrator. The  | 
 Commission shall have power, and it is hereby given  | 
 authority, either upon complaint or upon its own  | 
 initiative without complaint, at once, and if it so  | 
 orders, without answer or other formal pleadings, but upon  | 
 reasonable notice, to enter upon a hearing concerning the  | 
 propriety of the award. | 
 (c) The Commission may adopt rules to implement this  | 
Section. | 
(Source: P.A. 102-662, eff. 9-15-21; revised 1-20-24.)
 | 
 Section 380. The Child Care Act of 1969 is amended by  | 
changing Sections 5.1, 7.2, and 18 as follows:
 | 
 | 
 (225 ILCS 10/5.1) (from Ch. 23, par. 2215.1) | 
 Sec. 5.1. (a) The Department shall ensure that no day care  | 
center, group home, or child care institution as defined in  | 
this Act shall on a regular basis transport a child or children  | 
with any motor vehicle unless such vehicle is operated by a  | 
person who complies with the following requirements: | 
  1. is 21 years of age or older; | 
  2. currently holds a valid driver's license, which has  | 
 not been revoked or suspended for one or more traffic  | 
 violations during the 3 years immediately prior to the  | 
 date of application; | 
  3. demonstrates physical fitness to operate vehicles  | 
 by submitting the results of a medical examination  | 
 conducted by a licensed physician; | 
  4. has not been convicted of more than 2 offenses  | 
 against traffic regulations governing the movement of  | 
 vehicles within a 12-month twelve month period; | 
  5. has not been convicted of reckless driving or  | 
 driving under the influence or manslaughter or reckless  | 
 homicide resulting from the operation of a motor vehicle  | 
 within the past 3 years; | 
  6. has signed and submitted a written statement  | 
 certifying that the person has not, through the unlawful  | 
 operation of a motor vehicle, caused a crash which  | 
 resulted in the death of any person within the 5 years  | 
 immediately prior to the date of application. | 
 | 
 However, such day care centers, group homes, and child  | 
care institutions may provide for transportation of a child or  | 
children for special outings, functions, or purposes that are  | 
not scheduled on a regular basis without verification that  | 
drivers for such purposes meet the requirements of this  | 
Section. | 
 (a-5) As a means of ensuring compliance with the  | 
requirements set forth in subsection (a), the Department shall  | 
implement appropriate measures to verify that every individual  | 
who is employed at a group home or child care institution meets  | 
those requirements. | 
 For every person employed at a group home or child care  | 
institution who regularly transports children in the course of  | 
performing the person's duties, the Department must make the  | 
verification every 2 years. Upon the Department's request, the  | 
Secretary of State shall provide the Department with the  | 
information necessary to enable the Department to make the  | 
verifications required under subsection (a). | 
 In the case of an individual employed at a group home or  | 
child care institution who becomes subject to subsection (a)  | 
for the first time after January 1, 2007 (the effective date of  | 
Public Act 94-943) this amendatory Act of the 94th General  | 
Assembly, the Department must make that verification with the  | 
Secretary of State before the individual operates a motor  | 
vehicle to transport a child or children under the  | 
circumstances described in subsection (a). | 
 | 
 In the case of an individual employed at a group home or  | 
child care institution who is subject to subsection (a) on  | 
January 1, 2007 (the effective date of Public Act 94-943) this  | 
amendatory Act of the 94th General Assembly, the Department  | 
must make that verification with the Secretary of State within  | 
30 days after January 1, 2007 that effective date. | 
 If the Department discovers that an individual fails to  | 
meet the requirements set forth in subsection (a), the  | 
Department shall promptly notify the appropriate group home or  | 
child care institution.  | 
 (b) Any individual who holds a valid Illinois school bus  | 
driver permit issued by the Secretary of State pursuant to the  | 
The Illinois Vehicle Code, and who is currently employed by a  | 
school district or parochial school, or by a contractor with a  | 
school district or parochial school, to drive a school bus  | 
transporting children to and from school, shall be deemed in  | 
compliance with the requirements of subsection (a). | 
 (c) The Department may, pursuant to Section 8 of this Act,  | 
revoke the license of any day care center, group home, or child  | 
care institution that fails to meet the requirements of this  | 
Section. | 
 (d) A group home or child care institution that fails to  | 
meet the requirements of this Section is guilty of a petty  | 
offense and is subject to a fine of not more than $1,000. Each  | 
day that a group home or child care institution fails to meet  | 
the requirements of this Section is a separate offense.  | 
 | 
(Source: P.A. 102-982, eff. 7-1-23; 103-22, eff. 8-8-23;  | 
revised 9-21-23.)
 | 
 (225 ILCS 10/7.2) (from Ch. 23, par. 2217.2) | 
 Sec. 7.2. Employer discrimination.  | 
 (a) For purposes of this Section: ,  | 
 "Employer" "employer" means a licensee or holder of a  | 
permit subject to this Act. | 
 "Employee" means an employee of such an employer. | 
 (b) No employer shall discharge, demote, or suspend, or  | 
threaten to discharge, demote, or suspend, or in any manner  | 
discriminate against any employee who: | 
  (1) Makes any good faith oral or written complaint of  | 
 any employer's violation of any licensing or other laws  | 
 (including, but not limited to, laws concerning child  | 
 abuse or the transportation of children) which may result  | 
 in closure of the facility pursuant to Section 11.2 of  | 
 this Act to the Department or other agency having  | 
 statutory responsibility for the enforcement of such laws  | 
 or to the employer or representative of the employer; | 
  (2) Institutes or causes to be instituted against any  | 
 employer any proceeding concerning the violation of any  | 
 licensing or other laws, including a proceeding to revoke  | 
 or to refuse to renew a license under Section 9 of this  | 
 Act; | 
  (3) Is or will be a witness or testify in any  | 
 | 
 proceeding concerning the violation of any licensing or  | 
 other laws, including a proceeding to revoke or to refuse  | 
 to renew a license under Section 9 of this Act; or | 
  (4) Refuses to perform work in violation of a  | 
 licensing or other law or regulation after notifying the  | 
 employer of the violation. | 
 (c)(1) A claim by an employee alleging an employer's  | 
violation of subsection (b) of this Section shall be presented  | 
to the employer within 30 days after the date of the action  | 
complained of and shall be filed with the Department of Labor  | 
within 60 days after the date of the action complained of. | 
 (2) Upon receipt of the complaint, the Department of Labor  | 
shall conduct whatever investigation it deems appropriate, and  | 
may hold a hearing. After investigation or hearing, the  | 
Department of Labor shall determine whether the employer has  | 
violated subsection (b) of this Section and it shall notify  | 
the employer and the employee of its determination. | 
 (3) If the Department of Labor determines that the  | 
employer has violated subsection (b) of this Section, and the  | 
employer refuses to take remedial action to comply with the  | 
determination, the Department of Labor shall so notify the  | 
Attorney General, who shall bring an action against the  | 
employer in the circuit court seeking enforcement of its  | 
determination. The court may order any appropriate relief,  | 
including rehiring and reinstatement of the employee to the  | 
person's former position with backpay and other benefits. | 
 | 
 (d) Except for any grievance procedure, arbitration, or  | 
hearing which is available to the employee pursuant to a  | 
collective bargaining agreement, this Section shall be the  | 
exclusive remedy for an employee complaining of any action  | 
described in subsection (b). | 
 (e) Any employer who willfully refuses to rehire, promote,  | 
or otherwise restore an employee or former employee who has  | 
been determined eligible for rehiring or promotion as a result  | 
of any grievance procedure, arbitration, or hearing authorized  | 
by law shall be guilty of a Class A misdemeanor. | 
(Source: P.A. 103-22, eff. 8-8-23; revised 9-21-23.)
 | 
 (225 ILCS 10/18) (from Ch. 23, par. 2228) | 
 Sec. 18. Any person, group of persons, association, or  | 
corporation who: | 
 (1) conducts, operates, or acts as a child care facility  | 
without a license or permit to do so in violation of Section 3  | 
of this Act; | 
 (2) makes materially false statements in order to obtain a  | 
license or permit; | 
 (3) fails to keep the records and make the reports  | 
provided under this Act; | 
 (4) advertises any service not authorized by license or  | 
permit held; | 
 (5) publishes any advertisement in violation of this Act; | 
 (6) receives within this State any child in violation of  | 
 | 
Section 16 of this Act; or | 
 (7) violates any other provision of this Act or any  | 
reasonable rule or regulation adopted and published by the  | 
Department for the enforcement of the provisions of this Act,  | 
is guilty of a Class A misdemeanor and in case of an  | 
association or corporation, imprisonment may be imposed upon  | 
its officers who knowingly participated in the violation. | 
 Any child care facility that continues to operate after  | 
its license is revoked under Section 8 of this Act or after its  | 
license expires and the Department refused to renew the  | 
license as provided in Section 8 of this Act is guilty of a  | 
business offense and shall be fined an amount in excess of $500  | 
but not exceeding $10,000, and each day of violation is a  | 
separate offense. | 
 In a prosecution under this Act, a defendant who relies  | 
upon the relationship of any child to the defendant has the  | 
burden of proof as to that relationship. | 
(Source: P.A. 103-22, eff. 8-8-23; revised 9-21-23.)
 | 
 Section 385. The Illinois Dental Practice Act is amended  | 
by changing Sections 4 and 17 as follows:
 | 
 (225 ILCS 25/4) | 
 (Section scheduled to be repealed on January 1, 2026) | 
 Sec. 4. Definitions. As used in this Act: | 
 "Address of record" means the designated address recorded  | 
 | 
by the Department in the applicant's or licensee's application  | 
file or license file as maintained by the Department's  | 
licensure maintenance unit. It is the duty of the applicant or  | 
licensee to inform the Department of any change of address and  | 
those changes must be made either through the Department's  | 
website or by contacting the Department.  | 
 "Department" means the Department of Financial and  | 
Professional Regulation. | 
 "Secretary" means the Secretary of Financial and  | 
Professional Regulation. | 
 "Board" means the Board of Dentistry. | 
 "Dentist" means a person who has received a general  | 
license pursuant to paragraph (a) of Section 11 of this Act and  | 
who may perform any intraoral and extraoral procedure required  | 
in the practice of dentistry and to whom is reserved the  | 
responsibilities specified in Section 17. | 
 "Dental hygienist" means a person who holds a license  | 
under this Act to perform dental services as authorized by  | 
Section 18. | 
 "Dental assistant" means an appropriately trained person  | 
who, under the supervision of a dentist, provides dental  | 
services as authorized by Section 17. | 
 "Expanded function dental assistant" means a dental  | 
assistant who has completed the training required by Section  | 
17.1 of this Act.  | 
 "Dental laboratory" means a person, firm, or corporation  | 
 | 
which: | 
  (i) engages in making, providing, repairing, or  | 
 altering dental prosthetic appliances and other artificial  | 
 materials and devices which are returned to a dentist for  | 
 insertion into the human oral cavity or which come in  | 
 contact with its adjacent structures and tissues; and | 
  (ii) utilizes or employs a dental technician to  | 
 provide such services; and | 
  (iii) performs such functions only for a dentist or  | 
 dentists. | 
 "Supervision" means supervision of a dental hygienist or a  | 
dental assistant requiring that a dentist authorize the  | 
procedure, remain in the dental facility while the procedure  | 
is performed, and approve the work performed by the dental  | 
hygienist or dental assistant before dismissal of the patient,  | 
but does not mean that the dentist must be present at all times  | 
in the treatment room. | 
 "General supervision" means supervision of a dental  | 
hygienist requiring that the patient be a patient of record,  | 
that the dentist examine the patient in accordance with  | 
Section 18 prior to treatment by the dental hygienist, and  | 
that the dentist authorize the procedures which are being  | 
carried out by a notation in the patient's record, but not  | 
requiring that a dentist be present when the authorized  | 
procedures are being performed. The issuance of a prescription  | 
to a dental laboratory by a dentist does not constitute  | 
 | 
general supervision. | 
 "Public member" means a person who is not a health  | 
professional. For purposes of board membership, any person  | 
with a significant financial interest in a health service or  | 
profession is not a public member. | 
 "Dentistry" means the healing art which is concerned with  | 
the examination, diagnosis, treatment planning, and care of  | 
conditions within the human oral cavity and its adjacent  | 
tissues and structures, as further specified in Section 17. | 
 "Branches of dentistry" means the various specialties of  | 
dentistry which, for purposes of this Act, shall be limited to  | 
the following: endodontics, oral and maxillofacial surgery,  | 
orthodontics and dentofacial orthopedics, pediatric dentistry,  | 
periodontics, prosthodontics, oral and maxillofacial  | 
radiology, and dental anesthesiology. | 
 "Specialist" means a dentist who has received a specialty  | 
license pursuant to Section 11(b). | 
 "Dental technician" means a person who owns, operates, or  | 
is employed by a dental laboratory and engages in making,  | 
providing, repairing, or altering dental prosthetic appliances  | 
and other artificial materials and devices which are returned  | 
to a dentist for insertion into the human oral cavity or which  | 
come in contact with its adjacent structures and tissues. | 
 "Impaired dentist" or "impaired dental hygienist" means a  | 
dentist or dental hygienist who is unable to practice with  | 
reasonable skill and safety because of a physical or mental  | 
 | 
disability as evidenced by a written determination or written  | 
consent based on clinical evidence, including deterioration  | 
through the aging process, loss of motor skills, abuse of  | 
drugs or alcohol, or a psychiatric disorder, of sufficient  | 
degree to diminish the person's ability to deliver competent  | 
patient care. | 
 "Nurse" means a registered professional nurse, a certified  | 
registered nurse anesthetist licensed as an advanced practice  | 
registered nurse, or a licensed practical nurse licensed under  | 
the Nurse Practice Act. | 
 "Patient of record" means a patient for whom the patient's  | 
most recent dentist has obtained a relevant medical and dental  | 
history and on whom the dentist has performed an examination  | 
and evaluated the condition to be treated. | 
 "Dental responder" means a dentist or dental hygienist who  | 
is appropriately certified in disaster preparedness,  | 
immunizations, and dental humanitarian medical response  | 
consistent with the Society of Disaster Medicine and Public  | 
Health and training certified by the National Incident  | 
Management System or the National Disaster Life Support  | 
Foundation.  | 
 "Mobile dental van or portable dental unit" means any  | 
self-contained or portable dental unit in which dentistry is  | 
practiced that can be moved, towed, or transported from one  | 
location to another in order to establish a location where  | 
dental services can be provided. | 
 | 
 "Public health dental hygienist" means a hygienist who  | 
holds a valid license to practice in the State, has 2 years of  | 
full-time clinical experience or an equivalent of 4,000 hours  | 
of clinical experience, and has completed at least 42 clock  | 
hours of additional structured courses in dental education in  | 
advanced areas specific to public health dentistry. | 
 "Public health setting" means a federally qualified health  | 
center; a federal, State, or local public health facility;  | 
Head Start; a special supplemental nutrition program for  | 
Women, Infants, and Children (WIC) facility; a certified  | 
school-based health center or school-based oral health  | 
program; a prison; or a long-term care facility. | 
 "Public health supervision" means the supervision of a  | 
public health dental hygienist by a licensed dentist who has a  | 
written public health supervision agreement with that public  | 
health dental hygienist while working in an approved facility  | 
or program that allows the public health dental hygienist to  | 
treat patients, without a dentist first examining the patient  | 
and being present in the facility during treatment, (1) who  | 
are eligible for Medicaid or (2) who are uninsured or whose  | 
household income is not greater than 300% of the federal  | 
poverty level.  | 
 "Teledentistry" means the use of telehealth systems and  | 
methodologies in dentistry and includes patient care and  | 
education delivery using synchronous and asynchronous  | 
communications under a dentist's authority as provided under  | 
 | 
this Act. | 
(Source: P.A. 102-93, eff. 1-1-22; 102-588, eff. 8-20-21;  | 
102-936, eff. 1-1-23; 103-425, eff. 1-1-24; 103-431, eff.  | 
1-1-24; revised 12-15-23.)
 | 
 (225 ILCS 25/17) | 
 (Section scheduled to be repealed on January 1, 2026) | 
 Sec. 17. Acts constituting the practice of dentistry. A  | 
person practices dentistry, within the meaning of this Act: | 
  (1) Who represents himself or herself as being able to  | 
 diagnose or diagnoses, treats, prescribes, or operates for  | 
 any disease, pain, deformity, deficiency, injury, or  | 
 physical condition of the human tooth, teeth, alveolar  | 
 process, gums, or jaw; or | 
  (2) Who is a manager, proprietor, operator, or  | 
 conductor of a business where dental operations are  | 
 performed; or | 
  (3) Who performs dental operations of any kind; or | 
  (4) Who uses an X-Ray machine or X-Ray films for  | 
 dental diagnostic purposes; or | 
  (5) Who extracts a human tooth or teeth, or corrects  | 
 or attempts to correct malpositions of the human teeth or  | 
 jaws; or | 
  (6) Who offers or undertakes, by any means or method,  | 
 to diagnose, treat, or remove stains, calculus, and  | 
 bonding materials from human teeth or jaws; or | 
 | 
  (7) Who uses or administers local or general  | 
 anesthetics in the treatment of dental or oral diseases or  | 
 in any preparation incident to a dental operation of any  | 
 kind or character; or | 
  (8) Who takes material or digital scans for final  | 
 impressions of the human tooth, teeth, or jaws or performs  | 
 any phase of any operation incident to the replacement of  | 
 a part of a tooth, a tooth, teeth, or associated tissues by  | 
 means of a filling, a crown, a bridge, a denture, or other  | 
 appliance; or | 
  (9) Who offers to furnish, supply, construct,  | 
 reproduce, or repair, or who furnishes, supplies,  | 
 constructs, reproduces, or repairs, prosthetic dentures,  | 
 bridges, or other substitutes for natural teeth, to the  | 
 user or prospective user thereof; or | 
  (10) Who instructs students on clinical matters or  | 
 performs any clinical operation included in the curricula  | 
 of recognized dental schools and colleges; or | 
  (11) Who takes material or digital scans for final  | 
 impressions of human teeth or places his or her hands in  | 
 the mouth of any person for the purpose of applying teeth  | 
 whitening materials, or who takes impressions of human  | 
 teeth or places his or her hands in the mouth of any person  | 
 for the purpose of assisting in the application of teeth  | 
 whitening materials. A person does not practice dentistry  | 
 when he or she discloses to the consumer that he or she is  | 
 | 
 not licensed as a dentist under this Act and (i) discusses  | 
 the use of teeth whitening materials with a consumer  | 
 purchasing these materials; (ii) provides instruction on  | 
 the use of teeth whitening materials with a consumer  | 
 purchasing these materials; or (iii) provides appropriate  | 
 equipment on-site to the consumer for the consumer to  | 
 self-apply teeth whitening materials.  | 
 The fact that any person engages in or performs, or offers  | 
to engage in or perform, any of the practices, acts, or  | 
operations set forth in this Section, shall be prima facie  | 
evidence that such person is engaged in the practice of  | 
dentistry. | 
 The following practices, acts, and operations, however,  | 
are exempt from the operation of this Act: | 
  (a) The rendering of dental relief in emergency cases  | 
 in the practice of his or her profession by a physician or  | 
 surgeon, licensed as such under the laws of this State,  | 
 unless he or she undertakes to reproduce or reproduces  | 
 lost parts of the human teeth in the mouth or to restore or  | 
 replace lost or missing teeth in the mouth; or | 
  (b) The practice of dentistry in the discharge of  | 
 their official duties by dentists in any branch of the  | 
 Armed Services of the United States, the United States  | 
 Public Health Service, or the United States Veterans  | 
 Administration; or | 
  (c) The practice of dentistry by students in their  | 
 | 
 course of study in dental schools or colleges approved by  | 
 the Department, when acting under the direction and  | 
 supervision of dentists acting as instructors; or | 
  (d) The practice of dentistry by clinical instructors  | 
 in the course of their teaching duties in dental schools  | 
 or colleges approved by the Department: | 
   (i) when acting under the direction and  | 
 supervision of dentists, provided that such clinical  | 
 instructors have instructed continuously in this State  | 
 since January 1, 1986; or | 
   (ii) when holding the rank of full professor at  | 
 such approved dental school or college and possessing  | 
 a current valid license or authorization to practice  | 
 dentistry in another country; or | 
  (e) The practice of dentistry by licensed dentists of  | 
 other states or countries at meetings of the Illinois  | 
 State Dental Society or component parts thereof, alumni  | 
 meetings of dental colleges, or any other like dental  | 
 organizations, while appearing as clinicians; or | 
  (f) The use of X-Ray machines for exposing X-Ray films  | 
 of dental or oral tissues by dental hygienists or dental  | 
 assistants; or | 
  (g) The performance of any dental service by a dental  | 
 assistant, if such service is performed under the  | 
 supervision and full responsibility of a dentist. In  | 
 addition, after being authorized by a dentist, a dental  | 
 | 
 assistant may, for the purpose of eliminating pain or  | 
 discomfort, remove loose, broken, or irritating  | 
 orthodontic appliances on a patient of record.  | 
  For purposes of this paragraph (g), "dental service"  | 
 is defined to mean any intraoral procedure or act which  | 
 shall be prescribed by rule or regulation of the  | 
 Department. "Dental service", however, shall not include: | 
   (1) Any and all diagnosis of or prescription for  | 
 treatment of disease, pain, deformity, deficiency,  | 
 injury, or physical condition of the human teeth or  | 
 jaws, or adjacent structures. | 
   (2) Removal of, restoration of, or addition to the  | 
 hard or soft tissues of the oral cavity, except for the  | 
 placing, carving, and finishing of amalgam  | 
 restorations and placing, packing, and finishing  | 
 composite restorations by dental assistants who have  | 
 had additional formal education and certification.  | 
   A dental assistant may place, carve, and finish  | 
 amalgam restorations, place, pack, and finish  | 
 composite restorations, and place interim restorations  | 
 if he or she (A) has successfully completed a  | 
 structured training program as described in item (2)  | 
 of subsection (g) provided by an educational  | 
 institution accredited by the Commission on Dental  | 
 Accreditation, such as a dental school or dental  | 
 hygiene or dental assistant program, or (B) has at  | 
 | 
 least 4,000 hours of direct clinical patient care  | 
 experience and has successfully completed a structured  | 
 training program as described in item (2) of  | 
 subsection (g) provided by a statewide dental  | 
 association, approved by the Department to provide  | 
 continuing education, that has developed and conducted  | 
 training programs for expanded functions for dental  | 
 assistants or hygienists. The training program must:  | 
 (i) include a minimum of 16 hours of didactic study and  | 
 14 hours of clinical manikin instruction; all training  | 
 programs shall include areas of study in nomenclature,  | 
 caries classifications, oral anatomy, periodontium,  | 
 basic occlusion, instrumentations, pulp protection  | 
 liners and bases, dental materials, matrix and wedge  | 
 techniques, amalgam placement and carving, rubber dam  | 
 clamp placement, and rubber dam placement and removal;  | 
 (ii) include an outcome assessment examination that  | 
 demonstrates competency; (iii) require the supervising  | 
 dentist to observe and approve the completion of 8  | 
 amalgam or composite restorations; and (iv) issue a  | 
 certificate of completion of the training program,  | 
 which must be kept on file at the dental office and be  | 
 made available to the Department upon request. A  | 
 dental assistant must have successfully completed an  | 
 approved coronal polishing and dental sealant course  | 
 prior to taking the amalgam and composite restoration  | 
 | 
 course.  | 
   A dentist utilizing dental assistants shall not  | 
 supervise more than 4 dental assistants at any one  | 
 time for placing, carving, and finishing of amalgam  | 
 restorations or for placing, packing, and finishing  | 
 composite restorations. | 
   (3) Any and all correction of malformation of  | 
 teeth or of the jaws. | 
   (4) Administration of anesthetics, except for  | 
 monitoring of nitrous oxide, conscious sedation, deep  | 
 sedation, and general anesthetic as provided in  | 
 Section 8.1 of this Act, that may be performed only  | 
 after successful completion of a training program  | 
 approved by the Department. A dentist utilizing dental  | 
 assistants shall not supervise more than 4 dental  | 
 assistants at any one time for the monitoring of  | 
 nitrous oxide. | 
   (5) Removal of calculus from human teeth. | 
   (6) Taking of material or digital scans for final  | 
 impressions for the fabrication of prosthetic  | 
 appliances, crowns, bridges, inlays, onlays, or other  | 
 restorative or replacement dentistry. | 
   (7) The operative procedure of dental hygiene  | 
 consisting of oral prophylactic procedures, except for  | 
 coronal polishing and pit and fissure sealants, which  | 
 may be performed by a dental assistant who has  | 
 | 
 successfully completed a training program approved by  | 
 the Department. Dental assistants may perform coronal  | 
 polishing under the following circumstances: (i) the  | 
 coronal polishing shall be limited to polishing the  | 
 clinical crown of the tooth and existing restorations,  | 
 supragingivally; (ii) the dental assistant performing  | 
 the coronal polishing shall be limited to the use of  | 
 rotary instruments using a rubber cup or brush  | 
 polishing method (air polishing is not permitted); and  | 
 (iii) the supervising dentist shall not supervise more  | 
 than 4 dental assistants at any one time for the task  | 
 of coronal polishing or pit and fissure sealants. | 
   In addition to coronal polishing and pit and  | 
 fissure sealants as described in this item (7), a  | 
 dental assistant who has at least 2,000 hours of  | 
 direct clinical patient care experience and who has  | 
 successfully completed a structured training program  | 
 provided by (1) an educational institution including,  | 
 but not limited to, a dental school or dental hygiene  | 
 or dental assistant program, (2) a continuing  | 
 education provider approved by the Department, or (3)  | 
 a statewide dental or dental hygienist association  | 
 that has developed and conducted a training program  | 
 for expanded functions for dental assistants or  | 
 hygienists may perform: (A) coronal scaling above the  | 
 gum line, supragingivally, on the clinical crown of  | 
 | 
 the tooth only on patients 17 years of age or younger  | 
 who have an absence of periodontal disease and who are  | 
 not medically compromised or individuals with special  | 
 needs and (B) intracoronal temporization of a tooth.  | 
 The training program must: (I) include a minimum of 32  | 
 hours of instruction in both didactic and clinical  | 
 manikin or human subject instruction; all training  | 
 programs shall include areas of study in dental  | 
 anatomy, public health dentistry, medical history,  | 
 dental emergencies, and managing the pediatric  | 
 patient; (II) include an outcome assessment  | 
 examination that demonstrates competency; (III)  | 
 require the supervising dentist to observe and approve  | 
 the completion of 6 full mouth supragingival scaling  | 
 procedures unless the training was received as part of  | 
 a Commission on Dental Accreditation approved dental  | 
 assistant program; and (IV) issue a certificate of  | 
 completion of the training program, which must be kept  | 
 on file at the dental office and be made available to  | 
 the Department upon request. A dental assistant must  | 
 have successfully completed an approved coronal  | 
 polishing course prior to taking the coronal scaling  | 
 course. A dental assistant performing these functions  | 
 shall be limited to the use of hand instruments only.  | 
 In addition, coronal scaling as described in this  | 
 paragraph shall only be utilized on patients who are  | 
 | 
 eligible for Medicaid, who are uninsured, or whose  | 
 household income is not greater than 300% of the  | 
 federal poverty level. A dentist may not supervise  | 
 more than 2 dental assistants at any one time for the  | 
 task of coronal scaling. This paragraph is inoperative  | 
 on and after January 1, 2026. | 
  The limitations on the number of dental assistants a  | 
 dentist may supervise contained in items (2), (4), and (7)  | 
 of this paragraph (g) mean a limit of 4 total dental  | 
 assistants or dental hygienists doing expanded functions  | 
 covered by these Sections being supervised by one dentist;  | 
 or | 
  (h) The practice of dentistry by an individual who: | 
   (i) has applied in writing to the Department, in  | 
 form and substance satisfactory to the Department, for  | 
 a general dental license and has complied with all  | 
 provisions of Section 9 of this Act, except for the  | 
 passage of the examination specified in subsection (e)  | 
 of Section 9 of this Act; or | 
   (ii) has applied in writing to the Department, in  | 
 form and substance satisfactory to the Department, for  | 
 a temporary dental license and has complied with all  | 
 provisions of subsection (c) of Section 11 of this  | 
 Act; and | 
   (iii) has been accepted or appointed for specialty  | 
 or residency training by a hospital situated in this  | 
 | 
 State; or | 
   (iv) has been accepted or appointed for specialty  | 
 training in an approved dental program situated in  | 
 this State; or | 
   (v) has been accepted or appointed for specialty  | 
 training in a dental public health agency situated in  | 
 this State. | 
  The applicant shall be permitted to practice dentistry  | 
 for a period of 3 months from the starting date of the  | 
 program, unless authorized in writing by the Department to  | 
 continue such practice for a period specified in writing  | 
 by the Department. | 
  The applicant shall only be entitled to perform such  | 
 acts as may be prescribed by and incidental to his or her  | 
 program of residency or specialty training and shall not  | 
 otherwise engage in the practice of dentistry in this  | 
 State. | 
  The authority to practice shall terminate immediately  | 
 upon: | 
   (1) the decision of the Department that the  | 
 applicant has failed the examination; or | 
   (2) denial of licensure by the Department; or | 
   (3) withdrawal of the application. | 
(Source: P.A. 102-558, eff. 8-20-21; 102-936, eff. 1-1-23;  | 
103-425, eff. 1-1-24; 103-431, eff. 1-1-24; revised 12-15-23.)
 | 
 | 
 Section 390. The Health Care Worker Background Check Act  | 
is amended by changing Section 25 as follows:
 | 
 (225 ILCS 46/25) | 
 Sec. 25. Hiring of people with criminal records by health  | 
care employers and long-term care facilities.  | 
 (a) A health care employer or long-term care facility may  | 
hire, employ, or retain any individual in a position involving  | 
direct care for clients, patients, or residents, or access to  | 
the living quarters or the financial, medical, or personal  | 
records of clients, patients, or residents who has been  | 
convicted of committing or attempting to commit one or more of  | 
the following offenses under the laws of this State, or of an  | 
offense that is substantially equivalent to the following  | 
offenses under the laws of any other state or of the laws of  | 
the United States, as verified by court records, records from  | 
a state agency, or a Federal Bureau of Investigation criminal  | 
history records check, only with a waiver described in Section  | 
40: those defined in Sections 8-1(b), 8-1.1, 8-1.2, 9-1,  | 
9-1.2, 9-2, 9-2.1, 9-3, 9-3.1, 9-3.2, 9-3.3, 9-3.4, 10-1,  | 
10-2, 10-3, 10-3.1, 10-4, 10-5, 10-7, 11-1.20, 11-1.30,  | 
11-1.40, 11-1.50, 11-1.60, 11-6, 11-9.1, 11-9.2, 11-9.3,  | 
11-9.4-1, 11-9.5, 11-19.2, 11-20.1, 11-20.1B, 11-20.3, 12-1,  | 
12-2, 12-3.05, 12-3.1, 12-3.2, 12-3.3, 12-4, 12-4.1, 12-4.2,  | 
12-4.3, 12-4.4, 12-4.5, 12-4.6, 12-4.7, 12-7.4, 12-11, 12-13,  | 
12-14, 12-14.1, 12-15, 12-16, 12-19, 12-20.5, 12-21, 12-21.5,  | 
 | 
12-21.6, 12-32, 12-33, 12C-5, 12C-10, 16-1, 16-1.3, 16-25,  | 
16A-3, 17-3, 17-56, 18-1, 18-2, 18-3, 18-4, 18-5, 19-1, 19-3,  | 
19-4, 19-6, 20-1, 20-1.1, 24-1, 24-1.2, 24-1.5, 24-1.8,  | 
24-3.8, or 33A-2, or subdivision (a)(4) of Section 11-14.4, or  | 
in subsection (a) of Section 12-3 or subsection (a) or (b) of  | 
Section 12-4.4a, of the Criminal Code of 1961 or the Criminal  | 
Code of 2012; those provided in Section 4 of the Wrongs to  | 
Children Act; those provided in Section 53 of the Criminal  | 
Jurisprudence Act; those defined in subsection (c), (d), (e),  | 
(f), or (g) of Section 5 or Section 5.1, 5.2, 7, or 9 of the  | 
Cannabis Control Act; those defined in the Methamphetamine  | 
Control and Community Protection Act; those defined in  | 
Sections 401, 401.1, 404, 405, 405.1, 407, or 407.1 of the  | 
Illinois Controlled Substances Act; or subsection (a) of  | 
Section 3.01, Section 3.02, or Section 3.03 of the Humane Care  | 
for Animals Act. | 
 (a-1) A health care employer or long-term care facility  | 
may hire, employ, or retain any individual in a position  | 
involving direct care for clients, patients, or residents, or  | 
access to the living quarters or the financial, medical, or  | 
personal records of clients, patients, or residents who has  | 
been convicted of committing or attempting to commit one or  | 
more of the following offenses under the laws of this State, or  | 
of an offense that is substantially equivalent to the  | 
following offenses under the laws of any other state or of the  | 
laws of the United States, as verified by court records,  | 
 | 
records from a state agency, or a Federal Bureau of  | 
Investigation criminal history records check, only with a  | 
waiver described in Section 40: those offenses defined in  | 
Section 12-3.3, 12-4.2-5, 16-2, 16-30, 16G-15, 16G-20, 17-33,  | 
17-34, 17-36, 17-44, 18-5, 20-1.2, 24-1.1, 24-1.2-5, 24-1.6,  | 
24-3.2, or 24-3.3, or subsection (b) of Section 17-32,  | 
subsection (b) of Section 18-1, or subsection (b) of Section  | 
20-1, of the Criminal Code of 1961 or the Criminal Code of  | 
2012; Section 4, 5, 6, 8, or 17.02 of the Illinois Credit Card  | 
and Debit Card Act; or Section 11-9.1A of the Criminal Code of  | 
1961 or the Criminal Code of 2012 or Section 5.1 of the Wrongs  | 
to Children Act; or (ii) violated Section 50-50 of the Nurse  | 
Practice Act. | 
 A health care employer is not required to retain an  | 
individual in a position with duties involving direct care for  | 
clients, patients, or residents, and no long-term care  | 
facility is required to retain an individual in a position  | 
with duties that involve or may involve contact with residents  | 
or access to the living quarters or the financial, medical, or  | 
personal records of residents, who has been convicted of  | 
committing or attempting to commit one or more of the offenses  | 
enumerated in this subsection. | 
 (b) A health care employer shall not hire, employ, or  | 
retain, whether paid or on a volunteer basis, any individual  | 
in a position with duties involving direct care of clients,  | 
patients, or residents, and no long-term care facility shall  | 
 | 
knowingly hire, employ, or retain, whether paid or on a  | 
volunteer basis, any individual in a position with duties that  | 
involve or may involve contact with residents or access to the  | 
living quarters or the financial, medical, or personal records  | 
of residents, if the health care employer becomes aware that  | 
the individual has been convicted in another state of  | 
committing or attempting to commit an offense that has the  | 
same or similar elements as an offense listed in subsection  | 
(a) or (a-1), as verified by court records, records from a  | 
state agency, or an FBI criminal history record check, unless  | 
the applicant or employee obtains a waiver pursuant to Section  | 
40 of this Act. This shall not be construed to mean that a  | 
health care employer has an obligation to conduct a criminal  | 
history records check in other states in which an employee has  | 
resided. | 
 (c) A health care employer shall not hire, employ, or  | 
retain, whether paid or on a volunteer basis, any individual  | 
in a position with duties involving direct care of clients,  | 
patients, or residents, who has a finding by the Department of  | 
abuse, neglect, misappropriation of property, or theft denoted  | 
on the Health Care Worker Registry.  | 
 (d) A health care employer shall not hire, employ, or  | 
retain, whether paid or on a volunteer basis, any individual  | 
in a position with duties involving direct care of clients,  | 
patients, or residents if the individual has a verified and  | 
substantiated finding of abuse, neglect, or financial  | 
 | 
exploitation, as identified within the Adult Protective  | 
Service Registry established under Section 7.5 of the Adult  | 
Protective Services Act.  | 
 (e) A health care employer shall not hire, employ, or  | 
retain, whether paid or on a volunteer basis, any individual  | 
in a position with duties involving direct care of clients,  | 
patients, or residents who has a finding by the Department of  | 
Human Services denoted on the Health Care Worker Registry of  | 
physical or sexual abuse, financial exploitation, egregious  | 
neglect, or material obstruction of an investigation.  | 
(Source: P.A. 103-76, eff. 6-9-23; 103-428, eff. 1-1-24;  | 
revised 12-15-23.)
 | 
 Section 395. The Music Therapy Licensing and Practice Act  | 
is amended by changing Section 95 as follows:
 | 
 (225 ILCS 56/95) | 
 (Section scheduled to be repealed on January 1, 2028) | 
 Sec. 95. Grounds for discipline.  | 
 (a) The Department may refuse to issue, renew, or may  | 
revoke, suspend, place on probation, reprimand, or take other  | 
disciplinary or nondisciplinary action as the Department deems  | 
appropriate, including the issuance of fines not to exceed  | 
$10,000 for each violation, with regard to any license for any  | 
one or more of the following:  | 
  (1) Material misstatement in furnishing information to  | 
 | 
 the Department or to any other State agency.  | 
  (2) Violations or negligent or intentional disregard  | 
 of this Act, or any of its rules.  | 
  (3) Conviction by plea of guilty or nolo contendere,  | 
 finding of guilt, jury verdict, or entry of judgment or  | 
 sentencing, including, but not limited to, convictions,  | 
 preceding sentences of supervision, conditional discharge,  | 
 or first offender probation, under the laws of any  | 
 jurisdiction of the United States (i) that is a felony or  | 
 (ii) that is a misdemeanor, an essential element of which  | 
 is dishonesty, or that is directly related to the practice  | 
 of music therapy.  | 
  (4) Making any misrepresentation for the purpose of  | 
 obtaining a license, or violating any provision of this  | 
 Act or its rules.  | 
  (5) Negligence in the rendering of music therapy  | 
 services.  | 
  (6) Aiding or assisting another person in violating  | 
 any provision of this Act or any of its rules.  | 
  (7) Failing to provide information within 60 days in  | 
 response to a written request made by the Department.  | 
  (8) Engaging in dishonorable, unethical, or  | 
 unprofessional conduct of a character likely to deceive,  | 
 defraud, or harm the public and violating the rules of  | 
 professional conduct adopted by the Department.  | 
  (9) Failing to maintain the confidentiality of any  | 
 | 
 information received from a client, unless otherwise  | 
 authorized or required by law.  | 
  (10) Failure to maintain client records of services  | 
 provided and provide copies to clients upon request.  | 
  (11) Exploiting a client for personal advantage,  | 
 profit, or interest.  | 
  (12) Habitual or excessive use or addiction to  | 
 alcohol, narcotics, stimulants, or any other chemical  | 
 agent or drug which results in inability to practice with  | 
 reasonable skill, judgment, or safety.  | 
  (13) Discipline by another governmental agency or unit  | 
 of government, by any jurisdiction of the United States,  | 
 or by a foreign nation, if at least one of the grounds for  | 
 the discipline is the same or substantially equivalent to  | 
 those set forth in this Section.  | 
  (14) Directly or indirectly giving to or receiving  | 
 from any person, firm, corporation, partnership, or  | 
 association any fee, commission, rebate, or other form of  | 
 compensation for any professional service not actually  | 
 rendered. Nothing in this paragraph affects any bona fide  | 
 independent contractor or employment arrangements among  | 
 health care professionals, health facilities, health care  | 
 providers, or other entities, except as otherwise  | 
 prohibited by law. Any employment arrangements may include  | 
 provisions for compensation, health insurance, pension, or  | 
 other employment benefits for the provision of services  | 
 | 
 within the scope of the licensee's practice under this  | 
 Act. Nothing in this paragraph shall be construed to  | 
 require an employment arrangement to receive professional  | 
 fees for services rendered.  | 
  (15) A finding by the Department that the licensee,  | 
 after having the license placed on probationary status,  | 
 has violated the terms of probation.  | 
  (16) Failing to refer a client to other health care  | 
 professionals when the licensee is unable or unwilling to  | 
 adequately support or serve the client.  | 
  (17) Willfully filing false reports relating to a  | 
 licensee's practice, including, but not limited to, false  | 
 records filed with federal or State agencies or  | 
 departments.  | 
  (18) Willfully failing to report an instance of  | 
 suspected child abuse or neglect as required by the Abused  | 
 and Neglected Child Reporting Act.  | 
  (19) Being named as a perpetrator in an indicated  | 
 report by the Department of Children and Family Services  | 
 pursuant to the Abused and Neglected Child Reporting Act,  | 
 and upon proof by clear and convincing evidence that the  | 
 licensee has caused a child to be an abused child or  | 
 neglected child as defined in the Abused and Neglected  | 
 Child Reporting Act.  | 
  (20) Physical or mental disability, including  | 
 deterioration through the aging process or loss of  | 
 | 
 abilities and skills which results in the inability to  | 
 practice the profession with reasonable judgment, skill,  | 
 or safety.  | 
  (21) Solicitation of professional services by using  | 
 false or misleading advertising.  | 
  (22) Fraud or making any misrepresentation in applying  | 
 for or procuring a license under this Act or in connection  | 
 with applying for renewal of a license under this Act.  | 
  (23) Practicing or attempting to practice under a name  | 
 other than the full name as shown on the license or any  | 
 other legally authorized name.  | 
  (24) Gross overcharging for professional services,  | 
 including filing statements for collection of fees or  | 
 moneys for which services are not rendered.  | 
  (25) Charging for professional services not rendered,  | 
 including filing false statements for the collection of  | 
 fees for which services are not rendered.  | 
  (26) Allowing one's license under this Act to be used  | 
 by an unlicensed person in violation of this Act.  | 
 (b) The determination by a court that a licensee is  | 
subject to involuntary admission or judicial admission as  | 
provided in the Mental Health and Developmental Disabilities  | 
Code shall result in an automatic suspension of the licensee's  | 
license. The suspension will end upon a finding by a court that  | 
the licensee is no longer subject to involuntary admission or  | 
judicial admission, the issuance of an order so finding and  | 
 | 
discharging the patient, and the determination of the  | 
Secretary that the licensee be allowed to resume professional  | 
practice.  | 
 (c) The Department may refuse to issue or renew or may  | 
suspend without hearing the license of any person who fails to  | 
file a return, to pay the tax penalty or interest shown in a  | 
filed return, or to pay any final assessment of the tax,  | 
penalty, or interest as required by any Act regarding the  | 
payment of taxes administered by the Department of Revenue  | 
until the requirements of the 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.  | 
 (d) In cases where the Department of Healthcare and Family  | 
Services 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, 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 paragraph (5) of subsection (a) of Section 2105-15 of the  | 
Department of Professional Regulation Law of the Civil  | 
Administrative Code of Illinois.  | 
 (e) All fines or costs imposed under this Section shall be  | 
 | 
paid within 60 days after the effective date of the order  | 
imposing the fine or costs or in accordance with the terms set  | 
forth in the order imposing the fine.  | 
(Source: P.A. 102-993, eff. 5-27-22; revised 1-3-24.)
 | 
 Section 400. The Licensed Certified Professional Midwife  | 
Practice Act is amended by changing Section 100 as follows:
 | 
 (225 ILCS 64/100) | 
 (Section scheduled to be repealed on January 1, 2027) | 
 Sec. 100. Grounds for disciplinary action. | 
 (a) The Department may refuse to issue or to renew, or may  | 
revoke, suspend, place on probation, reprimand, or take other  | 
disciplinary or non-disciplinary action with regard to any  | 
license issued under this Act as the Department may deem  | 
proper, including the issuance of fines not to exceed $10,000  | 
for each violation, for any one or combination of the  | 
following causes: | 
  (1) Material misstatement in furnishing information to  | 
 the Department. | 
  (2) Violations of this Act, or the rules adopted under  | 
 this Act. | 
  (3) Conviction by plea of guilty or nolo contendere,  | 
 finding of guilt, jury verdict, or entry of judgment or  | 
 sentencing, including, but not limited to, convictions,  | 
 preceding sentences of supervision, conditional discharge,  | 
 | 
 or first offender probation, under the laws of any  | 
 jurisdiction of the United States that is: (i) a felony;  | 
 or (ii) a misdemeanor, an essential element of which is  | 
 dishonesty, or that is directly related to the practice of  | 
 the profession. | 
  (4) Making any misrepresentation for the purpose of  | 
 obtaining licenses. | 
  (5) Professional incompetence. | 
  (6) Aiding or assisting another person in violating  | 
 any provision of this Act or its rules. | 
  (7) Failing, within 60 days, to provide information in  | 
 response to a written request made by the Department. | 
  (8) Engaging in dishonorable, unethical, or  | 
 unprofessional conduct, as defined by rule, of a character  | 
 likely to deceive, defraud, or harm the public. | 
  (9) Habitual or excessive use or addiction to alcohol,  | 
 narcotics, stimulants, or any other chemical agent or drug  | 
 that results in a midwife's inability to practice with  | 
 reasonable judgment, skill, or safety. | 
  (10) Discipline by another U.S. jurisdiction or  | 
 foreign nation, if at least one of the grounds for  | 
 discipline is the same or substantially equivalent to  | 
 those set forth in this Section. | 
  (11) Directly or indirectly giving to or receiving  | 
 from any person, firm, corporation, partnership, or  | 
 association any fee, commission, rebate or other form of  | 
 | 
 compensation for any professional services not actually or  | 
 personally rendered. Nothing in this paragraph affects any  | 
 bona fide independent contractor or employment  | 
 arrangements, including provisions for compensation,  | 
 health insurance, pension, or other employment benefits,  | 
 with persons or entities authorized under this Act for the  | 
 provision of services within the scope of the licensee's  | 
 practice under this Act. | 
  (12) A finding by the Department that the licensee,  | 
 after having his or her license placed on probationary  | 
 status, has violated the terms of probation. | 
  (13) Abandonment of a patient. | 
  (14) Willfully making or filing false records or  | 
 reports in his or her practice, including, but not limited  | 
 to, false records filed with state agencies or  | 
 departments. | 
  (15) Willfully failing to report an instance of  | 
 suspected child abuse or neglect as required by the Abused  | 
 and Neglected Child Reporting Act. | 
  (16) Physical illness, or mental illness or impairment  | 
 that results in the inability to practice the profession  | 
 with reasonable judgment, skill, or safety, including, but  | 
 not limited to, deterioration through the aging process or  | 
 loss of motor skill. | 
  (17) Being named as a perpetrator in an indicated  | 
 report by the Department of Children and Family Services  | 
 | 
 under the Abused and Neglected Child Reporting Act, and  | 
 upon proof by clear and convincing evidence that the  | 
 licensee has caused a child to be an abused child or  | 
 neglected child as defined in the Abused and Neglected  | 
 Child Reporting Act. | 
  (18) Gross negligence resulting in permanent injury or  | 
 death of a patient. | 
  (19) Employment of fraud, deception, or any unlawful  | 
 means in applying for or securing a license as a licensed  | 
 certified professional profession midwife. | 
  (21) Immoral conduct in the commission of any act,  | 
 including sexual abuse, sexual misconduct, or sexual  | 
 exploitation related to the licensee's practice. | 
  (22) Violation of the Health Care Worker Self-Referral  | 
 Act. | 
  (23) Practicing under a false or assumed name, except  | 
 as provided by law. | 
  (24) Making a false or misleading statement regarding  | 
 his or her skill or the efficacy or value of the medicine,  | 
 treatment, or remedy prescribed by him or her in the  | 
 course of treatment. | 
  (25) Allowing another person to use his or her license  | 
 to practice. | 
  (26) Prescribing, selling, administering,  | 
 distributing, giving, or self-administering a drug  | 
 classified as a controlled substance for purposes other  | 
 | 
 than medically accepted medically-accepted therapeutic  | 
 purposes. | 
  (27) Promotion of the sale of drugs, devices,  | 
 appliances, or goods provided for a patient in a manner to  | 
 exploit the patient for financial gain. | 
  (28) A pattern of practice or other behavior that  | 
 demonstrates incapacity or incompetence to practice under  | 
 this Act. | 
  (29) Violating State or federal laws, rules, or  | 
 regulations relating to controlled substances or other  | 
 legend drugs or ephedra as defined in the Ephedra  | 
 Prohibition Act. | 
  (30) Failure to establish and maintain records of  | 
 patient care and treatment as required by law. | 
  (31) Attempting to subvert or cheat on the examination  | 
 of the North American Registry of Midwives or its  | 
 successor agency. | 
  (32) Willfully or negligently violating the  | 
 confidentiality between licensed certified professional  | 
 profession midwives and patient, except as required by  | 
 law. | 
  (33) Willfully failing to report an instance of  | 
 suspected abuse, neglect, financial exploitation, or  | 
 self-neglect of an eligible adult as defined in and  | 
 required by the Adult Protective Services Act. | 
  (34) Being named as an abuser in a verified report by  | 
 | 
 the Department on Aging under the Adult Protective  | 
 Services Act and upon proof by clear and convincing  | 
 evidence that the licensee abused, neglected, or  | 
 financially exploited an eligible adult as defined in the  | 
 Adult Protective Services Act. | 
  (35) Failure to report to the Department an adverse  | 
 final action taken against him or her by another licensing  | 
 jurisdiction of the United States or a foreign state or  | 
 country, a peer review body, a health care institution, a  | 
 professional society or association, a governmental  | 
 agency, a law enforcement agency, or a court. | 
  (36) Failure to provide copies of records of patient  | 
 care or treatment, except as required by law. | 
  (37) Failure of a licensee to report to the Department  | 
 surrender by the licensee of a license or authorization to  | 
 practice in another state or jurisdiction or current  | 
 surrender by the licensee of membership professional  | 
 association or society while under disciplinary  | 
 investigation by any of those authorities or bodies for  | 
 acts or conduct similar to acts or conduct that would  | 
 constitute grounds for action under this Section. | 
  (38) Failing, within 90 days, to provide a response to  | 
 a request for information in response to a written request  | 
 made by the Department by certified or registered mail or  | 
 by email to the email address of record. | 
  (39) Failure to supervise a midwife assistant or  | 
 | 
 student midwife including, but not limited to, allowing a  | 
 midwife assistant or student midwife to exceed their  | 
 scope. | 
  (40) Failure to adequately inform a patient about  | 
 their malpractice liability insurance coverage and the  | 
 policy limits of the coverage. | 
  (41) Failure to submit an annual report to the  | 
 Department of Public Health. | 
  (42) Failure to disclose active cardiopulmonary  | 
 resuscitation certification or neonatal resuscitation  | 
 provider status to clients. | 
  (43) Engaging in one of the prohibited practices  | 
 provided for in Section 85 of this Act. | 
 (b) The Department may, without a hearing, refuse to issue  | 
or renew or may suspend the license of any person who fails to  | 
file a return, or to pay the tax, penalty, or interest shown in  | 
a filed return, or to pay any final assessment of the tax,  | 
penalty, or interest as required by any tax Act administered  | 
by the Department of Revenue, until the requirements of any  | 
such tax Act are satisfied. | 
 (c) The determination by a circuit court that a licensee  | 
is subject to involuntary admission or judicial admission as  | 
provided in the Mental Health and Developmental Disabilities  | 
Code operates as an automatic suspension. The suspension will  | 
end only upon a finding by a court that the patient is no  | 
longer subject to involuntary admission or judicial admission  | 
 | 
and issues an order so finding and discharging the patient,  | 
and upon the recommendation of the Board to the Secretary that  | 
the licensee be allowed to resume his or her practice. | 
 (d) In enforcing this Section, the Department, 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, including a substance abuse or sexual  | 
offender evaluation, as required by and at the expense of the  | 
Department. | 
 The Department shall specifically designate the examining  | 
physician licensed to practice medicine in all of its branches  | 
or, if applicable, the multidisciplinary team involved in  | 
providing the mental or physical examination or both. The  | 
multidisciplinary team shall be led by a physician licensed to  | 
practice medicine in all of its branches and may consist of one  | 
or more or a combination of physicians licensed to practice  | 
medicine in all of its branches, licensed clinical  | 
psychologists, licensed clinical social workers, licensed  | 
clinical professional counselors, and other professional and  | 
administrative staff. Any examining physician or member of the  | 
multidisciplinary team may require any person ordered to  | 
submit to an examination pursuant to this Section to submit to  | 
any additional supplemental testing deemed necessary to  | 
complete any examination or evaluation process, including, but  | 
not limited to, blood testing, urinalysis, psychological  | 
 | 
testing, or neuropsychological testing. | 
 The Department may order the examining physician or any  | 
member of the multidisciplinary team to provide to the  | 
Department any and all records, including business records,  | 
that relate to the examination and evaluation, including any  | 
supplemental testing performed. | 
 The Department may order the examining physician or any  | 
member of the multidisciplinary team to present testimony  | 
concerning the mental or physical examination of the licensee  | 
or applicant. No information, report, record, or other  | 
documents in any way related to the examination shall be  | 
excluded by reason of any common law or statutory privilege  | 
relating to communications between the licensee or applicant  | 
and the examining physician or any member of the  | 
multidisciplinary team. No authorization is necessary from the  | 
licensee or applicant ordered to undergo an examination for  | 
the examining physician or any member of the multidisciplinary  | 
team to provide information, reports, records, or other  | 
documents or to provide any testimony regarding the  | 
examination and evaluation. | 
 The individual to be examined may have, at his or her own  | 
expense, another physician of his or her choice present during  | 
all aspects of this examination. However, that physician shall  | 
be present only to observe and may not interfere in any way  | 
with the examination. | 
 Failure of an individual to submit to a mental or physical  | 
 | 
examination, when ordered, shall result in an automatic  | 
suspension of his or her license until the individual submits  | 
to the examination. | 
 If the Department finds an individual unable to practice  | 
because of the reasons set forth in this Section, the  | 
Department may require that individual to submit to care,  | 
counseling, or treatment by physicians approved or designated  | 
by the Department, 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 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 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 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. 102-683, eff. 10-1-22; revised 1-30-24.)
 | 
 Section 405. The Physician Assistant Practice Act of 1987  | 
is amended by changing Section 7.5 as follows:
 | 
 (225 ILCS 95/7.5) | 
 (Section scheduled to be repealed on January 1, 2028) | 
 Sec. 7.5. Written collaborative agreements; prescriptive  | 
authority.  | 
 (a) A written collaborative agreement is required for all  | 
physician assistants to practice in the State, except as  | 
provided in Section 7.7 of this Act. | 
  (1) A written collaborative agreement shall describe  | 
 the working relationship of the physician assistant with  | 
 the collaborating physician and shall describe the  | 
 categories of care, treatment, or procedures to be  | 
 provided by the physician assistant. The written  | 
 collaborative agreement shall promote the exercise of  | 
 professional judgment by the physician assistant  | 
 | 
 commensurate with his or her education and experience. The  | 
 services to be provided by the physician assistant shall  | 
 be services that the collaborating physician is authorized  | 
 to and generally provides to his or her patients in the  | 
 normal course of his or her clinical medical practice. The  | 
 written collaborative agreement need not describe the  | 
 exact steps that a physician assistant must take with  | 
 respect to each specific condition, disease, or symptom  | 
 but must specify which authorized procedures require the  | 
 presence of the collaborating physician as the procedures  | 
 are being performed. The relationship under a written  | 
 collaborative agreement shall not be construed to require  | 
 the personal presence of a physician at the place where  | 
 services are rendered. Methods of communication shall be  | 
 available for consultation with the collaborating  | 
 physician in person or by telecommunications or electronic  | 
 communications as set forth in the written collaborative  | 
 agreement. For the purposes of this Act, "generally  | 
 provides to his or her patients in the normal course of his  | 
 or her clinical medical practice" means services, not  | 
 specific tasks or duties, the collaborating physician  | 
 routinely provides individually or through delegation to  | 
 other persons so that the physician has the experience and  | 
 ability to collaborate and provide consultation.  | 
  (2) The written collaborative agreement shall be  | 
 adequate if a physician does each of the following: | 
 | 
   (A) Participates in the joint formulation and  | 
 joint approval of orders or guidelines with the  | 
 physician assistant and he or she periodically reviews  | 
 such orders and the services provided patients under  | 
 such orders in accordance with accepted standards of  | 
 medical practice and physician assistant practice. | 
   (B) Provides consultation at least once a month.  | 
  (3) A copy of the signed, written collaborative  | 
 agreement must be available to the Department upon request  | 
 from both the physician assistant and the collaborating  | 
 physician. | 
  (4) A physician assistant shall inform each  | 
 collaborating physician of all written collaborative  | 
 agreements he or she has signed and provide a copy of these  | 
 to any collaborating physician upon request. | 
 (b) A collaborating physician may, but is not required to,  | 
delegate prescriptive authority to a physician assistant as  | 
part of a written collaborative agreement. This authority may,  | 
but is not required to, include prescription of, selection of,  | 
orders for, administration of, storage of, acceptance of  | 
samples of, and dispensing medical devices, over-the-counter  | 
over the counter medications, legend drugs, medical gases, and  | 
controlled substances categorized as Schedule II through V  | 
controlled substances, as defined in Article II of the  | 
Illinois Controlled Substances Act, and other preparations,  | 
including, but not limited to, botanical and herbal remedies.  | 
 | 
The collaborating physician must have a valid, current  | 
Illinois controlled substance license and federal registration  | 
with the Drug Enforcement Administration to delegate the  | 
authority to prescribe controlled substances.  | 
  (1) To prescribe Schedule II, III, IV, or V controlled  | 
 substances under this Section, a physician assistant must  | 
 obtain a mid-level practitioner controlled substances  | 
 license. Medication orders issued by a physician assistant  | 
 shall be reviewed periodically by the collaborating  | 
 physician.  | 
  (2) The collaborating physician shall file with the  | 
 Department notice of delegation of prescriptive authority  | 
 to a physician assistant and termination of delegation,  | 
 specifying the authority delegated or terminated. Upon  | 
 receipt of this notice delegating authority to prescribe  | 
 controlled substances, the physician assistant shall be  | 
 eligible to register for a mid-level practitioner  | 
 controlled substances license under Section 303.05 of the  | 
 Illinois Controlled Substances Act. Nothing in this Act  | 
 shall be construed to limit the delegation of tasks or  | 
 duties by the collaborating physician to a nurse or other  | 
 appropriately trained persons in accordance with Section  | 
 54.2 of the Medical Practice Act of 1987. | 
  (3) In addition to the requirements of this subsection  | 
 (b), a collaborating physician may, but is not required  | 
 to, delegate authority to a physician assistant to  | 
 | 
 prescribe Schedule II controlled substances, if all of the  | 
 following conditions apply: | 
   (A) Specific Schedule II controlled substances by  | 
 oral dosage or topical or transdermal application may  | 
 be delegated, provided that the delegated Schedule II  | 
 controlled substances are routinely prescribed by the  | 
 collaborating physician. This delegation must identify  | 
 the specific Schedule II controlled substances by  | 
 either brand name or generic name. Schedule II  | 
 controlled substances to be delivered by injection or  | 
 other route of administration may not be delegated. | 
   (B) (Blank). | 
   (C) Any prescription must be limited to no more  | 
 than a 30-day supply, with any continuation authorized  | 
 only after prior approval of the collaborating  | 
 physician. | 
   (D) The physician assistant must discuss the  | 
 condition of any patients for whom a controlled  | 
 substance is prescribed monthly with the collaborating  | 
 physician. | 
   (E) The physician assistant meets the education  | 
 requirements of Section 303.05 of the Illinois  | 
 Controlled Substances Act.  | 
 (c) Nothing in this Act shall be construed to limit the  | 
delegation of tasks or duties by a physician to a licensed  | 
practical nurse, a registered professional nurse, or other  | 
 | 
persons. Nothing in this Act shall be construed to limit the  | 
method of delegation that may be authorized by any means,  | 
including, but not limited to, oral, written, electronic,  | 
standing orders, protocols, guidelines, or verbal orders.  | 
Nothing in this Act shall be construed to authorize a  | 
physician assistant to provide health care services required  | 
by law or rule to be performed by a physician. Nothing in this  | 
Act shall be construed to authorize the delegation or  | 
performance of operative surgery. Nothing in this Section  | 
shall be construed to preclude a physician assistant from  | 
assisting in surgery.  | 
 (c-5) Nothing in this Section shall be construed to apply  | 
to any medication authority, including Schedule II controlled  | 
substances of a licensed physician assistant for care provided  | 
in a hospital, hospital affiliate, federally qualified health  | 
center, or ambulatory surgical treatment center pursuant to  | 
Section 7.7 of this Act.  | 
 (d) (Blank).  | 
 (e) Nothing in this Section shall be construed to prohibit  | 
generic substitution.  | 
(Source: P.A. 102-558, eff. 8-20-21; 103-65, eff. 1-1-24;  | 
revised 1-2-24.)
 | 
 Section 410. The Veterinary Medicine and Surgery Practice  | 
Act of 2004 is amended by changing Section 25.2 as follows:
 | 
 | 
 (225 ILCS 115/25.2) (from Ch. 111, par. 7025.2) | 
 (Section scheduled to be repealed on January 1, 2029) | 
 Sec. 25.2. Investigation; notice and hearing. The  | 
Department may investigate the actions of any applicant or of  | 
any person or persons holding or claiming to hold a license or  | 
certificate. The Department shall, before refusing to issue,  | 
to renew or discipline a license or certificate under Section  | 
25, at least 30 days prior to the date set for the hearing,  | 
notify the applicant or licensee in writing of the nature of  | 
the charges and the time and place for a hearing on the  | 
charges. The Department shall direct the applicant,  | 
certificate holder, or licensee to file a written answer to  | 
the charges with the Board under oath within 20 days after the  | 
service of the notice and inform the applicant, certificate  | 
holder, or licensee that failure to file an answer will result  | 
in default being taken against the applicant, certificate  | 
holder, or licensee. At the time and place fixed in the notice,  | 
the Department shall proceed to hear the charges and the  | 
parties or their counsel shall be accorded ample opportunity  | 
to present any pertinent statements, testimony, evidence, and  | 
arguments. The Department may continue the hearing from time  | 
to time. In case the person, after receiving the notice, fails  | 
to file an answer, his or her license may, in the discretion of  | 
the Department, be revoked, suspended, placed on probationary  | 
status, or the Department may take whatever disciplinary  | 
action considered proper, including limiting the scope,  | 
 | 
nature, or extent of the person's practice or the imposition  | 
of a fine, without a hearing, if the act or acts charged  | 
constitute sufficient grounds for that action under the Act.  | 
The written notice and any notice in the subsequent proceeding  | 
may be served by registered or certified mail to the  | 
licensee's address of record or, if in the course of the  | 
administrative proceeding the party has previously designated  | 
a specific email address at which to accept electronic service  | 
for that specific proceeding, by sending a copy by email to the  | 
party's an email address on record. | 
(Source: P.A. 103-309, eff. 1-1-24; 103-505, eff. 1-1-24;  | 
revised 9-28-23.)
 | 
 Section 415. The Registered Surgical Assistant and  | 
Registered Surgical Technologist Title Protection Act is  | 
amended by changing Section 75 as follows:
 | 
 (225 ILCS 130/75) | 
 (Section scheduled to be repealed on January 1, 2029) | 
 Sec. 75. Grounds for disciplinary action.  | 
 (a) The Department may refuse to issue, renew, or restore  | 
a registration, may revoke or suspend a registration, or may  | 
place on probation, reprimand, or take other disciplinary or  | 
non-disciplinary action with regard to a person registered  | 
under this Act, including, but not limited to, the imposition  | 
of fines not to exceed $10,000 for each violation and the  | 
 | 
assessment of costs as provided for in Section 90, for any one  | 
or combination of the following causes: | 
  (1) Making a material misstatement in furnishing  | 
 information to the Department. | 
  (2) Violating a provision of this Act or rules adopted  | 
 under this Act. | 
  (3) Conviction by plea of guilty or nolo contendere,  | 
 finding of guilt, jury verdict, or entry of judgment or by  | 
 sentencing of any crime, including, but not limited to,  | 
 convictions, preceding sentences of supervision,  | 
 conditional discharge, or first offender probation, under  | 
 the laws of any jurisdiction of the United States that is  | 
 (i) a felony or (ii) a misdemeanor, an essential element  | 
 of which is dishonesty, or that is directly related to the  | 
 practice of the profession. | 
  (4) Fraud or misrepresentation in applying for,  | 
 renewing, restoring, reinstating, or procuring a  | 
 registration under this Act. | 
  (5) Aiding or assisting another person in violating a  | 
 provision of this Act or its rules. | 
  (6) Failing to provide information within 60 days in  | 
 response to a written request made by the Department. | 
  (7) Engaging in dishonorable, unethical, or  | 
 unprofessional conduct of a character likely to deceive,  | 
 defraud, or harm the public, as defined by rule of the  | 
 Department. | 
 | 
  (8) Discipline by another United States jurisdiction,  | 
 governmental agency, unit of government, or foreign  | 
 nation, if at least one of the grounds for discipline is  | 
 the same or substantially equivalent to those set forth in  | 
 this Section. | 
  (9) 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 services not actually or personally rendered.  | 
 Nothing in this paragraph (9) affects any bona fide  | 
 independent contractor or employment arrangements among  | 
 health care professionals, health facilities, health care  | 
 providers, or other entities, except as otherwise  | 
 prohibited by law. Any employment arrangements may include  | 
 provisions for compensation, health insurance, pension, or  | 
 other employment benefits for the provision of services  | 
 within the scope of the registrant's practice under this  | 
 Act. Nothing in this paragraph (9) shall be construed to  | 
 require an employment arrangement to receive professional  | 
 fees for services rendered.  | 
  (10) A finding by the Department that the registrant,  | 
 after having the registration placed on probationary  | 
 status, has violated the terms of probation. | 
  (11) Willfully making or filing false records or  | 
 reports in the practice, including, but not limited to,  | 
 false records or reports filed with State agencies. | 
 | 
  (12) Willfully making or signing a false statement,  | 
 certificate, or affidavit to induce payment. | 
  (13) Willfully failing to report an instance of  | 
 suspected child abuse or neglect as required under the  | 
 Abused and Neglected Child Reporting Act. | 
  (14) Being named as a perpetrator in an indicated  | 
 report by the Department of Children and Family Services  | 
 under the Abused and Neglected Child Reporting Act and  | 
 upon proof by clear and convincing evidence that the  | 
 registrant has caused a child to be an abused child or  | 
 neglected child as defined in the Abused and Neglected  | 
 Child Reporting Act. | 
  (15) (Blank). | 
  (16) Failure to report to the Department (A) any  | 
 adverse final action taken against the registrant by  | 
 another registering or licensing jurisdiction, government  | 
 agency, law enforcement agency, or any court or (B)  | 
 liability for conduct that would constitute grounds for  | 
 action as set forth in this Section. | 
  (17) Habitual or excessive use or abuse of drugs  | 
 defined in law as controlled substances, alcohol, or any  | 
 other substance that results in the inability to practice  | 
 with reasonable judgment, skill, or safety. | 
  (18) Physical or mental illness, including, but not  | 
 limited to, deterioration through the aging process or  | 
 loss of motor skills, which results in the inability to  | 
 | 
 practice the profession for which the person is registered  | 
 with reasonable judgment, skill, or safety. | 
  (19) Gross malpractice. | 
  (20) Immoral conduct in the commission of an act  | 
 related to the registrant's practice, including, but not  | 
 limited to, sexual abuse, sexual misconduct, or sexual  | 
 exploitation. | 
  (21) Violation of the Health Care Worker Self-Referral  | 
 Act. | 
 (b) The Department may refuse to issue or may suspend  | 
without hearing the registration of a person who fails to file  | 
a return, to pay the tax, penalty, or interest shown in a filed  | 
return, or to pay a final assessment of the tax, penalty, or  | 
interest as required by a tax Act administered by the  | 
Department of Revenue, until the requirements of the tax Act  | 
are satisfied in accordance with subsection (g) of Section  | 
2105-15 of the Department of Regulation Law of the Civil  | 
Administrative Code of Illinois. | 
 (b-1) The Department shall not revoke, suspend, summarily  | 
suspend, place on probation, reprimand, refuse to issue or  | 
renew, or take any other disciplinary or non-disciplinary  | 
action against the license issued under this Act to practice  | 
as a registered surgical assistant or registered surgical  | 
technologist based solely upon the registered surgical  | 
assistant or registered surgical technologist providing,  | 
authorizing, recommending, aiding, assisting, referring for,  | 
 | 
or otherwise participating in any health care service, so long  | 
as the care was not unlawful under the laws of this State,  | 
regardless of whether the patient was a resident of this State  | 
or another state. | 
 (b-2) The Department shall not revoke, suspend, summarily  | 
suspend, place on prohibition, reprimand, refuse to issue or  | 
renew, or take any other disciplinary or non-disciplinary  | 
action against the license issued under this Act to practice  | 
as a registered surgical assistant or registered surgical  | 
technologist based upon the registered surgical assistant's or  | 
registered surgical technologist's license being revoked or  | 
suspended, or the registered surgical assistant's or  | 
registered surgical technologist's being otherwise disciplined  | 
by any other state, if that revocation, suspension, or other  | 
form of discipline was based solely on the registered surgical  | 
assistant or registered surgical technologist violating  | 
another state's laws prohibiting the provision of,  | 
authorization of, recommendation of, aiding or assisting in,  | 
referring for, or participation in any health care service if  | 
that health care service as provided would not have been  | 
unlawful under the laws of this State and is consistent with  | 
the standards of conduct for the registered surgical assistant  | 
or registered surgical technologist practicing in this State.  | 
 (b-3) The conduct specified in subsection (b-1) or (b-2)  | 
shall not constitute grounds for suspension under Section 145.  | 
 (b-4) An applicant seeking licensure, certification, or  | 
 | 
authorization pursuant to this Act who has been subject to  | 
disciplinary action by a duly authorized professional  | 
disciplinary agency of another jurisdiction solely on the  | 
basis of having provided, authorized, recommended, aided,  | 
assisted, referred for, or otherwise participated in health  | 
care shall not be denied such licensure, certification, or  | 
authorization, unless the Department determines that such  | 
action would have constituted professional misconduct in this  | 
State. Nothing in this Section shall be construed as  | 
prohibiting the Department from evaluating the conduct of such  | 
applicant and making a determination regarding the licensure,  | 
certification, or authorization to practice a profession under  | 
this Act.  | 
 (c) The determination by a circuit court that a registrant  | 
is subject to involuntary admission or judicial admission as  | 
provided in the Mental Health and Developmental Disabilities  | 
Code operates as an automatic suspension. The suspension will  | 
end only upon (1) a finding by a court that the patient is no  | 
longer subject to involuntary admission or judicial admission,  | 
(2) issuance of an order so finding and discharging the  | 
patient, and (3) filing of a petition for restoration  | 
demonstrating fitness to practice. | 
 (d) (Blank). | 
 (e) In cases where the Department of Healthcare and Family  | 
Services has previously determined a registrant or a potential  | 
registrant is more than 30 days delinquent in the payment of  | 
 | 
child support and has subsequently certified the delinquency  | 
to the Department, the Department may refuse to issue or renew  | 
or may revoke or suspend that person's registration 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 paragraph (5) of subsection (a) of Section 2105-15 of the  | 
Department of Professional Regulation Law of the Civil  | 
Administrative Code of Illinois. | 
 (f) In enforcing this Section, the Department, upon a  | 
showing of a possible violation, may compel any individual  | 
registered under this Act or any individual who has applied  | 
for registration to submit to a mental or physical examination  | 
and evaluation, or both, that may include a substance abuse or  | 
sexual offender evaluation, at the expense of the Department.  | 
The Department shall specifically designate the examining  | 
physician licensed to practice medicine in all of its branches  | 
or, if applicable, the multidisciplinary team involved in  | 
providing the mental or physical examination and evaluation,  | 
or both. The multidisciplinary team shall be led by a  | 
physician licensed to practice medicine in all of its branches  | 
and may consist of one or more or a combination of physicians  | 
licensed to practice medicine in all of its branches, licensed  | 
chiropractic physicians, licensed clinical psychologists,  | 
licensed clinical social workers, licensed clinical  | 
professional counselors, and other professional and  | 
 | 
administrative staff. Any examining physician or member of the  | 
multidisciplinary team may require any person ordered to  | 
submit to an examination and evaluation pursuant to this  | 
Section to submit to any additional supplemental testing  | 
deemed necessary to complete any examination or evaluation  | 
process, including, but not limited to, blood testing,  | 
urinalysis, psychological testing, or neuropsychological  | 
testing. | 
 The Department may order the examining physician or any  | 
member of the multidisciplinary team to provide to the  | 
Department any and all records, including business records,  | 
that relate to the examination and evaluation, including any  | 
supplemental testing performed. The Department may order the  | 
examining physician or any member of the multidisciplinary  | 
team to present testimony concerning this examination and  | 
evaluation of the registrant or applicant, including testimony  | 
concerning any supplemental testing or documents relating to  | 
the examination and evaluation. No information, report,  | 
record, or other documents in any way related to the  | 
examination and evaluation shall be excluded by reason of any  | 
common law or statutory privilege relating to communication  | 
between the registrant or applicant and the examining  | 
physician or any member of the multidisciplinary team. No  | 
authorization is necessary from the registrant or applicant  | 
ordered to undergo an evaluation and examination for the  | 
examining physician or any member of the multidisciplinary  | 
 | 
team to provide information, reports, records, or other  | 
documents or to provide any testimony regarding the  | 
examination and evaluation. The individual to be examined may  | 
have, at the individual's own expense, another physician of  | 
the individual's choice present during all aspects of the  | 
examination. | 
 Failure of any individual to submit to mental or physical  | 
examination and evaluation, or both, when directed, shall  | 
result in an automatic suspension without a hearing until such  | 
time as the individual submits to the examination. If the  | 
Department finds a registrant unable to practice because of  | 
the reasons set forth in this Section, the Department shall  | 
require such registrant to submit to care, counseling, or  | 
treatment by physicians approved or designated by the  | 
Department as a condition for continued, reinstated, or  | 
renewed registration. | 
 When the Secretary immediately suspends a registration  | 
under this Section, a hearing upon such person's registration  | 
must be convened by the Department within 15 days after such  | 
suspension and completed without appreciable delay. The  | 
Department shall have the authority to review the registrant'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. | 
 Individuals registered under this Act and affected under  | 
 | 
this Section shall be afforded an opportunity to demonstrate  | 
to the Department that they can resume practice in compliance  | 
with acceptable and prevailing standards under the provisions  | 
of their registration. | 
 (g) All fines imposed under this Section shall be paid  | 
within 60 days after the effective date of the order imposing  | 
the fine or in accordance with the terms set forth in the order  | 
imposing the fine.  | 
 (f) The Department may adopt rules to implement the  | 
changes made by Public Act 102-1117 this amendatory Act of the  | 
102nd General Assembly.  | 
(Source: P.A. 102-1117, eff. 1-13-23; 103-387, eff. 1-1-24;  | 
revised 12-15-23.)
 | 
 Section 420. The Solid Waste Site Operator Certification  | 
Law is amended by changing Section 1011 as follows:
 | 
 (225 ILCS 230/1011) | 
 Sec. 1011. Fees.  | 
 (a) Fees for the issuance or renewal of a Solid Waste Site  | 
Operator Certificate shall be as follows: | 
  (1)(A) $400 for issuance or renewal for Solid Waste  | 
 Site Operators;  | 
  (B) (blank); and  | 
  (C) $100 for issuance or renewal for special waste  | 
 endorsements. | 
 | 
 (2) If the fee for renewal is not paid within the grace  | 
period, the above fees for renewal shall each be increased by  | 
$50. | 
 (b) (Blank). | 
 (c) All fees collected by the Agency under this Section  | 
shall be deposited into the Environmental Protection Permit  | 
and Inspection Fund to be used in accordance with the  | 
provisions of subsection (a) of Section 22.8 of the  | 
Environmental Protection Act.  | 
(Source: P.A. 102-1017, eff. 1-1-23; 102-1071, eff. 6-10-22;  | 
103-154, eff. 6-30-23; revised 9-21-23.)
 | 
 Section 425. The Illinois Plumbing License Law is amended  | 
by changing Section 13.1 as follows:
 | 
 (225 ILCS 320/13.1) | 
 Sec. 13.1. Plumbing contractors; registration;  | 
applications.  | 
 (1) On and after May 1, 2002, all persons or corporations  | 
desiring to engage in the business of plumbing contractor,  | 
other than any entity that maintains an audited net worth of  | 
shareholders' equity equal to or exceeding $100,000,000, shall  | 
register in accordance with the provisions of this Act. | 
 (2) Application for registration shall be filed with the  | 
Department each year, on or before the last day of September,  | 
in writing and on forms prepared and furnished by the  | 
 | 
Department. All plumbing contractor registrations expire on  | 
the last day of September of each year. | 
 (3) Applications shall contain the name, address, and  | 
telephone number of the person and the plumbing license of (i)  | 
the individual, if a sole proprietorship; (ii) the partner, if  | 
a partnership; or (iii) an officer, if a corporation. The  | 
application shall contain the business name, address, and  | 
telephone number, a current copy of the plumbing license, and  | 
any other information the Department may require by rule. | 
 (4) Applicants shall submit an original certificate of  | 
insurance documenting that the contractor carries general  | 
liability insurance with a minimum of $100,000 per occurrence,  | 
a minimum of $300,000 aggregate for bodily injury, property  | 
damage insurance with a minimum of $50,000 or a minimum of  | 
$300,000 combined single limit, and workers compensation  | 
insurance with a minimum $500,000 employer's liability. No  | 
registration may be issued in the absence of this certificate.  | 
Certificates must be in force at all times for registration to  | 
remain valid. | 
 (5) Applicants shall submit, on a form provided by the  | 
Department, an indemnification bond in the amount of $20,000  | 
or a letter of credit in the same amount for work performed in  | 
accordance with this Act and the rules promulgated under this  | 
Act. | 
 (5.5) The Department, upon notification by the Illinois  | 
Workers' Compensation Commission or the Department of  | 
 | 
Insurance, shall refuse the issuance or renewal of a license  | 
to, or suspend or revoke the license of, any individual,  | 
corporation, partnership, or other business entity that has  | 
been found by the Illinois Workers' Compensation Commission or  | 
the Department of Insurance to have failed:  | 
  (a) to secure workers' compensation obligations in the  | 
 manner required by subsections (a) and (b) of Section 4 of  | 
 the Workers' Compensation Act;  | 
  (b) to pay in full a fine or penalty imposed by the  | 
 Illinois Workers' Compensation Commission or the  | 
 Department of Insurance due to a failure to secure  | 
 workers' compensation obligations in the manner required  | 
 by subsections (a) and (b) of Section 4 of the Workers'  | 
 Compensation Act; or  | 
  (c) to fulfill all obligations assumed pursuant to any  | 
 settlement reached with the Illinois Workers' Compensation  | 
 Commission or the Department of Insurance due to a failure  | 
 to secure workers' compensation obligations in the manner  | 
 required by subsections (a) and (b) of Section 4 of the  | 
 Workers' Compensation Act.  | 
 A complaint filed with the Department by the Illinois  | 
Workers' Compensation Commission or the Department of  | 
Insurance that includes a certification, signed by its  | 
Director or Chairman or designee, attesting to a finding of  | 
the failure to secure workers' compensation obligations in the  | 
manner required by subsections (a) and (b) of Section 4 of the  | 
 | 
Workers' Compensation Act or the failure to pay any fines or  | 
penalties or to discharge any obligation under a settlement  | 
relating to the failure to secure workers' compensation  | 
obligations in the manner required by subsections (a) and (b)  | 
of Section 4 of the Workers' Compensation Act is prima facie  | 
evidence of the licensee's or applicant's failure to comply  | 
with subsections (a) and (b) of Section 4 of the Workers'  | 
Compensation Act. Upon receipt of that certification, the  | 
Department shall, without a hearing, immediately suspend all  | 
licenses held by the licensee or the processing of any  | 
application from the applicant. Enforcement of the  | 
Department's order shall be stayed for 60 days. The Department  | 
shall provide notice of the suspension to the licensee by  | 
mailing a copy of the Department's order to the licensee's or  | 
applicant's address of record or emailing a copy of the order  | 
to the licensee's or applicant's email address of record. The  | 
notice shall advise the licensee or applicant that the  | 
suspension shall be effective 60 days after the issuance of  | 
the order unless the Department receives, from the licensee or  | 
applicant, a request for a hearing before the Department to  | 
dispute the matters contained in the order. | 
 Upon receiving notice from the Illinois Workers'  | 
Compensation Commission or the Department of Insurance that  | 
the violation has been corrected or otherwise resolved, the  | 
Department shall vacate the order suspending a licensee's  | 
license or the processing of an applicant's application. | 
 | 
 No license shall be suspended or revoked until after the  | 
licensee is afforded any due process protection guaranteed by  | 
statute or rule adopted by the Illinois Workers' Compensation  | 
Commission or the Department of Insurance.  | 
 (6) All employees of a registered plumbing contractor who  | 
engage in plumbing work shall be licensed plumbers or  | 
apprentice plumbers in accordance with this Act. | 
 (7) Plumbing contractors shall submit an annual  | 
registration fee in an amount to be established by rule. | 
 (8) The Department shall be notified in advance of any  | 
changes in the business structure, name, or location or of the  | 
addition or deletion of the owner or officer who is the  | 
licensed plumber listed on the application. Failure to notify  | 
the Department of this information is grounds for suspension  | 
or revocation of the plumbing contractor's registration. | 
 (9) In the event that the plumber's license on the  | 
application for registration of a plumbing contractor is a  | 
license issued by the City of Chicago, it shall be the  | 
responsibility of the applicant to forward a copy of the  | 
plumber's license to the Department, noting the name of the  | 
registered plumbing contractor, when it is renewed. In the  | 
event that the plumbing contractor's registration is suspended  | 
or revoked, the Department shall notify the City of Chicago  | 
and any corresponding plumbing contractor's license issued by  | 
the City of Chicago shall be suspended or revoked.  | 
(Source: P.A. 103-26, eff. 1-1-24; revised 1-2-24.)
 | 
 | 
 Section 430. The Timber Buyers Licensing Act is amended by  | 
changing Section 2 as follows:
 | 
 (225 ILCS 735/2) (from Ch. 111, par. 702) | 
 Sec. 2. Definitions. When used in this Act, unless the  | 
context otherwise requires, the term: | 
 "Agent" means any person acting on behalf of a timber  | 
buyer, employed by a timber buyer, or under an agreement,  | 
whether oral or written, with a timber buyer who buys timber,  | 
attempts to buy timber, procures contracts for the purchase or  | 
cutting of timber, or attempts to procure contracts for the  | 
purchase or cutting of timber.  | 
 "Buying timber" means to buy, barter, cut on shares, or  | 
offer to buy, barter, cut on shares, or take possession of  | 
timber with the consent of the timber grower.  | 
 "Department" means the Department of Natural Resources.  | 
 "Director" means the Director of Natural Resources.  | 
 "Good standing" means any person who is not:  | 
  (1) currently serving a sentence of probation, or  | 
 conditional discharge, for a violation of this Act or  | 
 administrative rules adopted under this Act;  | 
  (2) owes any amount of money pursuant to a civil  | 
 judgment regarding the sale, cutting, or transportation of  | 
 timber;  | 
  (3) owes the Department any required fee, payment, or  | 
 | 
 money required under this Act; or  | 
  (4) is currently serving a suspension or revocation of  | 
 any privilege that is granted under this Act.  | 
 "Liability insurance" means not less than $500,000 in  | 
insurance covering a timber buyer's business and agents that  | 
shall insure against the liability of the insured for the  | 
death, injury, or disability of an employee or other person  | 
and insurance against the liability of the insured for damage  | 
to or destruction of another person's property.  | 
 "Payment receipt" means copy or duplicate of an original  | 
receipt of payment for timber to a timber grower or duplicate  | 
of electronic or direct payment verification of funds received  | 
by timber grower.  | 
 "Person" means any person, partnership, firm, association,  | 
business trust, limited liability company, or corporation. | 
 "Proof of ownership" means a printed document provided by  | 
the Department that serves as a written bill of lading.  | 
 "Resident" means a person who in good faith makes  | 
application for any license or permit and verifies by  | 
statement that the person has maintained the person's  | 
permanent abode or headquarters in this State for a period of  | 
at least 30 consecutive days immediately preceding the  | 
person's application and who does not maintain a permanent  | 
abode or headquarters or claim residency in another state for  | 
the purposes of obtaining any of the same or similar licenses  | 
or permits covered by this Act. A person's permanent abode or  | 
 | 
headquarters is the person's fixed and permanent dwelling  | 
place or main location where the person conducts business, as  | 
distinguished from a temporary or transient place of residence  | 
or location.  | 
 "Timber" means trees, standing or felled, and parts  | 
thereof which can be used for sawing or processing into lumber  | 
for building or structural purposes or for the manufacture of  | 
any article. "Timber" does not include firewood, Christmas  | 
trees, fruit or ornamental trees, or wood products not used or  | 
to be used for building, structural, manufacturing, or  | 
processing purposes. | 
 "Timber buyer" means any person licensed or unlicensed,  | 
who is engaged in the business of buying timber from the timber  | 
growers thereof for sawing into lumber, for processing or for  | 
resale, but does not include any person who occasionally  | 
purchases timber for sawing or processing for the person's own  | 
use and not for resale. | 
 "Timber grower" means the owner, tenant, or operator of  | 
land in this State who has an interest in, or is entitled to  | 
receive any part of the proceeds from the sale of timber grown  | 
in this State and includes persons exercising authority to  | 
sell timber. | 
 "Transporter" means any person acting on behalf of a  | 
timber buyer, employed by a timber buyer, or under an  | 
agreement, whether oral or written, with a timber buyer who  | 
takes or carries timber from one place to another by means of a  | 
 | 
motor vehicle.  | 
 .  | 
(Source: P.A. 103-218, eff. 1-1-24; revised 1-2-24.)
 | 
 Section 435. The Illinois Horse Racing Act of 1975 is  | 
amended by changing Sections 30 and 31 as follows:
 | 
 (230 ILCS 5/30) (from Ch. 8, par. 37-30) | 
 Sec. 30. (a) The General Assembly declares that it is the  | 
policy of this State to encourage the breeding of thoroughbred  | 
horses in this State and the ownership of such horses by  | 
residents of this State in order to provide for: sufficient  | 
numbers of high quality thoroughbred horses to participate in  | 
thoroughbred racing meetings in this State, and to establish  | 
and preserve the agricultural and commercial benefits of such  | 
breeding and racing industries to the State of Illinois. It is  | 
the intent of the General Assembly to further this policy by  | 
the provisions of this Act. | 
 (b) Each organization licensee conducting a thoroughbred  | 
racing meeting pursuant to this Act shall provide at least two  | 
races each day limited to Illinois conceived and foaled horses  | 
or Illinois foaled horses or both. A minimum of 6 races shall  | 
be conducted each week limited to Illinois conceived and  | 
foaled or Illinois foaled horses or both. No horses shall be  | 
permitted to start in such races unless duly registered under  | 
the rules of the Department of Agriculture. | 
 | 
 (c) Conditions of races under subsection (b) shall be  | 
commensurate with past performance, quality, and class of  | 
Illinois conceived and foaled and Illinois foaled horses  | 
available. If, however, sufficient competition cannot be had  | 
among horses of that class on any day, the races may, with  | 
consent of the Board, be eliminated for that day and  | 
substitute races provided. | 
 (d) There is hereby created a special fund of the State  | 
treasury Treasury to be known as the Illinois Thoroughbred  | 
Breeders Fund.  | 
 Beginning on June 28, 2019 (the effective date of Public  | 
Act 101-31), the Illinois Thoroughbred Breeders Fund shall  | 
become a non-appropriated trust fund held separate from State  | 
moneys. Expenditures from this Fund shall no longer be subject  | 
to appropriation.  | 
 Except as provided in subsection (g) of Section 27 of this  | 
Act, 8.5% of all the monies received by the State as privilege  | 
taxes on Thoroughbred racing meetings shall be paid into the  | 
Illinois Thoroughbred Breeders Fund. | 
 Notwithstanding any provision of law to the contrary,  | 
amounts deposited into the Illinois Thoroughbred Breeders Fund  | 
from revenues generated by gaming pursuant to an organization  | 
gaming license issued under the Illinois Gambling Act after  | 
June 28, 2019 (the effective date of Public Act 101-31) shall  | 
be in addition to tax and fee amounts paid under this Section  | 
for calendar year 2019 and thereafter.  | 
 | 
 (e) The Illinois Thoroughbred Breeders Fund shall be  | 
administered by the Department of Agriculture with the advice  | 
and assistance of the Advisory Board created in subsection (f)  | 
of this Section. | 
 (f) The Illinois Thoroughbred Breeders Fund Advisory Board  | 
shall consist of the Director of the Department of  | 
Agriculture, who shall serve as Chairman; a member of the  | 
Illinois Racing Board, designated by it; 2 representatives of  | 
the organization licensees conducting thoroughbred racing  | 
meetings, recommended by them; 2 representatives of the  | 
Illinois Thoroughbred Breeders and Owners Foundation,  | 
recommended by it; one representative of the Horsemen's  | 
Benevolent Protective Association; and one representative from  | 
the Illinois Thoroughbred Horsemen's Association. Advisory  | 
Board members shall serve for 2 years commencing January 1 of  | 
each odd numbered year. If representatives of the organization  | 
licensees conducting thoroughbred racing meetings, the  | 
Illinois Thoroughbred Breeders and Owners Foundation, the  | 
Horsemen's Benevolent Protection Association, and the Illinois  | 
Thoroughbred Horsemen's Association have not been recommended  | 
by January 1, of each odd numbered year, the Director of the  | 
Department of Agriculture shall make an appointment for the  | 
organization failing to so recommend a member of the Advisory  | 
Board. Advisory Board members shall receive no compensation  | 
for their services as members but shall be reimbursed for all  | 
actual and necessary expenses and disbursements incurred in  | 
 | 
the execution of their official duties. | 
 (g) Monies expended from the Illinois Thoroughbred  | 
Breeders Fund shall be expended by the Department of  | 
Agriculture, with the advice and assistance of the Illinois  | 
Thoroughbred Breeders Fund Advisory Board, for the following  | 
purposes only: | 
  (1) To provide purse supplements to owners of horses  | 
 participating in races limited to Illinois conceived and  | 
 foaled and Illinois foaled horses. Any such purse  | 
 supplements shall not be included in and shall be paid in  | 
 addition to any purses, stakes, or breeders' awards  | 
 offered by each organization licensee as determined by  | 
 agreement between such organization licensee and an  | 
 organization representing the horsemen. No monies from the  | 
 Illinois Thoroughbred Breeders Fund shall be used to  | 
 provide purse supplements for claiming races in which the  | 
 minimum claiming price is less than $7,500. | 
  (2) To provide stakes and awards to be paid to the  | 
 owners of the winning horses in certain races limited to  | 
 Illinois conceived and foaled and Illinois foaled horses  | 
 designated as stakes races.  | 
  (2.5) To provide an award to the owner or owners of an  | 
 Illinois conceived and foaled or Illinois foaled horse  | 
 that wins a maiden special weight, an allowance, overnight  | 
 handicap race, or claiming race with claiming price of  | 
 $10,000 or more providing the race is not restricted to  | 
 | 
 Illinois conceived and foaled or Illinois foaled horses.  | 
 Awards shall also be provided to the owner or owners of  | 
 Illinois conceived and foaled and Illinois foaled horses  | 
 that place second or third in those races. To the extent  | 
 that additional moneys are required to pay the minimum  | 
 additional awards of 40% of the purse the horse earns for  | 
 placing first, second, or third in those races for  | 
 Illinois foaled horses and of 60% of the purse the horse  | 
 earns for placing first, second, or third in those races  | 
 for Illinois conceived and foaled horses, those moneys  | 
 shall be provided from the purse account at the track  | 
 where earned. | 
  (3) To provide stallion awards to the owner or owners  | 
 of any stallion that is duly registered with the Illinois  | 
 Thoroughbred Breeders Fund Program whose duly registered  | 
 Illinois conceived and foaled offspring wins a race  | 
 conducted at an Illinois thoroughbred racing meeting other  | 
 than a claiming race, provided that the stallion stood  | 
 service within Illinois at the time the offspring was  | 
 conceived and that the stallion did not stand for service  | 
 outside of Illinois at any time during the year in which  | 
 the offspring was conceived. | 
  (4) To provide $75,000 annually for purses to be  | 
 distributed to county fairs that provide for the running  | 
 of races during each county fair exclusively for the  | 
 thoroughbreds conceived and foaled in Illinois. The  | 
 | 
 conditions of the races shall be developed by the county  | 
 fair association and reviewed by the Department with the  | 
 advice and assistance of the Illinois Thoroughbred  | 
 Breeders Fund Advisory Board. There shall be no wagering  | 
 of any kind on the running of Illinois conceived and  | 
 foaled races at county fairs. | 
  (4.1) To provide purse money for an Illinois stallion  | 
 stakes program. | 
  (5) No less than 90% of all monies expended from the  | 
 Illinois Thoroughbred Breeders Fund shall be expended for  | 
 the purposes in (1), (2), (2.5), (3), (4), (4.1), and (5)  | 
 as shown above. | 
  (6) To provide for educational programs regarding the  | 
 thoroughbred breeding industry. | 
  (7) To provide for research programs concerning the  | 
 health, development and care of the thoroughbred horse. | 
  (8) To provide for a scholarship and training program  | 
 for students of equine veterinary medicine. | 
  (9) To provide for dissemination of public information  | 
 designed to promote the breeding of thoroughbred horses in  | 
 Illinois. | 
  (10) To provide for all expenses incurred in the  | 
 administration of the Illinois Thoroughbred Breeders Fund. | 
 (h) The Illinois Thoroughbred Breeders Fund is not subject  | 
to administrative charges or chargebacks, including, but not  | 
limited to, those authorized under Section 8h of the State  | 
 | 
Finance Act. | 
 (i) A sum equal to 13% of the first prize money of every  | 
purse won by an Illinois foaled or Illinois conceived and  | 
foaled horse in races not limited to Illinois foaled horses or  | 
Illinois conceived and foaled horses, or both, shall be paid  | 
by the organization licensee conducting the horse race  | 
meeting. Such sum shall be paid 50% from the organization  | 
licensee's share of the money wagered and 50% from the purse  | 
account as follows: 11 1/2% to the breeder of the winning horse  | 
and 1 1/2% to the organization representing thoroughbred  | 
breeders and owners who representative serves on the Illinois  | 
Thoroughbred Breeders Fund Advisory Board for verifying the  | 
amounts of breeders' awards earned, ensuring their  | 
distribution in accordance with this Act, and servicing and  | 
promoting the Illinois thoroughbred horse racing industry.  | 
Beginning in the calendar year in which an organization  | 
licensee that is eligible to receive payments under paragraph  | 
(13) of subsection (g) of Section 26 of this Act begins to  | 
receive funds from gaming pursuant to an organization gaming  | 
license issued under the Illinois Gambling Act, a sum equal to  | 
21 1/2% of the first prize money of every purse won by an  | 
Illinois foaled or an Illinois conceived and foaled horse in  | 
races not limited to an Illinois conceived and foaled horse,  | 
or both, shall be paid 30% from the organization licensee's  | 
account and 70% from the purse account as follows: 20% to the  | 
breeder of the winning horse and 1 1/2% to the organization  | 
 | 
representing thoroughbred breeders and owners whose  | 
representatives serve on the Illinois Thoroughbred Breeders  | 
Fund Advisory Board for verifying the amounts of breeders'  | 
awards earned, ensuring their distribution in accordance with  | 
this Act, and servicing and promoting the Illinois  | 
Thoroughbred racing industry. The organization representing  | 
thoroughbred breeders and owners shall cause all expenditures  | 
of monies received under this subsection (i) to be audited at  | 
least annually by a registered public accountant. The  | 
organization shall file copies of each annual audit with the  | 
Racing Board, the Clerk of the House of Representatives and  | 
the Secretary of the Senate, and shall make copies of each  | 
annual audit available to the public upon request and upon  | 
payment of the reasonable cost of photocopying the requested  | 
number of copies. Such payments shall not reduce any award to  | 
the owner of the horse or reduce the taxes payable under this  | 
Act. Upon completion of its racing meet, each organization  | 
licensee shall deliver to the organization representing  | 
thoroughbred breeders and owners whose representative serves  | 
on the Illinois Thoroughbred Breeders Fund Advisory Board a  | 
listing of all the Illinois foaled and the Illinois conceived  | 
and foaled horses which won breeders' awards and the amount of  | 
such breeders' awards under this subsection to verify accuracy  | 
of payments and assure proper distribution of breeders' awards  | 
in accordance with the provisions of this Act. Such payments  | 
shall be delivered by the organization licensee within 30 days  | 
 | 
of the end of each race meeting. | 
 (j) A sum equal to 13% of the first prize money won in  | 
every race limited to Illinois foaled horses or Illinois  | 
conceived and foaled horses, or both, shall be paid in the  | 
following manner by the organization licensee conducting the  | 
horse race meeting, 50% from the organization licensee's share  | 
of the money wagered and 50% from the purse account as follows:  | 
11 1/2% to the breeders of the horses in each such race which  | 
are the official first, second, third, and fourth finishers  | 
and 1 1/2% to the organization representing thoroughbred  | 
breeders and owners whose representatives serve on the  | 
Illinois Thoroughbred Breeders Fund Advisory Board for  | 
verifying the amounts of breeders' awards earned, ensuring  | 
their proper distribution in accordance with this Act, and  | 
servicing and promoting the Illinois horse racing industry.  | 
Beginning in the calendar year in which an organization  | 
licensee that is eligible to receive payments under paragraph  | 
(13) of subsection (g) of Section 26 of this Act begins to  | 
receive funds from gaming pursuant to an organization gaming  | 
license issued under the Illinois Gambling Act, a sum of 21  | 
1/2% of every purse in a race limited to Illinois foaled horses  | 
or Illinois conceived and foaled horses, or both, shall be  | 
paid by the organization licensee conducting the horse race  | 
meeting. Such sum shall be paid 30% from the organization  | 
licensee's account and 70% from the purse account as follows:  | 
20% to the breeders of the horses in each such race who are  | 
 | 
official first, second, third and fourth finishers and 1 1/2%  | 
to the organization representing thoroughbred breeders and  | 
owners whose representatives serve on the Illinois  | 
Thoroughbred Breeders Fund Advisory Board for verifying the  | 
amounts of breeders' awards earned, ensuring their proper  | 
distribution in accordance with this Act, and servicing and  | 
promoting the Illinois thoroughbred horse racing industry. The  | 
organization representing thoroughbred breeders and owners  | 
shall cause all expenditures of moneys received under this  | 
subsection (j) to be audited at least annually by a registered  | 
public accountant. The organization shall file copies of each  | 
annual audit with the Racing Board, the Clerk of the House of  | 
Representatives and the Secretary of the Senate, and shall  | 
make copies of each annual audit available to the public upon  | 
request and upon payment of the reasonable cost of  | 
photocopying the requested number of copies. The copies of the  | 
audit to the General Assembly shall be filed with the Clerk of  | 
the House of Representatives and the Secretary of the Senate  | 
in electronic form only, in the manner that the Clerk and the  | 
Secretary shall direct. | 
 The amounts paid to the breeders in accordance with this  | 
subsection shall be distributed as follows: | 
  (1) 60% of such sum shall be paid to the breeder of the  | 
 horse which finishes in the official first position; | 
  (2) 20% of such sum shall be paid to the breeder of the  | 
 horse which finishes in the official second position; | 
 | 
  (3) 15% of such sum shall be paid to the breeder of the  | 
 horse which finishes in the official third position; and | 
  (4) 5% of such sum shall be paid to the breeder of the  | 
 horse which finishes in the official fourth position. | 
 Such payments shall not reduce any award to the owners of a  | 
horse or reduce the taxes payable under this Act. Upon  | 
completion of its racing meet, each organization licensee  | 
shall deliver to the organization representing thoroughbred  | 
breeders and owners whose representative serves on the  | 
Illinois Thoroughbred Breeders Fund Advisory Board a listing  | 
of all the Illinois foaled and the Illinois conceived and  | 
foaled horses which won breeders' awards and the amount of  | 
such breeders' awards in accordance with the provisions of  | 
this Act. Such payments shall be delivered by the organization  | 
licensee within 30 days of the end of each race meeting. | 
 (k) The term "breeder", as used herein, means the owner of  | 
the mare at the time the foal is dropped. An "Illinois foaled  | 
horse" is a foal dropped by a mare which enters this State on  | 
or before December 1, in the year in which the horse is bred,  | 
provided the mare remains continuously in this State until its  | 
foal is born. An "Illinois foaled horse" also means a foal born  | 
of a mare in the same year as the mare enters this State on or  | 
before March 1, and remains in this State at least 30 days  | 
after foaling, is bred back during the season of the foaling to  | 
an Illinois Registered Stallion (unless a veterinarian  | 
certifies that the mare should not be bred for health  | 
 | 
reasons), and is not bred to a stallion standing in any other  | 
state during the season of foaling. An "Illinois foaled horse"  | 
also means a foal born in Illinois of a mare purchased at  | 
public auction subsequent to the mare entering this State on  | 
or before March 1 of the foaling year providing the mare is  | 
owned solely by one or more Illinois residents or an Illinois  | 
entity that is entirely owned by one or more Illinois  | 
residents.  | 
 (l) The Department of Agriculture shall, by rule, with the  | 
advice and assistance of the Illinois Thoroughbred Breeders  | 
Fund Advisory Board: | 
  (1) Qualify stallions for Illinois breeding; such  | 
 stallions to stand for service within the State of  | 
 Illinois at the time of a foal's conception. Such stallion  | 
 must not stand for service at any place outside the State  | 
 of Illinois during the calendar year in which the foal is  | 
 conceived. The Department of Agriculture may assess and  | 
 collect an application fee of up to $500 for the  | 
 registration of Illinois-eligible stallions. All fees  | 
 collected are to be held in trust accounts for the  | 
 purposes set forth in this Act and in accordance with  | 
 Section 205-15 of the Department of Agriculture Law. | 
  (2) Provide for the registration of Illinois conceived  | 
 and foaled horses and Illinois foaled horses. No such  | 
 horse shall compete in the races limited to Illinois  | 
 conceived and foaled horses or Illinois foaled horses or  | 
 | 
 both unless registered with the Department of Agriculture.  | 
 The Department of Agriculture may prescribe such forms as  | 
 are necessary to determine the eligibility of such horses.  | 
 The Department of Agriculture may assess and collect  | 
 application fees for the registration of Illinois-eligible  | 
 foals. All fees collected are to be held in trust accounts  | 
 for the purposes set forth in this Act and in accordance  | 
 with Section 205-15 of the Department of Agriculture Law.  | 
 No person shall knowingly prepare or cause preparation of  | 
 an application for registration of such foals containing  | 
 false information. | 
 (m) The Department of Agriculture, with the advice and  | 
assistance of the Illinois Thoroughbred Breeders Fund Advisory  | 
Board, shall provide that certain races limited to Illinois  | 
conceived and foaled and Illinois foaled horses be stakes  | 
races and determine the total amount of stakes and awards to be  | 
paid to the owners of the winning horses in such races. | 
 In determining the stakes races and the amount of awards  | 
for such races, the Department of Agriculture shall consider  | 
factors, including, but not limited to, the amount of money  | 
transferred into the Illinois Thoroughbred Breeders Fund,  | 
organization licensees' contributions, availability of stakes  | 
caliber horses as demonstrated by past performances, whether  | 
the race can be coordinated into the proposed racing dates  | 
within organization licensees' racing dates, opportunity for  | 
colts and fillies and various age groups to race, public  | 
 | 
wagering on such races, and the previous racing schedule. | 
 (n) The Board and the organization licensee shall notify  | 
the Department of the conditions and minimum purses for races  | 
limited to Illinois conceived and foaled and Illinois foaled  | 
horses conducted for each organization licensee conducting a  | 
thoroughbred racing meeting. The Department of Agriculture  | 
with the advice and assistance of the Illinois Thoroughbred  | 
Breeders Fund Advisory Board may allocate monies for purse  | 
supplements for such races. In determining whether to allocate  | 
money and the amount, the Department of Agriculture shall  | 
consider factors, including, but not limited to, the amount of  | 
money transferred into the Illinois Thoroughbred Breeders  | 
Fund, the number of races that may occur, and the organization  | 
licensee's purse structure. | 
 (o) (Blank). | 
(Source: P.A. 103-8, eff. 6-7-23; revised 9-26-23.)
 | 
 (230 ILCS 5/31) (from Ch. 8, par. 37-31) | 
 Sec. 31. (a) The General Assembly declares that it is the  | 
policy of this State to encourage the breeding of standardbred  | 
horses in this State and the ownership of such horses by  | 
residents of this State in order to provide for: sufficient  | 
numbers of high quality standardbred horses to participate in  | 
harness racing meetings in this State, and to establish and  | 
preserve the agricultural and commercial benefits of such  | 
breeding and racing industries to the State of Illinois. It is  | 
 | 
the intent of the General Assembly to further this policy by  | 
the provisions of this Section of this Act. | 
 (b) Each organization licensee conducting a harness racing  | 
meeting pursuant to this Act shall provide for at least two  | 
races each race program limited to Illinois conceived and  | 
foaled horses. A minimum of 6 races shall be conducted each  | 
week limited to Illinois conceived and foaled horses. No  | 
horses shall be permitted to start in such races unless duly  | 
registered under the rules of the Department of Agriculture. | 
 (b-5) Organization licensees, not including the Illinois  | 
State Fair or the DuQuoin State Fair, shall provide stake  | 
races and early closer races for Illinois conceived and foaled  | 
horses so that purses distributed for such races shall be no  | 
less than 17% of total purses distributed for harness racing  | 
in that calendar year in addition to any stakes payments and  | 
starting fees contributed by horse owners.  | 
 (b-10) Each organization licensee conducting a harness  | 
racing meeting pursuant to this Act shall provide an owner  | 
award to be paid from the purse account equal to 12% of the  | 
amount earned by Illinois conceived and foaled horses  | 
finishing in the first 3 positions in races that are not  | 
restricted to Illinois conceived and foaled horses. The owner  | 
awards shall not be paid on races below the $10,000 claiming  | 
class.  | 
 (c) Conditions of races under subsection (b) shall be  | 
commensurate with past performance, quality, and class of  | 
 | 
Illinois conceived and foaled horses available. If, however,  | 
sufficient competition cannot be had among horses of that  | 
class on any day, the races may, with consent of the Board, be  | 
eliminated for that day and substitute races provided. | 
 (d) There is hereby created a special fund of the State  | 
treasury Treasury to be known as the Illinois Standardbred  | 
Breeders Fund. Beginning on June 28, 2019 (the effective date  | 
of Public Act 101-31), the Illinois Standardbred Breeders Fund  | 
shall become a non-appropriated trust fund held separate and  | 
apart from State moneys. Expenditures from this Fund shall no  | 
longer be subject to appropriation.  | 
 During the calendar year 1981, and each year thereafter,  | 
except as provided in subsection (g) of Section 27 of this Act,  | 
eight and one-half per cent of all the monies received by the  | 
State as privilege taxes on harness racing meetings shall be  | 
paid into the Illinois Standardbred Breeders Fund. | 
 (e) Notwithstanding any provision of law to the contrary,  | 
amounts deposited into the Illinois Standardbred Breeders Fund  | 
from revenues generated by gaming pursuant to an organization  | 
gaming license issued under the Illinois Gambling Act after  | 
June 28, 2019 (the effective date of Public Act 101-31) shall  | 
be in addition to tax and fee amounts paid under this Section  | 
for calendar year 2019 and thereafter. The Illinois  | 
Standardbred Breeders Fund shall be administered by the  | 
Department of Agriculture with the assistance and advice of  | 
the Advisory Board created in subsection (f) of this Section. | 
 | 
 (f) The Illinois Standardbred Breeders Fund Advisory Board  | 
is hereby created. The Advisory Board shall consist of the  | 
Director of the Department of Agriculture, who shall serve as  | 
Chairman; the Superintendent of the Illinois State Fair; a  | 
member of the Illinois Racing Board, designated by it; a  | 
representative of the largest association of Illinois  | 
standardbred owners and breeders, recommended by it; a  | 
representative of a statewide association representing  | 
agricultural fairs in Illinois, recommended by it, such  | 
representative to be from a fair at which Illinois conceived  | 
and foaled racing is conducted; a representative of the  | 
organization licensees conducting harness racing meetings,  | 
recommended by them; a representative of the Breeder's  | 
Committee of the association representing the largest number  | 
of standardbred owners, breeders, trainers, caretakers, and  | 
drivers, recommended by it; and a representative of the  | 
association representing the largest number of standardbred  | 
owners, breeders, trainers, caretakers, and drivers,  | 
recommended by it. Advisory Board members shall serve for 2  | 
years commencing January 1 of each odd numbered year. If  | 
representatives of the largest association of Illinois  | 
standardbred owners and breeders, a statewide association of  | 
agricultural fairs in Illinois, the association representing  | 
the largest number of standardbred owners, breeders, trainers,  | 
caretakers, and drivers, a member of the Breeder's Committee  | 
of the association representing the largest number of  | 
 | 
standardbred owners, breeders, trainers, caretakers, and  | 
drivers, and the organization licensees conducting harness  | 
racing meetings have not been recommended by January 1 of each  | 
odd numbered year, the Director of the Department of  | 
Agriculture shall make an appointment for the organization  | 
failing to so recommend a member of the Advisory Board.  | 
Advisory Board members shall receive no compensation for their  | 
services as members but shall be reimbursed for all actual and  | 
necessary expenses and disbursements incurred in the execution  | 
of their official duties. | 
 (g) Monies expended from the Illinois Standardbred  | 
Breeders Fund shall be expended by the Department of  | 
Agriculture, with the assistance and advice of the Illinois  | 
Standardbred Breeders Fund Advisory Board for the following  | 
purposes only: | 
  1. To provide purses for races limited to Illinois  | 
 conceived and foaled horses at the State Fair and the  | 
 DuQuoin State Fair.  | 
  2. To provide purses for races limited to Illinois  | 
 conceived and foaled horses at county fairs.  | 
  3. To provide purse supplements for races limited to  | 
 Illinois conceived and foaled horses conducted by  | 
 associations conducting harness racing meetings.  | 
  4. No less than 75% of all monies in the Illinois  | 
 Standardbred Breeders Fund shall be expended for purses in  | 
 1, 2, and 3 as shown above. | 
 | 
  5. In the discretion of the Department of Agriculture  | 
 to provide awards to harness breeders of Illinois  | 
 conceived and foaled horses which win races conducted by  | 
 organization licensees conducting harness racing meetings.  | 
 A breeder is the owner of a mare at the time of conception.  | 
 No more than 10% of all moneys transferred into the  | 
 Illinois Standardbred Breeders Fund shall be expended for  | 
 such harness breeders awards. No more than 25% of the  | 
 amount expended for harness breeders awards shall be  | 
 expended for expenses incurred in the administration of  | 
 such harness breeders awards. | 
  6. To pay for the improvement of racing facilities  | 
 located at the State Fair and County fairs. | 
  7. To pay the expenses incurred in the administration  | 
 of the Illinois Standardbred Breeders Fund. | 
  8. To promote the sport of harness racing, including  | 
 grants up to a maximum of $7,500 per fair per year for  | 
 conducting pari-mutuel wagering during the advertised  | 
 dates of a county fair. | 
  9. To pay up to $50,000 annually for the Department of  | 
 Agriculture to conduct drug testing at county fairs racing  | 
 standardbred horses. | 
 (h) The Illinois Standardbred Breeders Fund is not subject  | 
to administrative charges or chargebacks, including, but not  | 
limited to, those authorized under Section 8h of the State  | 
Finance Act. | 
 | 
 (i) A sum equal to 13% of the first prize money of the  | 
gross purse won by an Illinois conceived and foaled horse  | 
shall be paid 50% by the organization licensee conducting the  | 
horse race meeting to the breeder of such winning horse from  | 
the organization licensee's account and 50% from the purse  | 
account of the licensee. Such payment shall not reduce any  | 
award to the owner of the horse or reduce the taxes payable  | 
under this Act. Such payment shall be delivered by the  | 
organization licensee at the end of each quarter. | 
 (j) The Department of Agriculture shall, by rule, with the  | 
assistance and advice of the Illinois Standardbred Breeders  | 
Fund Advisory Board: | 
  1. Qualify stallions for Illinois Standardbred  | 
 Breeders Fund breeding. Such stallion shall stand for  | 
 service at and within the State of Illinois at the time of  | 
 a foal's conception, and such stallion must not stand for  | 
 service at any place outside the State of Illinois during  | 
 that calendar year in which the foal is conceived.  | 
 However, on and after January 1, 2018, semen from an  | 
 Illinois stallion may be transported outside the State of  | 
 Illinois.  | 
  2. Provide for the registration of Illinois conceived  | 
 and foaled horses and no such horse shall compete in the  | 
 races limited to Illinois conceived and foaled horses  | 
 unless registered with the Department of Agriculture. The  | 
 Department of Agriculture may prescribe such forms as may  | 
 | 
 be necessary to determine the eligibility of such horses.  | 
 No person shall knowingly prepare or cause preparation of  | 
 an application for registration of such foals containing  | 
 false information. A mare (dam) must be in the State at  | 
 least 30 days prior to foaling or remain in the State at  | 
 least 30 days at the time of foaling. However, the  | 
 requirement that a mare (dam) must be in the State at least  | 
 30 days before foaling or remain in the State at least 30  | 
 days at the time of foaling shall not be in effect from  | 
 January 1, 2018 until January 1, 2022. Beginning with the  | 
 1996 breeding season and for foals of 1997 and thereafter,  | 
 a foal conceived by transported semen may be eligible for  | 
 Illinois conceived and foaled registration provided all  | 
 breeding and foaling requirements are met. The stallion  | 
 must be qualified for Illinois Standardbred Breeders Fund  | 
 breeding at the time of conception. The foal must be  | 
 dropped in Illinois and properly registered with the  | 
 Department of Agriculture in accordance with this Act.  | 
 However, from January 1, 2018 until January 1, 2022, the  | 
 requirement for a mare to be inseminated within the State  | 
 of Illinois and the requirement for a foal to be dropped in  | 
 Illinois are inapplicable.  | 
  3. Provide that at least a 5-day racing program shall  | 
 be conducted at the State Fair each year, unless an  | 
 alternate racing program is requested by the Illinois  | 
 Standardbred Breeders Fund Advisory Board, which program  | 
 | 
 shall include at least the following races limited to  | 
 Illinois conceived and foaled horses: (a) a 2-year-old  | 
 Trot and Pace, and Filly Division of each; (b) a  | 
 3-year-old Trot and Pace, and Filly Division of each; (c)  | 
 an aged Trot and Pace, and Mare Division of each. | 
  4. Provide for the payment of nominating, sustaining,  | 
 and starting fees for races promoting the sport of harness  | 
 racing and for the races to be conducted at the State Fair  | 
 as provided in paragraph subsection (j) 3 of this  | 
 subsection Section provided that the nominating,  | 
 sustaining, and starting payment required from an entrant  | 
 shall not exceed 2% of the purse of such race. All  | 
 nominating, sustaining, and starting payments shall be  | 
 held for the benefit of entrants and shall be paid out as  | 
 part of the respective purses for such races. Nominating,  | 
 sustaining, and starting fees shall be held in trust  | 
 accounts for the purposes as set forth in this Act and in  | 
 accordance with Section 205-15 of the Department of  | 
 Agriculture Law. | 
  5. Provide for the registration with the Department of  | 
 Agriculture of Colt Associations or county fairs desiring  | 
 to sponsor races at county fairs. | 
  6. Provide for the promotion of producing standardbred  | 
 racehorses by providing a bonus award program for owners  | 
 of 2-year-old horses that win multiple major stakes races  | 
 that are limited to Illinois conceived and foaled horses.  | 
 | 
 (k) The Department of Agriculture, with the advice and  | 
assistance of the Illinois Standardbred Breeders Fund Advisory  | 
Board, may allocate monies for purse supplements for such  | 
races. In determining whether to allocate money and the  | 
amount, the Department of Agriculture shall consider factors,  | 
including, but not limited to, the amount of money transferred  | 
into the Illinois Standardbred Breeders Fund, the number of  | 
races that may occur, and an organization licensee's purse  | 
structure. The organization licensee shall notify the  | 
Department of Agriculture of the conditions and minimum purses  | 
for races limited to Illinois conceived and foaled horses to  | 
be conducted by each organization licensee conducting a  | 
harness racing meeting for which purse supplements have been  | 
negotiated. | 
 (l) All races held at county fairs and the State Fair which  | 
receive funds from the Illinois Standardbred Breeders Fund  | 
shall be conducted in accordance with the rules of the United  | 
States Trotting Association unless otherwise modified by the  | 
Department of Agriculture. | 
 (m) At all standardbred race meetings held or conducted  | 
under authority of a license granted by the Board, and at all  | 
standardbred races held at county fairs which are approved by  | 
the Department of Agriculture or at the Illinois or DuQuoin  | 
State Fairs, no one shall jog, train, warm up, or drive a  | 
standardbred horse unless he or she is wearing a protective  | 
safety helmet, with the chin strap fastened and in place,  | 
 | 
which meets the standards and requirements as set forth in the  | 
1984 Standard for Protective Headgear for Use in Harness  | 
Racing and Other Equestrian Sports published by the Snell  | 
Memorial Foundation, or any standards and requirements for  | 
headgear the Illinois Racing Board may approve. Any other  | 
standards and requirements so approved by the Board shall  | 
equal or exceed those published by the Snell Memorial  | 
Foundation. Any equestrian helmet bearing the Snell label  | 
shall be deemed to have met those standards and requirements. | 
(Source: P.A. 102-558, eff. 8-20-21; 102-689, eff. 12-17-21;  | 
103-8, eff. 6-7-23; revised 9-26-23.)
 | 
 Section 440. The Liquor Control Act of 1934 is amended by  | 
changing Section 5-3 as follows:
 | 
 (235 ILCS 5/5-3) (from Ch. 43, par. 118) | 
 Sec. 5-3. License fees. Except as otherwise provided  | 
herein, at the time application is made to the State  | 
Commission for a license of any class, the applicant shall pay  | 
to the State Commission the fee hereinafter provided for the  | 
kind of license applied for. | 
 The fee for licenses issued by the State Commission shall  | 
be as follows: | 
|
  | Online | Initial |  |
  | renewal | license |  |
  |   | or |  |
 
  | 
 | 
 For a broker's license ............. | 750  | 1,000 |  |
  For an auction liquor license ...... | 100  | 150 |  |
  For a homebrewer special  |   |   |  |
   event permit.................... | 25 | 25 |  |
  For a craft distiller  |  |  |  |
   tasting permit.................. | 25  | 25 |  |
  For a BASSET trainer license........  | 300  | 350 |  |
  For a tasting representative |  |  |   |
   license......................... | 200 | 300 |  |
  For a brewer warehouse permit.......  | 25 | 25 |  |
  For a craft distiller  |  |  |  |
   warehouse permit................ | 25  | 25  |  
  | 
 Fees collected under this Section shall be paid into the  | 
Dram Shop Fund. The State Commission shall waive license  | 
renewal fees for those retailers' licenses that are designated  | 
as "1A" by the State Commission and expire on or after July 1,  | 
2022, and on or before June 30, 2023. One-half of the funds  | 
received for a retailer's license shall be paid into the Dram  | 
Shop Fund and one-half of the funds received for a retailer's  | 
license shall be paid into the General Revenue Fund. | 
 No fee shall be paid for licenses issued by the State  | 
Commission to the following non-beverage users: | 
  (a) Hospitals, sanitariums, or clinics when their use  | 
 of alcoholic liquor is exclusively medicinal, mechanical,  | 
 or scientific. | 
  (b) Universities, colleges of learning, or schools  | 
 | 
 when their use of alcoholic liquor is exclusively  | 
 medicinal, mechanical, or scientific. | 
  (c) Laboratories when their use is exclusively for the  | 
 purpose of scientific research. | 
(Source: P.A. 102-442, eff. 8-20-21; 102-558, eff. 8-20-21;  | 
102-699, eff. 4-19-22; 102-1142, eff. 2-17-23; 103-154, eff.  | 
6-30-23; revised 9-5-23.)
 | 
 Section 445. The Illinois Public Aid Code is amended by  | 
changing Sections 5-4.2, 5-5, 5-5.01a, 5-5.05, 5-5.2, 5-16.8,  | 
5A-12.7, 6-9, and 6-12, by setting forth, renumbering, and  | 
changing multiple versions of Section 5-47, and by setting  | 
forth and renumbering multiple versions of Section 12-4.57 as  | 
follows:
 | 
 (305 ILCS 5/5-4.2) | 
 Sec. 5-4.2. Ambulance services payments.  | 
 (a) For ambulance services provided to a recipient of aid  | 
under this Article on or after January 1, 1993, the Illinois  | 
Department shall reimburse ambulance service providers at  | 
rates calculated in accordance with this Section. It is the  | 
intent of the General Assembly to provide adequate  | 
reimbursement for ambulance services so as to ensure adequate  | 
access to services for recipients of aid under this Article  | 
and to provide appropriate incentives to ambulance service  | 
providers to provide services in an efficient and  | 
 | 
cost-effective manner. Thus, it is the intent of the General  | 
Assembly that the Illinois Department implement a  | 
reimbursement system for ambulance services that, to the  | 
extent practicable and subject to the availability of funds  | 
appropriated by the General Assembly for this purpose, is  | 
consistent with the payment principles of Medicare. To ensure  | 
uniformity between the payment principles of Medicare and  | 
Medicaid, the Illinois Department shall follow, to the extent  | 
necessary and practicable and subject to the availability of  | 
funds appropriated by the General Assembly for this purpose,  | 
the statutes, laws, regulations, policies, procedures,  | 
principles, definitions, guidelines, and manuals used to  | 
determine the amounts paid to ambulance service providers  | 
under Title XVIII of the Social Security Act (Medicare). | 
 (b) For ambulance services provided to a recipient of aid  | 
under this Article on or after January 1, 1996, the Illinois  | 
Department shall reimburse ambulance service providers based  | 
upon the actual distance traveled if a natural disaster,  | 
weather conditions, road repairs, or traffic congestion  | 
necessitates the use of a route other than the most direct  | 
route. | 
 (c) For purposes of this Section, "ambulance services"  | 
includes medical transportation services provided by means of  | 
an ambulance, air ambulance, medi-car, service car, or taxi. | 
 (c-1) For purposes of this Section, "ground ambulance  | 
service" means medical transportation services that are  | 
 | 
described as ground ambulance services by the Centers for  | 
Medicare and Medicaid Services and provided in a vehicle that  | 
is licensed as an ambulance by the Illinois Department of  | 
Public Health pursuant to the Emergency Medical Services (EMS)  | 
Systems Act. | 
 (c-2) For purposes of this Section, "ground ambulance  | 
service provider" means a vehicle service provider as  | 
described in the Emergency Medical Services (EMS) Systems Act  | 
that operates licensed ambulances for the purpose of providing  | 
emergency ambulance services, or non-emergency ambulance  | 
services, or both. For purposes of this Section, this includes  | 
both ambulance providers and ambulance suppliers as described  | 
by the Centers for Medicare and Medicaid Services. | 
 (c-3) For purposes of this Section, "medi-car" means  | 
transportation services provided to a patient who is confined  | 
to a wheelchair and requires the use of a hydraulic or electric  | 
lift or ramp and wheelchair lockdown when the patient's  | 
condition does not require medical observation, medical  | 
supervision, medical equipment, the administration of  | 
medications, or the administration of oxygen.  | 
 (c-4) For purposes of this Section, "service car" means  | 
transportation services provided to a patient by a passenger  | 
vehicle where that patient does not require the specialized  | 
modes described in subsection (c-1) or (c-3).  | 
 (c-5) For purposes of this Section, "air ambulance  | 
service" means medical transport by helicopter or airplane for  | 
 | 
patients, as defined in 29 U.S.C. 1185f(c)(1), and any service  | 
that is described as an air ambulance service by the federal  | 
Centers for Medicare and Medicaid Services.  | 
 (d) This Section does not prohibit separate billing by  | 
ambulance service providers for oxygen furnished while  | 
providing advanced life support services. | 
 (e) Beginning with services rendered on or after July 1,  | 
2008, all providers of non-emergency medi-car and service car  | 
transportation must certify that the driver and employee  | 
attendant, as applicable, have completed a safety program  | 
approved by the Department to protect both the patient and the  | 
driver, prior to transporting a patient. The provider must  | 
maintain this certification in its records. The provider shall  | 
produce such documentation upon demand by the Department or  | 
its representative. Failure to produce documentation of such  | 
training shall result in recovery of any payments made by the  | 
Department for services rendered by a non-certified driver or  | 
employee attendant. Medi-car and service car providers must  | 
maintain legible documentation in their records of the driver  | 
and, as applicable, employee attendant that actually  | 
transported the patient. Providers must recertify all drivers  | 
and employee attendants every 3 years. If they meet the  | 
established training components set forth by the Department,  | 
providers of non-emergency medi-car and service car  | 
transportation that are either directly or through an  | 
affiliated company licensed by the Department of Public Health  | 
 | 
shall be approved by the Department to have in-house safety  | 
programs for training their own staff.  | 
 Notwithstanding the requirements above, any public  | 
transportation provider of medi-car and service car  | 
transportation that receives federal funding under 49 U.S.C.  | 
5307 and 5311 need not certify its drivers and employee  | 
attendants under this Section, since safety training is  | 
already federally mandated.  | 
 (f) With respect to any policy or program administered by  | 
the Department or its agent regarding approval of  | 
non-emergency medical transportation by ground ambulance  | 
service providers, including, but not limited to, the  | 
Non-Emergency Transportation Services Prior Approval Program  | 
(NETSPAP), the Department shall establish by rule a process by  | 
which ground ambulance service providers of non-emergency  | 
medical transportation may appeal any decision by the  | 
Department or its agent for which no denial was received prior  | 
to the time of transport that either (i) denies a request for  | 
approval for payment of non-emergency transportation by means  | 
of ground ambulance service or (ii) grants a request for  | 
approval of non-emergency transportation by means of ground  | 
ambulance service at a level of service that entitles the  | 
ground ambulance service provider to a lower level of  | 
compensation from the Department than the ground ambulance  | 
service provider would have received as compensation for the  | 
level of service requested. The rule shall be filed by  | 
 | 
December 15, 2012 and shall provide that, for any decision  | 
rendered by the Department or its agent on or after the date  | 
the rule takes effect, the ground ambulance service provider  | 
shall have 60 days from the date the decision is received to  | 
file an appeal. The rule established by the Department shall  | 
be, insofar as is practical, consistent with the Illinois  | 
Administrative Procedure Act. The Director's decision on an  | 
appeal under this Section shall be a final administrative  | 
decision subject to review under the Administrative Review  | 
Law.  | 
 (f-5) Beginning 90 days after July 20, 2012 (the effective  | 
date of Public Act 97-842), (i) no denial of a request for  | 
approval for payment of non-emergency transportation by means  | 
of ground ambulance service, and (ii) no approval of  | 
non-emergency transportation by means of ground ambulance  | 
service at a level of service that entitles the ground  | 
ambulance service provider to a lower level of compensation  | 
from the Department than would have been received at the level  | 
of service submitted by the ground ambulance service provider,  | 
may be issued by the Department or its agent unless the  | 
Department has submitted the criteria for determining the  | 
appropriateness of the transport for first notice publication  | 
in the Illinois Register pursuant to Section 5-40 of the  | 
Illinois Administrative Procedure Act.  | 
 (f-6) Within 90 days after June 2, 2022 (the effective  | 
date of Public Act 102-1037) this amendatory Act of the 102nd  | 
 | 
General Assembly and subject to federal approval, the  | 
Department shall file rules to allow for the approval of  | 
ground ambulance services when the sole purpose of the  | 
transport is for the navigation of stairs or the assisting or  | 
lifting of a patient at a medical facility or during a medical  | 
appointment in instances where the Department or a contracted  | 
Medicaid managed care organization or their transportation  | 
broker is unable to secure transportation through any other  | 
transportation provider.  | 
 (f-7) For non-emergency ground ambulance claims properly  | 
denied under Department policy at the time the claim is filed  | 
due to failure to submit a valid Medical Certification for  | 
Non-Emergency Ambulance on and after December 15, 2012 and  | 
prior to January 1, 2021, the Department shall allot  | 
$2,000,000 to a pool to reimburse such claims if the provider  | 
proves medical necessity for the service by other means.  | 
Providers must submit any such denied claims for which they  | 
seek compensation to the Department no later than December 31,  | 
2021 along with documentation of medical necessity. No later  | 
than May 31, 2022, the Department shall determine for which  | 
claims medical necessity was established. Such claims for  | 
which medical necessity was established shall be paid at the  | 
rate in effect at the time of the service, provided the  | 
$2,000,000 is sufficient to pay at those rates. If the pool is  | 
not sufficient, claims shall be paid at a uniform percentage  | 
of the applicable rate such that the pool of $2,000,000 is  | 
 | 
exhausted. The appeal process described in subsection (f)  | 
shall not be applicable to the Department's determinations  | 
made in accordance with this subsection.  | 
 (g) Whenever a patient covered by a medical assistance  | 
program under this Code or by another medical program  | 
administered by the Department, including a patient covered  | 
under the State's Medicaid managed care program, is being  | 
transported from a facility and requires non-emergency  | 
transportation including ground ambulance, medi-car, or  | 
service car transportation, a Physician Certification  | 
Statement as described in this Section shall be required for  | 
each patient. Facilities shall develop procedures for a  | 
licensed medical professional to provide a written and signed  | 
Physician Certification Statement. The Physician Certification  | 
Statement shall specify the level of transportation services  | 
needed and complete a medical certification establishing the  | 
criteria for approval of non-emergency ambulance  | 
transportation, as published by the Department of Healthcare  | 
and Family Services, that is met by the patient. This  | 
certification shall be completed prior to ordering the  | 
transportation service and prior to patient discharge. The  | 
Physician Certification Statement is not required prior to  | 
transport if a delay in transport can be expected to  | 
negatively affect the patient outcome. If the ground ambulance  | 
provider, medi-car provider, or service car provider is unable  | 
to obtain the required Physician Certification Statement  | 
 | 
within 10 calendar days following the date of the service, the  | 
ground ambulance provider, medi-car provider, or service car  | 
provider must document its attempt to obtain the requested  | 
certification and may then submit the claim for payment.  | 
Acceptable documentation includes a signed return receipt from  | 
the U.S. Postal Service, facsimile receipt, email receipt, or  | 
other similar service that evidences that the ground ambulance  | 
provider, medi-car provider, or service car provider attempted  | 
to obtain the required Physician Certification Statement.  | 
 The medical certification specifying the level and type of  | 
non-emergency transportation needed shall be in the form of  | 
the Physician Certification Statement on a standardized form  | 
prescribed by the Department of Healthcare and Family  | 
Services. Within 75 days after July 27, 2018 (the effective  | 
date of Public Act 100-646), the Department of Healthcare and  | 
Family Services shall develop a standardized form of the  | 
Physician Certification Statement specifying the level and  | 
type of transportation services needed in consultation with  | 
the Department of Public Health, Medicaid managed care  | 
organizations, a statewide association representing ambulance  | 
providers, a statewide association representing hospitals, 3  | 
statewide associations representing nursing homes, and other  | 
stakeholders. The Physician Certification Statement shall  | 
include, but is not limited to, the criteria necessary to  | 
demonstrate medical necessity for the level of transport  | 
needed as required by (i) the Department of Healthcare and  | 
 | 
Family Services and (ii) the federal Centers for Medicare and  | 
Medicaid Services as outlined in the Centers for Medicare and  | 
Medicaid Services' Medicare Benefit Policy Manual, Pub.  | 
100-02, Chap. 10, Sec. 10.2.1, et seq. The use of the Physician  | 
Certification Statement shall satisfy the obligations of  | 
hospitals under Section 6.22 of the Hospital Licensing Act and  | 
nursing homes under Section 2-217 of the Nursing Home Care  | 
Act. Implementation and acceptance of the Physician  | 
Certification Statement shall take place no later than 90 days  | 
after the issuance of the Physician Certification Statement by  | 
the Department of Healthcare and Family Services.  | 
 Pursuant to subsection (E) of Section 12-4.25 of this  | 
Code, the Department is entitled to recover overpayments paid  | 
to a provider or vendor, including, but not limited to, from  | 
the discharging physician, the discharging facility, and the  | 
ground ambulance service provider, in instances where a  | 
non-emergency ground ambulance service is rendered as the  | 
result of improper or false certification.  | 
 Beginning October 1, 2018, the Department of Healthcare  | 
and Family Services shall collect data from Medicaid managed  | 
care organizations and transportation brokers, including the  | 
Department's NETSPAP broker, regarding denials and appeals  | 
related to the missing or incomplete Physician Certification  | 
Statement forms and overall compliance with this subsection.  | 
The Department of Healthcare and Family Services shall publish  | 
quarterly results on its website within 15 days following the  | 
 | 
end of each quarter.  | 
 (h) On and after July 1, 2012, the Department shall reduce  | 
any rate of reimbursement for services or other payments or  | 
alter any methodologies authorized by this Code to reduce any  | 
rate of reimbursement for services or other payments in  | 
accordance with Section 5-5e.  | 
 (i) Subject to federal approval, on and after January 1,  | 
2024 through June 30, 2026, the Department shall increase the  | 
base rate of reimbursement for both base charges and mileage  | 
charges for ground ambulance service providers not  | 
participating in the Ground Emergency Medical Transportation  | 
(GEMT) Program for medical transportation services provided by  | 
means of a ground ambulance to a level not lower than 140% of  | 
the base rate in effect as of January 1, 2023. | 
 (j) For the purpose of understanding ground ambulance  | 
transportation services cost structures and their impact on  | 
the Medical Assistance Program, the Department shall engage  | 
stakeholders, including, but not limited to, a statewide  | 
association representing private ground ambulance service  | 
providers in Illinois, to develop recommendations for a plan  | 
for the regular collection of cost data for all ground  | 
ambulance transportation providers reimbursed under the  | 
Illinois Title XIX State Plan. Cost data obtained through this  | 
process shall be used to inform on and to ensure the  | 
effectiveness and efficiency of Illinois Medicaid rates. The  | 
Department shall establish a process to limit public  | 
 | 
availability of portions of the cost report data determined to  | 
be proprietary. This process shall be concluded and  | 
recommendations shall be provided no later than April 1, 2024.  | 
 (k) (j) Subject to federal approval, beginning on January  | 
1, 2024, the Department shall increase the base rate of  | 
reimbursement for both base charges and mileage charges for  | 
medical transportation services provided by means of an air  | 
ambulance to a level not lower than 50% of the Medicare  | 
ambulance fee schedule rates, by designated Medicare locality,  | 
in effect on January 1, 2023.  | 
(Source: P.A. 102-364, eff. 1-1-22; 102-650, eff. 8-27-21;  | 
102-813, eff. 5-13-22; 102-1037, eff. 6-2-22; 103-102, Article  | 
70, Section 70-5, eff. 1-1-24; 103-102, Article 80, Section  | 
80-5, eff. 1-1-24; revised 12-15-23.)
 | 
 (305 ILCS 5/5-5) | 
 Sec. 5-5. Medical services.  The Illinois Department, by  | 
rule, shall determine the quantity and quality of and the rate  | 
of reimbursement for the medical assistance for which payment  | 
will be authorized, and the medical services to be provided,  | 
which may include all or part of the following: (1) inpatient  | 
hospital services; (2) outpatient hospital services; (3) other  | 
laboratory and X-ray services; (4) skilled nursing home  | 
services; (5) physicians' services whether furnished in the  | 
office, the patient's home, a hospital, a skilled nursing  | 
home, or elsewhere; (6) medical care, or any other type of  | 
 | 
remedial care furnished by licensed practitioners; (7) home  | 
health care services; (8) private duty nursing service; (9)  | 
clinic services; (10) dental services, including prevention  | 
and treatment of periodontal disease and dental caries disease  | 
for pregnant individuals, provided by an individual licensed  | 
to practice dentistry or dental surgery; for purposes of this  | 
item (10), "dental services" means diagnostic, preventive, or  | 
corrective procedures provided by or under the supervision of  | 
a dentist in the practice of his or her profession; (11)  | 
physical therapy and related services; (12) prescribed drugs,  | 
dentures, and prosthetic devices; and eyeglasses prescribed by  | 
a physician skilled in the diseases of the eye, or by an  | 
optometrist, whichever the person may select; (13) other  | 
diagnostic, screening, preventive, and rehabilitative  | 
services, including to ensure that the individual's need for  | 
intervention or treatment of mental disorders or substance use  | 
disorders or co-occurring mental health and substance use  | 
disorders is determined using a uniform screening, assessment,  | 
and evaluation process inclusive of criteria, for children and  | 
adults; for purposes of this item (13), a uniform screening,  | 
assessment, and evaluation process refers to a process that  | 
includes an appropriate evaluation and, as warranted, a  | 
referral; "uniform" does not mean the use of a singular  | 
instrument, tool, or process that all must utilize; (14)  | 
transportation and such other expenses as may be necessary;  | 
(15) medical treatment of sexual assault survivors, as defined  | 
 | 
in Section 1a of the Sexual Assault Survivors Emergency  | 
Treatment Act, for injuries sustained as a result of the  | 
sexual assault, including examinations and laboratory tests to  | 
discover evidence which may be used in criminal proceedings  | 
arising from the sexual assault; (16) the diagnosis and  | 
treatment of sickle cell anemia; (16.5) services performed by  | 
a chiropractic physician licensed under the Medical Practice  | 
Act of 1987 and acting within the scope of his or her license,  | 
including, but not limited to, chiropractic manipulative  | 
treatment; and (17) any other medical care, and any other type  | 
of remedial care recognized under the laws of this State. The  | 
term "any other type of remedial care" shall include nursing  | 
care and nursing home service for persons who rely on  | 
treatment by spiritual means alone through prayer for healing.  | 
 Notwithstanding any other provision of this Section, a  | 
comprehensive tobacco use cessation program that includes  | 
purchasing prescription drugs or prescription medical devices  | 
approved by the Food and Drug Administration shall be covered  | 
under the medical assistance program under this Article for  | 
persons who are otherwise eligible for assistance under this  | 
Article.  | 
 Notwithstanding any other provision of this Code,  | 
reproductive health care that is otherwise legal in Illinois  | 
shall be covered under the medical assistance program for  | 
persons who are otherwise eligible for medical assistance  | 
under this Article.  | 
 | 
 Notwithstanding any other provision of this Section, all  | 
tobacco cessation medications approved by the United States  | 
Food and Drug Administration and all individual and group  | 
tobacco cessation counseling services and telephone-based  | 
counseling services and tobacco cessation medications provided  | 
through the Illinois Tobacco Quitline shall be covered under  | 
the medical assistance program for persons who are otherwise  | 
eligible for assistance under this Article. The Department  | 
shall comply with all federal requirements necessary to obtain  | 
federal financial participation, as specified in 42 CFR  | 
433.15(b)(7), for telephone-based counseling services provided  | 
through the Illinois Tobacco Quitline, including, but not  | 
limited to: (i) entering into a memorandum of understanding or  | 
interagency agreement with the Department of Public Health, as  | 
administrator of the Illinois Tobacco Quitline; and (ii)  | 
developing a cost allocation plan for Medicaid-allowable  | 
Illinois Tobacco Quitline services in accordance with 45 CFR  | 
95.507. The Department shall submit the memorandum of  | 
understanding or interagency agreement, the cost allocation  | 
plan, and all other necessary documentation to the Centers for  | 
Medicare and Medicaid Services for review and approval.  | 
Coverage under this paragraph shall be contingent upon federal  | 
approval. | 
 Notwithstanding any other provision of this Code, the  | 
Illinois Department may not require, as a condition of payment  | 
for any laboratory test authorized under this Article, that a  | 
 | 
physician's handwritten signature appear on the laboratory  | 
test order form. The Illinois Department may, however, impose  | 
other appropriate requirements regarding laboratory test order  | 
documentation.  | 
 Upon receipt of federal approval of an amendment to the  | 
Illinois Title XIX State Plan for this purpose, the Department  | 
shall authorize the Chicago Public Schools (CPS) to procure a  | 
vendor or vendors to manufacture eyeglasses for individuals  | 
enrolled in a school within the CPS system. CPS shall ensure  | 
that its vendor or vendors are enrolled as providers in the  | 
medical assistance program and in any capitated Medicaid  | 
managed care entity (MCE) serving individuals enrolled in a  | 
school within the CPS system. Under any contract procured  | 
under this provision, the vendor or vendors must serve only  | 
individuals enrolled in a school within the CPS system. Claims  | 
for services provided by CPS's vendor or vendors to recipients  | 
of benefits in the medical assistance program under this Code,  | 
the Children's Health Insurance Program, or the Covering ALL  | 
KIDS Health Insurance Program shall be submitted to the  | 
Department or the MCE in which the individual is enrolled for  | 
payment and shall be reimbursed at the Department's or the  | 
MCE's established rates or rate methodologies for eyeglasses.  | 
 On and after July 1, 2012, the Department of Healthcare  | 
and Family Services may provide the following services to  | 
persons eligible for assistance under this Article who are  | 
participating in education, training or employment programs  | 
 | 
operated by the Department of Human Services as successor to  | 
the Department of Public Aid: | 
  (1) dental services provided by or under the  | 
 supervision of a dentist; and  | 
  (2) eyeglasses prescribed by a physician skilled in  | 
 the diseases of the eye, or by an optometrist, whichever  | 
 the person may select. | 
 On and after July 1, 2018, the Department of Healthcare  | 
and Family Services shall provide dental services to any adult  | 
who is otherwise eligible for assistance under the medical  | 
assistance program. As used in this paragraph, "dental  | 
services" means diagnostic, preventative, restorative, or  | 
corrective procedures, including procedures and services for  | 
the prevention and treatment of periodontal disease and dental  | 
caries disease, provided by an individual who is licensed to  | 
practice dentistry or dental surgery or who is under the  | 
supervision of a dentist in the practice of his or her  | 
profession. | 
 On and after July 1, 2018, targeted dental services, as  | 
set forth in Exhibit D of the Consent Decree entered by the  | 
United States District Court for the Northern District of  | 
Illinois, Eastern Division, in the matter of Memisovski v.  | 
Maram, Case No. 92 C 1982, that are provided to adults under  | 
the medical assistance program shall be established at no less  | 
than the rates set forth in the "New Rate" column in Exhibit D  | 
of the Consent Decree for targeted dental services that are  | 
 | 
provided to persons under the age of 18 under the medical  | 
assistance program.  | 
 Notwithstanding any other provision of this Code and  | 
subject to federal approval, the Department may adopt rules to  | 
allow a dentist who is volunteering his or her service at no  | 
cost to render dental services through an enrolled  | 
not-for-profit health clinic without the dentist personally  | 
enrolling as a participating provider in the medical  | 
assistance program. A not-for-profit health clinic shall  | 
include a public health clinic or Federally Qualified Health  | 
Center or other enrolled provider, as determined by the  | 
Department, through which dental services covered under this  | 
Section are performed. The Department shall establish a  | 
process for payment of claims for reimbursement for covered  | 
dental services rendered under this provision.  | 
 On and after January 1, 2022, the Department of Healthcare  | 
and Family Services shall administer and regulate a  | 
school-based dental program that allows for the out-of-office  | 
delivery of preventative dental services in a school setting  | 
to children under 19 years of age. The Department shall  | 
establish, by rule, guidelines for participation by providers  | 
and set requirements for follow-up referral care based on the  | 
requirements established in the Dental Office Reference Manual  | 
published by the Department that establishes the requirements  | 
for dentists participating in the All Kids Dental School  | 
Program. Every effort shall be made by the Department when  | 
 | 
developing the program requirements to consider the different  | 
geographic differences of both urban and rural areas of the  | 
State for initial treatment and necessary follow-up care. No  | 
provider shall be charged a fee by any unit of local government  | 
to participate in the school-based dental program administered  | 
by the Department. Nothing in this paragraph shall be  | 
construed to limit or preempt a home rule unit's or school  | 
district's authority to establish, change, or administer a  | 
school-based dental program in addition to, or independent of,  | 
the school-based dental program administered by the  | 
Department.  | 
 The Illinois Department, by rule, may distinguish and  | 
classify the medical services to be provided only in  | 
accordance with the classes of persons designated in Section  | 
5-2.  | 
 The Department of Healthcare and Family Services must  | 
provide coverage and reimbursement for amino acid-based  | 
elemental formulas, regardless of delivery method, for the  | 
diagnosis and treatment of (i) eosinophilic disorders and (ii)  | 
short bowel syndrome when the prescribing physician has issued  | 
a written order stating that the amino acid-based elemental  | 
formula is medically necessary.  | 
 The Illinois Department shall authorize the provision of,  | 
and shall authorize payment for, screening by low-dose  | 
mammography for the presence of occult breast cancer for  | 
individuals 35 years of age or older who are eligible for  | 
 | 
medical assistance under this Article, as follows: | 
  (A) A baseline mammogram for individuals 35 to 39  | 
 years of age.  | 
  (B) An annual mammogram for individuals 40 years of  | 
 age or older. | 
  (C) A mammogram at the age and intervals considered  | 
 medically necessary by the individual's health care  | 
 provider for individuals under 40 years of age and having  | 
 a family history of breast cancer, prior personal history  | 
 of breast cancer, positive genetic testing, or other risk  | 
 factors. | 
  (D) A comprehensive ultrasound screening and MRI of an  | 
 entire breast or breasts if a mammogram demonstrates  | 
 heterogeneous or dense breast tissue or when medically  | 
 necessary as determined by a physician licensed to  | 
 practice medicine in all of its branches.  | 
  (E) A screening MRI when medically necessary, as  | 
 determined by a physician licensed to practice medicine in  | 
 all of its branches.  | 
  (F) A diagnostic mammogram when medically necessary,  | 
 as determined by a physician licensed to practice medicine  | 
 in all its branches, advanced practice registered nurse,  | 
 or physician assistant.  | 
 The Department shall not impose a deductible, coinsurance,  | 
copayment, or any other cost-sharing requirement on the  | 
coverage provided under this paragraph; except that this  | 
 | 
sentence does not apply to coverage of diagnostic mammograms  | 
to the extent such coverage would disqualify a high-deductible  | 
health plan from eligibility for a health savings account  | 
pursuant to Section 223 of the Internal Revenue Code (26  | 
U.S.C. 223).  | 
 All screenings shall include a physical breast exam,  | 
instruction on self-examination and information regarding the  | 
frequency of self-examination and its value as a preventative  | 
tool. | 
  For purposes of this Section: | 
 "Diagnostic mammogram" means a mammogram obtained using  | 
diagnostic mammography. | 
 "Diagnostic mammography" means a method of screening that  | 
is designed to evaluate an abnormality in a breast, including  | 
an abnormality seen or suspected on a screening mammogram or a  | 
subjective or objective abnormality otherwise detected in the  | 
breast. | 
 "Low-dose mammography" means the x-ray examination of the  | 
breast using equipment dedicated specifically for mammography,  | 
including the x-ray tube, filter, compression device, and  | 
image receptor, with an average radiation exposure delivery of  | 
less than one rad per breast for 2 views of an average size  | 
breast. The term also includes digital mammography and  | 
includes breast tomosynthesis. | 
 "Breast tomosynthesis" means a radiologic procedure that  | 
involves the acquisition of projection images over the  | 
 | 
stationary breast to produce cross-sectional digital  | 
three-dimensional images of the breast. | 
 If, at any time, the Secretary of the United States  | 
Department of Health and Human Services, or its successor  | 
agency, promulgates rules or regulations to be published in  | 
the Federal Register or publishes a comment in the Federal  | 
Register or issues an opinion, guidance, or other action that  | 
would require the State, pursuant to any provision of the  | 
Patient Protection and Affordable Care Act (Public Law  | 
111-148), including, but not limited to, 42 U.S.C.  | 
18031(d)(3)(B) or any successor provision, to defray the cost  | 
of any coverage for breast tomosynthesis outlined in this  | 
paragraph, then the requirement that an insurer cover breast  | 
tomosynthesis is inoperative other than any such coverage  | 
authorized under Section 1902 of the Social Security Act, 42  | 
U.S.C. 1396a, and the State shall not assume any obligation  | 
for the cost of coverage for breast tomosynthesis set forth in  | 
this paragraph. | 
 On and after January 1, 2016, the Department shall ensure  | 
that all networks of care for adult clients of the Department  | 
include access to at least one breast imaging Center of  | 
Imaging Excellence as certified by the American College of  | 
Radiology. | 
 On and after January 1, 2012, providers participating in a  | 
quality improvement program approved by the Department shall  | 
be reimbursed for screening and diagnostic mammography at the  | 
 | 
same rate as the Medicare program's rates, including the  | 
increased reimbursement for digital mammography and, after  | 
January 1, 2023 (the effective date of Public Act 102-1018),  | 
breast tomosynthesis. | 
 The Department shall convene an expert panel including  | 
representatives of hospitals, free-standing mammography  | 
facilities, and doctors, including radiologists, to establish  | 
quality standards for mammography. | 
 On and after January 1, 2017, providers participating in a  | 
breast cancer treatment quality improvement program approved  | 
by the Department shall be reimbursed for breast cancer  | 
treatment at a rate that is no lower than 95% of the Medicare  | 
program's rates for the data elements included in the breast  | 
cancer treatment quality program. | 
 The Department shall convene an expert panel, including  | 
representatives of hospitals, free-standing breast cancer  | 
treatment centers, breast cancer quality organizations, and  | 
doctors, including breast surgeons, reconstructive breast  | 
surgeons, oncologists, and primary care providers to establish  | 
quality standards for breast cancer treatment. | 
 Subject to federal approval, the Department shall  | 
establish a rate methodology for mammography at federally  | 
qualified health centers and other encounter-rate clinics.  | 
These clinics or centers may also collaborate with other  | 
hospital-based mammography facilities. By January 1, 2016, the  | 
Department shall report to the General Assembly on the status  | 
 | 
of the provision set forth in this paragraph. | 
 The Department shall establish a methodology to remind  | 
individuals who are age-appropriate for screening mammography,  | 
but who have not received a mammogram within the previous 18  | 
months, of the importance and benefit of screening  | 
mammography. The Department shall work with experts in breast  | 
cancer outreach and patient navigation to optimize these  | 
reminders and shall establish a methodology for evaluating  | 
their effectiveness and modifying the methodology based on the  | 
evaluation. | 
 The Department shall establish a performance goal for  | 
primary care providers with respect to their female patients  | 
over age 40 receiving an annual mammogram. This performance  | 
goal shall be used to provide additional reimbursement in the  | 
form of a quality performance bonus to primary care providers  | 
who meet that goal. | 
 The Department shall devise a means of case-managing or  | 
patient navigation for beneficiaries diagnosed with breast  | 
cancer. This program shall initially operate as a pilot  | 
program in areas of the State with the highest incidence of  | 
mortality related to breast cancer. At least one pilot program  | 
site shall be in the metropolitan Chicago area and at least one  | 
site shall be outside the metropolitan Chicago area. On or  | 
after July 1, 2016, the pilot program shall be expanded to  | 
include one site in western Illinois, one site in southern  | 
Illinois, one site in central Illinois, and 4 sites within  | 
 | 
metropolitan Chicago. An evaluation of the pilot program shall  | 
be carried out measuring health outcomes and cost of care for  | 
those served by the pilot program compared to similarly  | 
situated patients who are not served by the pilot program.  | 
 The Department shall require all networks of care to  | 
develop a means either internally or by contract with experts  | 
in navigation and community outreach to navigate cancer  | 
patients to comprehensive care in a timely fashion. The  | 
Department shall require all networks of care to include  | 
access for patients diagnosed with cancer to at least one  | 
academic commission on cancer-accredited cancer program as an  | 
in-network covered benefit. | 
 The Department shall provide coverage and reimbursement  | 
for a human papillomavirus (HPV) vaccine that is approved for  | 
marketing by the federal Food and Drug Administration for all  | 
persons between the ages of 9 and 45. Subject to federal  | 
approval, the Department shall provide coverage and  | 
reimbursement for a human papillomavirus (HPV) vaccine for  | 
persons of the age of 46 and above who have been diagnosed with  | 
cervical dysplasia with a high risk of recurrence or  | 
progression. The Department shall disallow any  | 
preauthorization requirements for the administration of the  | 
human papillomavirus (HPV) vaccine.  | 
 On or after July 1, 2022, individuals who are otherwise  | 
eligible for medical assistance under this Article shall  | 
receive coverage for perinatal depression screenings for the  | 
 | 
12-month period beginning on the last day of their pregnancy.  | 
Medical assistance coverage under this paragraph shall be  | 
conditioned on the use of a screening instrument approved by  | 
the Department. | 
 Any medical or health care provider shall immediately  | 
recommend, to any pregnant individual who is being provided  | 
prenatal services and is suspected of having a substance use  | 
disorder as defined in the Substance Use Disorder Act,  | 
referral to a local substance use disorder treatment program  | 
licensed by the Department of Human Services or to a licensed  | 
hospital which provides substance abuse treatment services.  | 
The Department of Healthcare and Family Services shall assure  | 
coverage for the cost of treatment of the drug abuse or  | 
addiction for pregnant recipients in accordance with the  | 
Illinois Medicaid Program in conjunction with the Department  | 
of Human Services.  | 
 All medical providers providing medical assistance to  | 
pregnant individuals under this Code shall receive information  | 
from the Department on the availability of services under any  | 
program providing case management services for addicted  | 
individuals, including information on appropriate referrals  | 
for other social services that may be needed by addicted  | 
individuals in addition to treatment for addiction.  | 
 The Illinois Department, in cooperation with the  | 
Departments of Human Services (as successor to the Department  | 
of Alcoholism and Substance Abuse) and Public Health, through  | 
 | 
a public awareness campaign, may provide information  | 
concerning treatment for alcoholism and drug abuse and  | 
addiction, prenatal health care, and other pertinent programs  | 
directed at reducing the number of drug-affected infants born  | 
to recipients of medical assistance.  | 
 Neither the Department of Healthcare and Family Services  | 
nor the Department of Human Services shall sanction the  | 
recipient solely on the basis of the recipient's substance  | 
abuse.  | 
 The Illinois Department shall establish such regulations  | 
governing the dispensing of health services under this Article  | 
as it shall deem appropriate. The Department should seek the  | 
advice of formal professional advisory committees appointed by  | 
the Director of the Illinois Department for the purpose of  | 
providing regular advice on policy and administrative matters,  | 
information dissemination and educational activities for  | 
medical and health care providers, and consistency in  | 
procedures to the Illinois Department.  | 
 The Illinois Department may develop and contract with  | 
Partnerships of medical providers to arrange medical services  | 
for persons eligible under Section 5-2 of this Code.  | 
Implementation of this Section may be by demonstration  | 
projects in certain geographic areas. The Partnership shall be  | 
represented by a sponsor organization. The Department, by  | 
rule, shall develop qualifications for sponsors of  | 
Partnerships. Nothing in this Section shall be construed to  | 
 | 
require that the sponsor organization be a medical  | 
organization.  | 
 The sponsor must negotiate formal written contracts with  | 
medical providers for physician services, inpatient and  | 
outpatient hospital care, home health services, treatment for  | 
alcoholism and substance abuse, and other services determined  | 
necessary by the Illinois Department by rule for delivery by  | 
Partnerships. Physician services must include prenatal and  | 
obstetrical care. The Illinois Department shall reimburse  | 
medical services delivered by Partnership providers to clients  | 
in target areas according to provisions of this Article and  | 
the Illinois Health Finance Reform Act, except that:  | 
  (1) Physicians participating in a Partnership and  | 
 providing certain services, which shall be determined by  | 
 the Illinois Department, to persons in areas covered by  | 
 the Partnership may receive an additional surcharge for  | 
 such services.  | 
  (2) The Department may elect to consider and negotiate  | 
 financial incentives to encourage the development of  | 
 Partnerships and the efficient delivery of medical care.  | 
  (3) Persons receiving medical services through  | 
 Partnerships may receive medical and case management  | 
 services above the level usually offered through the  | 
 medical assistance program.  | 
 Medical providers shall be required to meet certain  | 
qualifications to participate in Partnerships to ensure the  | 
 | 
delivery of high quality medical services. These  | 
qualifications shall be determined by rule of the Illinois  | 
Department and may be higher than qualifications for  | 
participation in the medical assistance program. Partnership  | 
sponsors may prescribe reasonable additional qualifications  | 
for participation by medical providers, only with the prior  | 
written approval of the Illinois Department.  | 
 Nothing in this Section shall limit the free choice of  | 
practitioners, hospitals, and other providers of medical  | 
services by clients. In order to ensure patient freedom of  | 
choice, the Illinois Department shall immediately promulgate  | 
all rules and take all other necessary actions so that  | 
provided services may be accessed from therapeutically  | 
certified optometrists to the full extent of the Illinois  | 
Optometric Practice Act of 1987 without discriminating between  | 
service providers.  | 
 The Department shall apply for a waiver from the United  | 
States Health Care Financing Administration to allow for the  | 
implementation of Partnerships under this Section.  | 
 The Illinois Department shall require health care  | 
providers to maintain records that document the medical care  | 
and services provided to recipients of Medical Assistance  | 
under this Article. Such records must be retained for a period  | 
of not less than 6 years from the date of service or as  | 
provided by applicable State law, whichever period is longer,  | 
except that if an audit is initiated within the required  | 
 | 
retention period then the records must be retained until the  | 
audit is completed and every exception is resolved. The  | 
Illinois Department shall require health care providers to  | 
make available, when authorized by the patient, in writing,  | 
the medical records in a timely fashion to other health care  | 
providers who are treating or serving persons eligible for  | 
Medical Assistance under this Article. All dispensers of  | 
medical services shall be required to maintain and retain  | 
business and professional records sufficient to fully and  | 
accurately document the nature, scope, details and receipt of  | 
the health care provided to persons eligible for medical  | 
assistance under this Code, in accordance with regulations  | 
promulgated by the Illinois Department. The rules and  | 
regulations shall require that proof of the receipt of  | 
prescription drugs, dentures, prosthetic devices and  | 
eyeglasses by eligible persons under this Section accompany  | 
each claim for reimbursement submitted by the dispenser of  | 
such medical services. No such claims for reimbursement shall  | 
be approved for payment by the Illinois Department without  | 
such proof of receipt, unless the Illinois Department shall  | 
have put into effect and shall be operating a system of  | 
post-payment audit and review which shall, on a sampling  | 
basis, be deemed adequate by the Illinois Department to assure  | 
that such drugs, dentures, prosthetic devices and eyeglasses  | 
for which payment is being made are actually being received by  | 
eligible recipients. Within 90 days after September 16, 1984  | 
 | 
(the effective date of Public Act 83-1439), the Illinois  | 
Department shall establish a current list of acquisition costs  | 
for all prosthetic devices and any other items recognized as  | 
medical equipment and supplies reimbursable under this Article  | 
and shall update such list on a quarterly basis, except that  | 
the acquisition costs of all prescription drugs shall be  | 
updated no less frequently than every 30 days as required by  | 
Section 5-5.12.  | 
 Notwithstanding any other law to the contrary, the  | 
Illinois Department shall, within 365 days after July 22, 2013  | 
(the effective date of Public Act 98-104), establish  | 
procedures to permit skilled care facilities licensed under  | 
the Nursing Home Care Act to submit monthly billing claims for  | 
reimbursement purposes. Following development of these  | 
procedures, the Department shall, by July 1, 2016, test the  | 
viability of the new system and implement any necessary  | 
operational or structural changes to its information  | 
technology platforms in order to allow for the direct  | 
acceptance and payment of nursing home claims.  | 
 Notwithstanding any other law to the contrary, the  | 
Illinois Department shall, within 365 days after August 15,  | 
2014 (the effective date of Public Act 98-963), establish  | 
procedures to permit ID/DD facilities licensed under the ID/DD  | 
Community Care Act and MC/DD facilities licensed under the  | 
MC/DD Act to submit monthly billing claims for reimbursement  | 
purposes. Following development of these procedures, the  | 
 | 
Department shall have an additional 365 days to test the  | 
viability of the new system and to ensure that any necessary  | 
operational or structural changes to its information  | 
technology platforms are implemented.  | 
 The Illinois Department shall require all dispensers of  | 
medical services, other than an individual practitioner or  | 
group of practitioners, desiring to participate in the Medical  | 
Assistance program established under this Article to disclose  | 
all financial, beneficial, ownership, equity, surety or other  | 
interests in any and all firms, corporations, partnerships,  | 
associations, business enterprises, joint ventures, agencies,  | 
institutions or other legal entities providing any form of  | 
health care services in this State under this Article.  | 
 The Illinois Department may require that all dispensers of  | 
medical services desiring to participate in the medical  | 
assistance program established under this Article disclose,  | 
under such terms and conditions as the Illinois Department may  | 
by rule establish, all inquiries from clients and attorneys  | 
regarding medical bills paid by the Illinois Department, which  | 
inquiries could indicate potential existence of claims or  | 
liens for the Illinois Department.  | 
 Enrollment of a vendor shall be subject to a provisional  | 
period and shall be conditional for one year. During the  | 
period of conditional enrollment, the Department may terminate  | 
the vendor's eligibility to participate in, or may disenroll  | 
the vendor from, the medical assistance program without cause.  | 
 | 
Unless otherwise specified, such termination of eligibility or  | 
disenrollment is not subject to the Department's hearing  | 
process. However, a disenrolled vendor may reapply without  | 
penalty.  | 
 The Department has the discretion to limit the conditional  | 
enrollment period for vendors based upon the category of risk  | 
of the vendor. | 
 Prior to enrollment and during the conditional enrollment  | 
period in the medical assistance program, all vendors shall be  | 
subject to enhanced oversight, screening, and review based on  | 
the risk of fraud, waste, and abuse that is posed by the  | 
category of risk of the vendor. The Illinois Department shall  | 
establish the procedures for oversight, screening, and review,  | 
which may include, but need not be limited to: criminal and  | 
financial background checks; fingerprinting; license,  | 
certification, and authorization verifications; unscheduled or  | 
unannounced site visits; database checks; prepayment audit  | 
reviews; audits; payment caps; payment suspensions; and other  | 
screening as required by federal or State law. | 
 The Department shall define or specify the following: (i)  | 
by provider notice, the "category of risk of the vendor" for  | 
each type of vendor, which shall take into account the level of  | 
screening applicable to a particular category of vendor under  | 
federal law and regulations; (ii) by rule or provider notice,  | 
the maximum length of the conditional enrollment period for  | 
each category of risk of the vendor; and (iii) by rule, the  | 
 | 
hearing rights, if any, afforded to a vendor in each category  | 
of risk of the vendor that is terminated or disenrolled during  | 
the conditional enrollment period.  | 
 To be eligible for payment consideration, a vendor's  | 
payment claim or bill, either as an initial claim or as a  | 
resubmitted claim following prior rejection, must be received  | 
by the Illinois Department, or its fiscal intermediary, no  | 
later than 180 days after the latest date on the claim on which  | 
medical goods or services were provided, with the following  | 
exceptions: | 
  (1) In the case of a provider whose enrollment is in  | 
 process by the Illinois Department, the 180-day period  | 
 shall not begin until the date on the written notice from  | 
 the Illinois Department that the provider enrollment is  | 
 complete. | 
  (2) In the case of errors attributable to the Illinois  | 
 Department or any of its claims processing intermediaries  | 
 which result in an inability to receive, process, or  | 
 adjudicate a claim, the 180-day period shall not begin  | 
 until the provider has been notified of the error. | 
  (3) In the case of a provider for whom the Illinois  | 
 Department initiates the monthly billing process. | 
  (4) In the case of a provider operated by a unit of  | 
 local government with a population exceeding 3,000,000  | 
 when local government funds finance federal participation  | 
 for claims payments.  | 
 | 
 For claims for services rendered during a period for which  | 
a recipient received retroactive eligibility, claims must be  | 
filed within 180 days after the Department determines the  | 
applicant is eligible. For claims for which the Illinois  | 
Department is not the primary payer, claims must be submitted  | 
to the Illinois Department within 180 days after the final  | 
adjudication by the primary payer. | 
 In the case of long term care facilities, within 120  | 
calendar days of receipt by the facility of required  | 
prescreening information, new admissions with associated  | 
admission documents shall be submitted through the Medical  | 
Electronic Data Interchange (MEDI) or the Recipient  | 
Eligibility Verification (REV) System or shall be submitted  | 
directly to the Department of Human Services using required  | 
admission forms. Effective September 1, 2014, admission  | 
documents, including all prescreening information, must be  | 
submitted through MEDI or REV. Confirmation numbers assigned  | 
to an accepted transaction shall be retained by a facility to  | 
verify timely submittal. Once an admission transaction has  | 
been completed, all resubmitted claims following prior  | 
rejection are subject to receipt no later than 180 days after  | 
the admission transaction has been completed. | 
 Claims that are not submitted and received in compliance  | 
with the foregoing requirements shall not be eligible for  | 
payment under the medical assistance program, and the State  | 
shall have no liability for payment of those claims. | 
 | 
 To the extent consistent with applicable information and  | 
privacy, security, and disclosure laws, State and federal  | 
agencies and departments shall provide the Illinois Department  | 
access to confidential and other information and data  | 
necessary to perform eligibility and payment verifications and  | 
other Illinois Department functions. This includes, but is not  | 
limited to: information pertaining to licensure;  | 
certification; earnings; immigration status; citizenship; wage  | 
reporting; unearned and earned income; pension income;  | 
employment; supplemental security income; social security  | 
numbers; National Provider Identifier (NPI) numbers; the  | 
National Practitioner Data Bank (NPDB); program and agency  | 
exclusions; taxpayer identification numbers; tax delinquency;  | 
corporate information; and death records. | 
 The Illinois Department shall enter into agreements with  | 
State agencies and departments, and is authorized to enter  | 
into agreements with federal agencies and departments, under  | 
which such agencies and departments shall share data necessary  | 
for medical assistance program integrity functions and  | 
oversight. The Illinois Department shall develop, in  | 
cooperation with other State departments and agencies, and in  | 
compliance with applicable federal laws and regulations,  | 
appropriate and effective methods to share such data. At a  | 
minimum, and to the extent necessary to provide data sharing,  | 
the Illinois Department shall enter into agreements with State  | 
agencies and departments, and is authorized to enter into  | 
 | 
agreements with federal agencies and departments, including,  | 
but not limited to: the Secretary of State; the Department of  | 
Revenue; the Department of Public Health; the Department of  | 
Human Services; and the Department of Financial and  | 
Professional Regulation. | 
 Beginning in fiscal year 2013, the Illinois Department  | 
shall set forth a request for information to identify the  | 
benefits of a pre-payment, post-adjudication, and post-edit  | 
claims system with the goals of streamlining claims processing  | 
and provider reimbursement, reducing the number of pending or  | 
rejected claims, and helping to ensure a more transparent  | 
adjudication process through the utilization of: (i) provider  | 
data verification and provider screening technology; and (ii)  | 
clinical code editing; and (iii) pre-pay, pre-adjudicated, or  | 
post-adjudicated predictive modeling with an integrated case  | 
management system with link analysis. Such a request for  | 
information shall not be considered as a request for proposal  | 
or as an obligation on the part of the Illinois Department to  | 
take any action or acquire any products or services.  | 
 The Illinois Department shall establish policies,  | 
procedures, standards and criteria by rule for the  | 
acquisition, repair and replacement of orthotic and prosthetic  | 
devices and durable medical equipment. Such rules shall  | 
provide, but not be limited to, the following services: (1)  | 
immediate repair or replacement of such devices by recipients;  | 
and (2) rental, lease, purchase or lease-purchase of durable  | 
 | 
medical equipment in a cost-effective manner, taking into  | 
consideration the recipient's medical prognosis, the extent of  | 
the recipient's needs, and the requirements and costs for  | 
maintaining such equipment. Subject to prior approval, such  | 
rules shall enable a recipient to temporarily acquire and use  | 
alternative or substitute devices or equipment pending repairs  | 
or replacements of any device or equipment previously  | 
authorized for such recipient by the Department.  | 
Notwithstanding any provision of Section 5-5f to the contrary,  | 
the Department may, by rule, exempt certain replacement  | 
wheelchair parts from prior approval and, for wheelchairs,  | 
wheelchair parts, wheelchair accessories, and related seating  | 
and positioning items, determine the wholesale price by  | 
methods other than actual acquisition costs. | 
 The Department shall require, by rule, all providers of  | 
durable medical equipment to be accredited by an accreditation  | 
organization approved by the federal Centers for Medicare and  | 
Medicaid Services and recognized by the Department in order to  | 
bill the Department for providing durable medical equipment to  | 
recipients. No later than 15 months after the effective date  | 
of the rule adopted pursuant to this paragraph, all providers  | 
must meet the accreditation requirement. | 
 In order to promote environmental responsibility, meet the  | 
needs of recipients and enrollees, and achieve significant  | 
cost savings, the Department, or a managed care organization  | 
under contract with the Department, may provide recipients or  | 
 | 
managed care enrollees who have a prescription or Certificate  | 
of Medical Necessity access to refurbished durable medical  | 
equipment under this Section (excluding prosthetic and  | 
orthotic devices as defined in the Orthotics, Prosthetics, and  | 
Pedorthics Practice Act and complex rehabilitation technology  | 
products and associated services) through the State's  | 
assistive technology program's reutilization program, using  | 
staff with the Assistive Technology Professional (ATP)  | 
Certification if the refurbished durable medical equipment:  | 
(i) is available; (ii) is less expensive, including shipping  | 
costs, than new durable medical equipment of the same type;  | 
(iii) is able to withstand at least 3 years of use; (iv) is  | 
cleaned, disinfected, sterilized, and safe in accordance with  | 
federal Food and Drug Administration regulations and guidance  | 
governing the reprocessing of medical devices in health care  | 
settings; and (v) equally meets the needs of the recipient or  | 
enrollee. The reutilization program shall confirm that the  | 
recipient or enrollee is not already in receipt of the same or  | 
similar equipment from another service provider, and that the  | 
refurbished durable medical equipment equally meets the needs  | 
of the recipient or enrollee. Nothing in this paragraph shall  | 
be construed to limit recipient or enrollee choice to obtain  | 
new durable medical equipment or place any additional prior  | 
authorization conditions on enrollees of managed care  | 
organizations.  | 
 The Department shall execute, relative to the nursing home  | 
 | 
prescreening project, written inter-agency agreements with the  | 
Department of Human Services and the Department on Aging, to  | 
effect the following: (i) intake procedures and common  | 
eligibility criteria for those persons who are receiving  | 
non-institutional services; and (ii) the establishment and  | 
development of non-institutional services in areas of the  | 
State where they are not currently available or are  | 
undeveloped; and (iii) notwithstanding any other provision of  | 
law, subject to federal approval, on and after July 1, 2012, an  | 
increase in the determination of need (DON) scores from 29 to  | 
37 for applicants for institutional and home and  | 
community-based long term care; if and only if federal  | 
approval is not granted, the Department may, in conjunction  | 
with other affected agencies, implement utilization controls  | 
or changes in benefit packages to effectuate a similar savings  | 
amount for this population; and (iv) no later than July 1,  | 
2013, minimum level of care eligibility criteria for  | 
institutional and home and community-based long term care; and  | 
(v) no later than October 1, 2013, establish procedures to  | 
permit long term care providers access to eligibility scores  | 
for individuals with an admission date who are seeking or  | 
receiving services from the long term care provider. In order  | 
to select the minimum level of care eligibility criteria, the  | 
Governor shall establish a workgroup that includes affected  | 
agency representatives and stakeholders representing the  | 
institutional and home and community-based long term care  | 
 | 
interests. This Section shall not restrict the Department from  | 
implementing lower level of care eligibility criteria for  | 
community-based services in circumstances where federal  | 
approval has been granted.  | 
 The Illinois Department shall develop and operate, in  | 
cooperation with other State Departments and agencies and in  | 
compliance with applicable federal laws and regulations,  | 
appropriate and effective systems of health care evaluation  | 
and programs for monitoring of utilization of health care  | 
services and facilities, as it affects persons eligible for  | 
medical assistance under this Code.  | 
 The Illinois Department shall report annually to the  | 
General Assembly, no later than the second Friday in April of  | 
1979 and each year thereafter, in regard to:  | 
  (a) actual statistics and trends in utilization of  | 
 medical services by public aid recipients;  | 
  (b) actual statistics and trends in the provision of  | 
 the various medical services by medical vendors;  | 
  (c) current rate structures and proposed changes in  | 
 those rate structures for the various medical vendors; and  | 
  (d) efforts at utilization review and control by the  | 
 Illinois Department.  | 
 The period covered by each report shall be the 3 years  | 
ending on the June 30 prior to the report. The report shall  | 
include suggested legislation for consideration by the General  | 
Assembly. The requirement for reporting to the General  | 
 | 
Assembly shall be satisfied by filing copies of the report as  | 
required by Section 3.1 of the General Assembly Organization  | 
Act, and filing such additional copies with the State  | 
Government Report Distribution Center for the General Assembly  | 
as is required under paragraph (t) of Section 7 of the State  | 
Library Act.  | 
 Rulemaking authority to implement Public Act 95-1045, if  | 
any, is conditioned on the rules being adopted in accordance  | 
with all provisions of the Illinois Administrative Procedure  | 
Act and all rules and procedures of the Joint Committee on  | 
Administrative Rules; any purported rule not so adopted, for  | 
whatever reason, is unauthorized.  | 
 On and after July 1, 2012, the Department shall reduce any  | 
rate of reimbursement for services or other payments or alter  | 
any methodologies authorized by this Code to reduce any rate  | 
of reimbursement for services or other payments in accordance  | 
with Section 5-5e.  | 
 Because kidney transplantation can be an appropriate,  | 
cost-effective alternative to renal dialysis when medically  | 
necessary and notwithstanding the provisions of Section 1-11  | 
of this Code, beginning October 1, 2014, the Department shall  | 
cover kidney transplantation for noncitizens with end-stage  | 
renal disease who are not eligible for comprehensive medical  | 
benefits, who meet the residency requirements of Section 5-3  | 
of this Code, and who would otherwise meet the financial  | 
requirements of the appropriate class of eligible persons  | 
 | 
under Section 5-2 of this Code. To qualify for coverage of  | 
kidney transplantation, such person must be receiving  | 
emergency renal dialysis services covered by the Department.  | 
Providers under this Section shall be prior approved and  | 
certified by the Department to perform kidney transplantation  | 
and the services under this Section shall be limited to  | 
services associated with kidney transplantation.  | 
 Notwithstanding any other provision of this Code to the  | 
contrary, on or after July 1, 2015, all FDA approved forms of  | 
medication assisted treatment prescribed for the treatment of  | 
alcohol dependence or treatment of opioid dependence shall be  | 
covered under both fee-for-service fee for service and managed  | 
care medical assistance programs for persons who are otherwise  | 
eligible for medical assistance under this Article and shall  | 
not be subject to any (1) utilization control, other than  | 
those established under the American Society of Addiction  | 
Medicine patient placement criteria, (2) prior authorization  | 
mandate, or (3) lifetime restriction limit mandate.  | 
 On or after July 1, 2015, opioid antagonists prescribed  | 
for the treatment of an opioid overdose, including the  | 
medication product, administration devices, and any pharmacy  | 
fees or hospital fees related to the dispensing, distribution,  | 
and administration of the opioid antagonist, shall be covered  | 
under the medical assistance program for persons who are  | 
otherwise eligible for medical assistance under this Article.  | 
As used in this Section, "opioid antagonist" means a drug that  | 
 | 
binds to opioid receptors and blocks or inhibits the effect of  | 
opioids acting on those receptors, including, but not limited  | 
to, naloxone hydrochloride or any other similarly acting drug  | 
approved by the U.S. Food and Drug Administration. The  | 
Department shall not impose a copayment on the coverage  | 
provided for naloxone hydrochloride under the medical  | 
assistance program. | 
 Upon federal approval, the Department shall provide  | 
coverage and reimbursement for all drugs that are approved for  | 
marketing by the federal Food and Drug Administration and that  | 
are recommended by the federal Public Health Service or the  | 
United States Centers for Disease Control and Prevention for  | 
pre-exposure prophylaxis and related pre-exposure prophylaxis  | 
services, including, but not limited to, HIV and sexually  | 
transmitted infection screening, treatment for sexually  | 
transmitted infections, medical monitoring, assorted labs, and  | 
counseling to reduce the likelihood of HIV infection among  | 
individuals who are not infected with HIV but who are at high  | 
risk of HIV infection. | 
 A federally qualified health center, as defined in Section  | 
1905(l)(2)(B) of the federal Social Security Act, shall be  | 
reimbursed by the Department in accordance with the federally  | 
qualified health center's encounter rate for services provided  | 
to medical assistance recipients that are performed by a  | 
dental hygienist, as defined under the Illinois Dental  | 
Practice Act, working under the general supervision of a  | 
 | 
dentist and employed by a federally qualified health center.  | 
 Within 90 days after October 8, 2021 (the effective date  | 
of Public Act 102-665), the Department shall seek federal  | 
approval of a State Plan amendment to expand coverage for  | 
family planning services that includes presumptive eligibility  | 
to individuals whose income is at or below 208% of the federal  | 
poverty level. Coverage under this Section shall be effective  | 
beginning no later than December 1, 2022. | 
 Subject to approval by the federal Centers for Medicare  | 
and Medicaid Services of a Title XIX State Plan amendment  | 
electing the Program of All-Inclusive Care for the Elderly  | 
(PACE) as a State Medicaid option, as provided for by Subtitle  | 
I (commencing with Section 4801) of Title IV of the Balanced  | 
Budget Act of 1997 (Public Law 105-33) and Part 460  | 
(commencing with Section 460.2) of Subchapter E of Title 42 of  | 
the Code of Federal Regulations, PACE program services shall  | 
become a covered benefit of the medical assistance program,  | 
subject to criteria established in accordance with all  | 
applicable laws. | 
 Notwithstanding any other provision of this Code,  | 
community-based pediatric palliative care from a trained  | 
interdisciplinary team shall be covered under the medical  | 
assistance program as provided in Section 15 of the Pediatric  | 
Palliative Care Act. | 
 Notwithstanding any other provision of this Code, within  | 
12 months after June 2, 2022 (the effective date of Public Act  | 
 | 
102-1037) and subject to federal approval, acupuncture  | 
services performed by an acupuncturist licensed under the  | 
Acupuncture Practice Act who is acting within the scope of his  | 
or her license shall be covered under the medical assistance  | 
program. The Department shall apply for any federal waiver or  | 
State Plan amendment, if required, to implement this  | 
paragraph. The Department may adopt any rules, including  | 
standards and criteria, necessary to implement this paragraph.  | 
 Notwithstanding any other provision of this Code, the  | 
medical assistance program shall, subject to appropriation and  | 
federal approval, reimburse hospitals for costs associated  | 
with a newborn screening test for the presence of  | 
metachromatic leukodystrophy, as required under the Newborn  | 
Metabolic Screening Act, at a rate not less than the fee  | 
charged by the Department of Public Health. The Department  | 
shall seek federal approval before the implementation of the  | 
newborn screening test fees by the Department of Public  | 
Health.  | 
 Notwithstanding any other provision of this Code,  | 
beginning on January 1, 2024, subject to federal approval,  | 
cognitive assessment and care planning services provided to a  | 
person who experiences signs or symptoms of cognitive  | 
impairment, as defined by the Diagnostic and Statistical  | 
Manual of Mental Disorders, Fifth Edition, shall be covered  | 
under the medical assistance program for persons who are  | 
otherwise eligible for medical assistance under this Article.  | 
 | 
 Notwithstanding any other provision of this Code,  | 
medically necessary reconstructive services that are intended  | 
to restore physical appearance shall be covered under the  | 
medical assistance program for persons who are otherwise  | 
eligible for medical assistance under this Article. As used in  | 
this paragraph, "reconstructive services" means treatments  | 
performed on structures of the body damaged by trauma to  | 
restore physical appearance.  | 
(Source: P.A. 102-43, Article 30, Section 30-5, eff. 7-6-21;  | 
102-43, Article 35, Section 35-5, eff. 7-6-21; 102-43, Article  | 
55, Section 55-5, eff. 7-6-21; 102-95, eff. 1-1-22; 102-123,  | 
eff. 1-1-22; 102-558, eff. 8-20-21; 102-598, eff. 1-1-22;  | 
102-655, eff. 1-1-22; 102-665, eff. 10-8-21; 102-813, eff.  | 
5-13-22; 102-1018, eff. 1-1-23; 102-1037, eff. 6-2-22;  | 
102-1038, eff. 1-1-23; 103-102, Article 15, Section 15-5, eff.  | 
1-1-24; 103-102, Article 95, Section 95-15, eff. 1-1-24;  | 
103-123, eff. 1-1-24; 103-154, eff. 6-30-23; 103-368, eff.  | 
1-1-24; revised 12-15-23.)
 | 
 (305 ILCS 5/5-5.01a) | 
 Sec. 5-5.01a. Supportive living facilities program.  | 
 (a) The Department shall establish and provide oversight  | 
for a program of supportive living facilities that seek to  | 
promote resident independence, dignity, respect, and  | 
well-being in the most cost-effective manner. | 
 A supportive living facility is (i) a free-standing  | 
 | 
facility or (ii) a distinct physical and operational entity  | 
within a mixed-use building that meets the criteria  | 
established in subsection (d). A supportive living facility  | 
integrates housing with health, personal care, and supportive  | 
services and is a designated setting that offers residents  | 
their own separate, private, and distinct living units. | 
 Sites for the operation of the program shall be selected  | 
by the Department based upon criteria that may include the  | 
need for services in a geographic area, the availability of  | 
funding, and the site's ability to meet the standards. | 
 (b) Beginning July 1, 2014, subject to federal approval,  | 
the Medicaid rates for supportive living facilities shall be  | 
equal to the supportive living facility Medicaid rate  | 
effective on June 30, 2014 increased by 8.85%. Once the  | 
assessment imposed at Article V-G of this Code is determined  | 
to be a permissible tax under Title XIX of the Social Security  | 
Act, the Department shall increase the Medicaid rates for  | 
supportive living facilities effective on July 1, 2014 by  | 
9.09%. The Department shall apply this increase retroactively  | 
to coincide with the imposition of the assessment in Article  | 
V-G of this Code in accordance with the approval for federal  | 
financial participation by the Centers for Medicare and  | 
Medicaid Services.  | 
 The Medicaid rates for supportive living facilities  | 
effective on July 1, 2017 must be equal to the rates in effect  | 
for supportive living facilities on June 30, 2017 increased by  | 
 | 
2.8%.  | 
 The Medicaid rates for supportive living facilities  | 
effective on July 1, 2018 must be equal to the rates in effect  | 
for supportive living facilities on June 30, 2018.  | 
 Subject to federal approval, the Medicaid rates for  | 
supportive living services on and after July 1, 2019 must be at  | 
least 54.3% of the average total nursing facility services per  | 
diem for the geographic areas defined by the Department while  | 
maintaining the rate differential for dementia care and must  | 
be updated whenever the total nursing facility service per  | 
diems are updated. Beginning July 1, 2022, upon the  | 
implementation of the Patient Driven Payment Model, Medicaid  | 
rates for supportive living services must be at least 54.3% of  | 
the average total nursing services per diem rate for the  | 
geographic areas. For purposes of this provision, the average  | 
total nursing services per diem rate shall include all add-ons  | 
for nursing facilities for the geographic area provided for in  | 
Section 5-5.2. The rate differential for dementia care must be  | 
maintained in these rates and the rates shall be updated  | 
whenever nursing facility per diem rates are updated.  | 
 Subject to federal approval, beginning January 1, 2024,  | 
the dementia care rate for supportive living services must be  | 
no less than the non-dementia care supportive living services  | 
rate multiplied by 1.5.  | 
 (c) The Department may adopt rules to implement this  | 
Section. Rules that establish or modify the services,  | 
 | 
standards, and conditions for participation in the program  | 
shall be adopted by the Department in consultation with the  | 
Department on Aging, the Department of Rehabilitation  | 
Services, and the Department of Mental Health and  | 
Developmental Disabilities (or their successor agencies). | 
 (d) Subject to federal approval by the Centers for  | 
Medicare and Medicaid Services, the Department shall accept  | 
for consideration of certification under the program any  | 
application for a site or building where distinct parts of the  | 
site or building are designated for purposes other than the  | 
provision of supportive living services, but only if:  | 
  (1) those distinct parts of the site or building are  | 
 not designated for the purpose of providing assisted  | 
 living services as required under the Assisted Living and  | 
 Shared Housing Act;  | 
  (2) those distinct parts of the site or building are  | 
 completely separate from the part of the building used for  | 
 the provision of supportive living program services,  | 
 including separate entrances;  | 
  (3) those distinct parts of the site or building do  | 
 not share any common spaces with the part of the building  | 
 used for the provision of supportive living program  | 
 services; and  | 
  (4) those distinct parts of the site or building do  | 
 not share staffing with the part of the building used for  | 
 the provision of supportive living program services.  | 
 | 
 (e) Facilities or distinct parts of facilities which are  | 
selected as supportive living facilities and are in good  | 
standing with the Department's rules are exempt from the  | 
provisions of the Nursing Home Care Act and the Illinois  | 
Health Facilities Planning Act. | 
 (f) Section 9817 of the American Rescue Plan Act of 2021  | 
(Public Law 117-2) authorizes a 10% enhanced federal medical  | 
assistance percentage for supportive living services for a  | 
12-month period from April 1, 2021 through March 31, 2022.  | 
Subject to federal approval, including the approval of any  | 
necessary waiver amendments or other federally required  | 
documents or assurances, for a 12-month period the Department  | 
must pay a supplemental $26 per diem rate to all supportive  | 
living facilities with the additional federal financial  | 
participation funds that result from the enhanced federal  | 
medical assistance percentage from April 1, 2021 through March  | 
31, 2022. The Department may issue parameters around how the  | 
supplemental payment should be spent, including quality  | 
improvement activities. The Department may alter the form,  | 
methods, or timeframes concerning the supplemental per diem  | 
rate to comply with any subsequent changes to federal law,  | 
changes made by guidance issued by the federal Centers for  | 
Medicare and Medicaid Services, or other changes necessary to  | 
receive the enhanced federal medical assistance percentage.  | 
 (g) All applications for the expansion of supportive  | 
living dementia care settings involving sites not approved by  | 
 | 
the Department on January 1, 2024 (the effective date of  | 
Public Act 103-102) this amendatory Act of the 103rd General  | 
Assembly may allow new elderly non-dementia units in addition  | 
to new dementia care units. The Department may approve such  | 
applications only if the application has: (1) no more than one  | 
non-dementia care unit for each dementia care unit and (2) the  | 
site is not located within 4 miles of an existing supportive  | 
living program site in Cook County (including the City of  | 
Chicago), not located within 12 miles of an existing  | 
supportive living program site in DuPage County, Kane County,  | 
Lake County, McHenry County, or Will County, or not located  | 
within 25 miles of an existing supportive living program site  | 
in any other county.  | 
(Source: P.A. 102-43, eff. 7-6-21; 102-699, eff. 4-19-22;  | 
103-102, Article 20, Section 20-5, eff. 1-1-24; 103-102,  | 
Article 100, Section 100-5, eff. 1-1-24; revised 12-15-23.)
 | 
 (305 ILCS 5/5-5.05) | 
 Sec. 5-5.05. Hospitals; psychiatric services. | 
 (a) On and after January 1, 2024, the inpatient, per diem  | 
rate to be paid to a hospital for inpatient psychiatric  | 
services shall be not less than 90% of the per diem rate  | 
established in accordance with subsection paragraph (b-5) of  | 
this Section, subject to the provisions of Section 14-12.5. | 
 (b) For purposes of this Section, "hospital" means a  | 
hospital with a distinct part unit for psychiatric services.  | 
 | 
 For purposes of this Section, "inpatient psychiatric  | 
services" means those services provided to patients who are in  | 
need of short-term acute inpatient hospitalization for active  | 
treatment of an emotional or mental disorder. | 
 (b-5) Notwithstanding any other provision of this Section,  | 
the inpatient, per diem rate to be paid to all safety-net  | 
hospitals for inpatient psychiatric services on and after  | 
January 1, 2021 shall be at least $630, subject to the  | 
provisions of Section 14-12.5.  | 
 (b-10) Notwithstanding any other provision of this  | 
Section, effective with dates of service on and after January  | 
1, 2022, any general acute care hospital with more than 9,500  | 
inpatient psychiatric Medicaid days in any calendar year shall  | 
be paid the inpatient per diem rate of no less than $630,  | 
subject to the provisions of Section 14-12.5.  | 
 (c) No rules shall be promulgated to implement this  | 
Section. For purposes of this Section, "rules" is given the  | 
meaning contained in Section 1-70 of the Illinois  | 
Administrative Procedure Act. | 
 (d) (Blank). | 
 (e) On and after July 1, 2012, the Department shall reduce  | 
any rate of reimbursement for services or other payments or  | 
alter any methodologies authorized by this Code to reduce any  | 
rate of reimbursement for services or other payments in  | 
accordance with Section 5-5e.  | 
(Source: P.A. 102-4, eff. 4-27-21; 102-674, eff. 11-30-21;  | 
 | 
103-102, eff. 6-16-23; revised 9-21-23.)
 | 
 (305 ILCS 5/5-5.2) | 
 Sec. 5-5.2. Payment.  | 
 (a) All nursing facilities that are grouped pursuant to  | 
Section 5-5.1 of this Act shall receive the same rate of  | 
payment for similar services. | 
 (b) It shall be a matter of State policy that the Illinois  | 
Department shall utilize a uniform billing cycle throughout  | 
the State for the long-term care providers. | 
 (c) (Blank).  | 
 (c-1) Notwithstanding any other provisions of this Code,  | 
the methodologies for reimbursement of nursing services as  | 
provided under this Article shall no longer be applicable for  | 
bills payable for nursing services rendered on or after a new  | 
reimbursement system based on the Patient Driven Payment Model  | 
(PDPM) has been fully operationalized, which shall take effect  | 
for services provided on or after the implementation of the  | 
PDPM reimbursement system begins. For the purposes of Public  | 
Act 102-1035 this amendatory Act of the 102nd General  | 
Assembly, the implementation date of the PDPM reimbursement  | 
system and all related provisions shall be July 1, 2022 if the  | 
following conditions are met: (i) the Centers for Medicare and  | 
Medicaid Services has approved corresponding changes in the  | 
reimbursement system and bed assessment; and (ii) the  | 
Department has filed rules to implement these changes no later  | 
 | 
than June 1, 2022. Failure of the Department to file rules to  | 
implement the changes provided in Public Act 102-1035 this  | 
amendatory Act of the 102nd General Assembly no later than  | 
June 1, 2022 shall result in the implementation date being  | 
delayed to October 1, 2022.  | 
 (d) The new nursing services reimbursement methodology  | 
utilizing the Patient Driven Payment Model, which shall be  | 
referred to as the PDPM reimbursement system, taking effect  | 
July 1, 2022, upon federal approval by the Centers for  | 
Medicare and Medicaid Services, shall be based on the  | 
following:  | 
  (1) The methodology shall be resident-centered,  | 
 facility-specific, cost-based, and based on guidance from  | 
 the Centers for Medicare and Medicaid Services.  | 
  (2) Costs shall be annually rebased and case mix index  | 
 quarterly updated. The nursing services methodology will  | 
 be assigned to the Medicaid enrolled residents on record  | 
 as of 30 days prior to the beginning of the rate period in  | 
 the Department's Medicaid Management Information System  | 
 (MMIS) as present on the last day of the second quarter  | 
 preceding the rate period based upon the Assessment  | 
 Reference Date of the Minimum Data Set (MDS).  | 
  (3) Regional wage adjustors based on the Health  | 
 Service Areas (HSA) groupings and adjusters in effect on  | 
 April 30, 2012 shall be included, except no adjuster shall  | 
 be lower than 1.06.  | 
 | 
  (4) PDPM nursing case mix indices in effect on March  | 
 1, 2022 shall be assigned to each resident class at no less  | 
 than 0.7858 of the Centers for Medicare and Medicaid  | 
 Services PDPM unadjusted case mix values, in effect on  | 
 March 1, 2022. | 
  (5) The pool of funds available for distribution by  | 
 case mix and the base facility rate shall be determined  | 
 using the formula contained in subsection (d-1).  | 
  (6) The Department shall establish a variable per diem  | 
 staffing add-on in accordance with the most recent  | 
 available federal staffing report, currently the Payroll  | 
 Based Journal, for the same period of time, and if  | 
 applicable adjusted for acuity using the same quarter's  | 
 MDS. The Department shall rely on Payroll Based Journals  | 
 provided to the Department of Public Health to make a  | 
 determination of non-submission. If the Department is  | 
 notified by a facility of missing or inaccurate Payroll  | 
 Based Journal data or an incorrect calculation of  | 
 staffing, the Department must make a correction as soon as  | 
 the error is verified for the applicable quarter. | 
  Facilities with at least 70% of the staffing indicated  | 
 by the STRIVE study shall be paid a per diem add-on of $9,  | 
 increasing by equivalent steps for each whole percentage  | 
 point until the facilities reach a per diem of $14.88.  | 
 Facilities with at least 80% of the staffing indicated by  | 
 the STRIVE study shall be paid a per diem add-on of $14.88,  | 
 | 
 increasing by equivalent steps for each whole percentage  | 
 point until the facilities reach a per diem add-on of  | 
 $23.80. Facilities with at least 92% of the staffing  | 
 indicated by the STRIVE study shall be paid a per diem  | 
 add-on of $23.80, increasing by equivalent steps for each  | 
 whole percentage point until the facilities reach a per  | 
 diem add-on of $29.75. Facilities with at least 100% of  | 
 the staffing indicated by the STRIVE study shall be paid a  | 
 per diem add-on of $29.75, increasing by equivalent steps  | 
 for each whole percentage point until the facilities reach  | 
 a per diem add-on of $35.70. Facilities with at least 110%  | 
 of the staffing indicated by the STRIVE study shall be  | 
 paid a per diem add-on of $35.70, increasing by equivalent  | 
 steps for each whole percentage point until the facilities  | 
 reach a per diem add-on of $38.68. Facilities with at  | 
 least 125% or higher of the staffing indicated by the  | 
 STRIVE study shall be paid a per diem add-on of $38.68.  | 
 Beginning April 1, 2023, no nursing facility's variable  | 
 staffing per diem add-on shall be reduced by more than 5%  | 
 in 2 consecutive quarters. For the quarters beginning July  | 
 1, 2022 and October 1, 2022, no facility's variable per  | 
 diem staffing add-on shall be calculated at a rate lower  | 
 than 85% of the staffing indicated by the STRIVE study. No  | 
 facility below 70% of the staffing indicated by the STRIVE  | 
 study shall receive a variable per diem staffing add-on  | 
 after December 31, 2022.  | 
 | 
  (7) For dates of services beginning July 1, 2022, the  | 
 PDPM nursing component per diem for each nursing facility  | 
 shall be the product of the facility's (i) statewide PDPM  | 
 nursing base per diem rate, $92.25, adjusted for the  | 
 facility average PDPM case mix index calculated quarterly  | 
 and (ii) the regional wage adjuster, and then add the  | 
 Medicaid access adjustment as defined in (e-3) of this  | 
 Section. Transition rates for services provided between  | 
 July 1, 2022 and October 1, 2023 shall be the greater of  | 
 the PDPM nursing component per diem or:  | 
   (A) for the quarter beginning July 1, 2022, the  | 
 RUG-IV nursing component per diem; | 
   (B) for the quarter beginning October 1, 2022, the  | 
 sum of the RUG-IV nursing component per diem  | 
 multiplied by 0.80 and the PDPM nursing component per  | 
 diem multiplied by 0.20; | 
   (C) for the quarter beginning January 1, 2023, the  | 
 sum of the RUG-IV nursing component per diem  | 
 multiplied by 0.60 and the PDPM nursing component per  | 
 diem multiplied by 0.40; | 
   (D) for the quarter beginning April 1, 2023, the  | 
 sum of the RUG-IV nursing component per diem  | 
 multiplied by 0.40 and the PDPM nursing component per  | 
 diem multiplied by 0.60; | 
   (E) for the quarter beginning July 1, 2023, the  | 
 sum of the RUG-IV nursing component per diem  | 
 | 
 multiplied by 0.20 and the PDPM nursing component per  | 
 diem multiplied by 0.80; or | 
   (F) for the quarter beginning October 1, 2023 and  | 
 each subsequent quarter, the transition rate shall end  | 
 and a nursing facility shall be paid 100% of the PDPM  | 
 nursing component per diem. | 
 (d-1) Calculation of base year Statewide RUG-IV nursing  | 
base per diem rate.  | 
  (1) Base rate spending pool shall be:  | 
   (A) The base year resident days which are  | 
 calculated by multiplying the number of Medicaid  | 
 residents in each nursing home as indicated in the MDS  | 
 data defined in paragraph (4) by 365. | 
   (B) Each facility's nursing component per diem in  | 
 effect on July 1, 2012 shall be multiplied by  | 
 subsection (A). | 
   (C) Thirteen million is added to the product of  | 
 subparagraph (A) and subparagraph (B) to adjust for  | 
 the exclusion of nursing homes defined in paragraph  | 
 (5).  | 
  (2) For each nursing home with Medicaid residents as  | 
 indicated by the MDS data defined in paragraph (4),  | 
 weighted days adjusted for case mix and regional wage  | 
 adjustment shall be calculated. For each home this  | 
 calculation is the product of: | 
   (A) Base year resident days as calculated in  | 
 | 
 subparagraph (A) of paragraph (1). | 
   (B) The nursing home's regional wage adjustor  | 
 based on the Health Service Areas (HSA) groupings and  | 
 adjustors in effect on April 30, 2012. | 
   (C) Facility weighted case mix which is the number  | 
 of Medicaid residents as indicated by the MDS data  | 
 defined in paragraph (4) multiplied by the associated  | 
 case weight for the RUG-IV 48 grouper model using  | 
 standard RUG-IV procedures for index maximization. | 
   (D) The sum of the products calculated for each  | 
 nursing home in subparagraphs (A) through (C) above  | 
 shall be the base year case mix, rate adjusted  | 
 weighted days. | 
  (3) The Statewide RUG-IV nursing base per diem rate: | 
   (A) on January 1, 2014 shall be the quotient of the  | 
 paragraph (1) divided by the sum calculated under  | 
 subparagraph (D) of paragraph (2); | 
   (B) on and after July 1, 2014 and until July 1,  | 
 2022, shall be the amount calculated under  | 
 subparagraph (A) of this paragraph (3) plus $1.76; and  | 
   (C) beginning July 1, 2022 and thereafter, $7  | 
 shall be added to the amount calculated under  | 
 subparagraph (B) of this paragraph (3) of this  | 
 Section.  | 
  (4) Minimum Data Set (MDS) comprehensive assessments  | 
 for Medicaid residents on the last day of the quarter used  | 
 | 
 to establish the base rate. | 
  (5) Nursing facilities designated as of July 1, 2012  | 
 by the Department as "Institutions for Mental Disease"  | 
 shall be excluded from all calculations under this  | 
 subsection. The data from these facilities shall not be  | 
 used in the computations described in paragraphs (1)  | 
 through (4) above to establish the base rate.  | 
 (e) Beginning July 1, 2014, the Department shall allocate  | 
funding in the amount up to $10,000,000 for per diem add-ons to  | 
the RUGS methodology for dates of service on and after July 1,  | 
2014: | 
  (1) $0.63 for each resident who scores in I4200  | 
 Alzheimer's Disease or I4800 non-Alzheimer's Dementia. | 
  (2) $2.67 for each resident who scores either a "1" or  | 
 "2" in any items S1200A through S1200I and also scores in  | 
 RUG groups PA1, PA2, BA1, or BA2. | 
 (e-1) (Blank). | 
 (e-2) For dates of services beginning January 1, 2014 and  | 
ending September 30, 2023, the RUG-IV nursing component per  | 
diem for a nursing home shall be the product of the statewide  | 
RUG-IV nursing base per diem rate, the facility average case  | 
mix index, and the regional wage adjustor. For dates of  | 
service beginning July 1, 2022 and ending September 30, 2023,  | 
the Medicaid access adjustment described in subsection (e-3)  | 
shall be added to the product.  | 
 (e-3) A Medicaid Access Adjustment of $4 adjusted for the  | 
 | 
facility average PDPM case mix index calculated quarterly  | 
shall be added to the statewide PDPM nursing per diem for all  | 
facilities with annual Medicaid bed days of at least 70% of all  | 
occupied bed days adjusted quarterly. For each new calendar  | 
year and for the 6-month period beginning July 1, 2022, the  | 
percentage of a facility's occupied bed days comprised of  | 
Medicaid bed days shall be determined by the Department  | 
quarterly. For dates of service beginning January 1, 2023, the  | 
Medicaid Access Adjustment shall be increased to $4.75. This  | 
subsection shall be inoperative on and after January 1, 2028.  | 
 (e-4) Subject to federal approval, on and after January 1,  | 
2024, the Department shall increase the rate add-on at  | 
paragraph (7) subsection (a) under 89 Ill. Adm. Code 147.335  | 
for ventilator services from $208 per day to $481 per day.  | 
Payment is subject to the criteria and requirements under 89  | 
Ill. Adm. Code 147.335.  | 
 (f) (Blank). | 
 (g) Notwithstanding any other provision of this Code, on  | 
and after July 1, 2012, for facilities not designated by the  | 
Department of Healthcare and Family Services as "Institutions  | 
for Mental Disease", rates effective May 1, 2011 shall be  | 
adjusted as follows: | 
  (1) (Blank); | 
  (2) (Blank); | 
  (3) Facility rates for the capital and support  | 
 components shall be reduced by 1.7%. | 
 | 
 (h) Notwithstanding any other provision of this Code, on  | 
and after July 1, 2012, nursing facilities designated by the  | 
Department of Healthcare and Family Services as "Institutions  | 
for Mental Disease" and "Institutions for Mental Disease" that  | 
are facilities licensed under the Specialized Mental Health  | 
Rehabilitation Act of 2013 shall have the nursing,  | 
socio-developmental, capital, and support components of their  | 
reimbursement rate effective May 1, 2011 reduced in total by  | 
2.7%. | 
 (i) On and after July 1, 2014, the reimbursement rates for  | 
the support component of the nursing facility rate for  | 
facilities licensed under the Nursing Home Care Act as skilled  | 
or intermediate care facilities shall be the rate in effect on  | 
June 30, 2014 increased by 8.17%.  | 
 (i-1) Subject to federal approval, on and after January 1,  | 
2024, the reimbursement rates for the support component of the  | 
nursing facility rate for facilities licensed under the  | 
Nursing Home Care Act as skilled or intermediate care  | 
facilities shall be the rate in effect on June 30, 2023  | 
increased by 12%.  | 
 (j) Notwithstanding any other provision of law, subject to  | 
federal approval, effective July 1, 2019, sufficient funds  | 
shall be allocated for changes to rates for facilities  | 
licensed under the Nursing Home Care Act as skilled nursing  | 
facilities or intermediate care facilities for dates of  | 
services on and after July 1, 2019: (i) to establish, through  | 
 | 
June 30, 2022 a per diem add-on to the direct care per diem  | 
rate not to exceed $70,000,000 annually in the aggregate  | 
taking into account federal matching funds for the purpose of  | 
addressing the facility's unique staffing needs, adjusted  | 
quarterly and distributed by a weighted formula based on  | 
Medicaid bed days on the last day of the second quarter  | 
preceding the quarter for which the rate is being adjusted.  | 
Beginning July 1, 2022, the annual $70,000,000 described in  | 
the preceding sentence shall be dedicated to the variable per  | 
diem add-on for staffing under paragraph (6) of subsection  | 
(d); and (ii) in an amount not to exceed $170,000,000 annually  | 
in the aggregate taking into account federal matching funds to  | 
permit the support component of the nursing facility rate to  | 
be updated as follows: | 
  (1) 80%, or $136,000,000, of the funds shall be used  | 
 to update each facility's rate in effect on June 30, 2019  | 
 using the most recent cost reports on file, which have had  | 
 a limited review conducted by the Department of Healthcare  | 
 and Family Services and will not hold up enacting the rate  | 
 increase, with the Department of Healthcare and Family  | 
 Services.  | 
  (2) After completing the calculation in paragraph (1),  | 
 any facility whose rate is less than the rate in effect on  | 
 June 30, 2019 shall have its rate restored to the rate in  | 
 effect on June 30, 2019 from the 20% of the funds set  | 
 aside.  | 
 | 
  (3) The remainder of the 20%, or $34,000,000, shall be  | 
 used to increase each facility's rate by an equal  | 
 percentage.  | 
 (k) During the first quarter of State Fiscal Year 2020,  | 
the Department of Healthcare of Family Services must convene a  | 
technical advisory group consisting of members of all trade  | 
associations representing Illinois skilled nursing providers  | 
to discuss changes necessary with federal implementation of  | 
Medicare's Patient-Driven Payment Model. Implementation of  | 
Medicare's Patient-Driven Payment Model shall, by September 1,  | 
2020, end the collection of the MDS data that is necessary to  | 
maintain the current RUG-IV Medicaid payment methodology. The  | 
technical advisory group must consider a revised reimbursement  | 
methodology that takes into account transparency,  | 
accountability, actual staffing as reported under the  | 
federally required Payroll Based Journal system, changes to  | 
the minimum wage, adequacy in coverage of the cost of care, and  | 
a quality component that rewards quality improvements. | 
 (l) The Department shall establish per diem add-on  | 
payments to improve the quality of care delivered by  | 
facilities, including: | 
  (1) Incentive payments determined by facility  | 
 performance on specified quality measures in an initial  | 
 amount of $70,000,000. Nothing in this subsection shall be  | 
 construed to limit the quality of care payments in the  | 
 aggregate statewide to $70,000,000, and, if quality of  | 
 | 
 care has improved across nursing facilities, the  | 
 Department shall adjust those add-on payments accordingly.  | 
 The quality payment methodology described in this  | 
 subsection must be used for at least State Fiscal Year  | 
 2023. Beginning with the quarter starting July 1, 2023,  | 
 the Department may add, remove, or change quality metrics  | 
 and make associated changes to the quality payment  | 
 methodology as outlined in subparagraph (E). Facilities  | 
 designated by the Centers for Medicare and Medicaid  | 
 Services as a special focus facility or a hospital-based  | 
 nursing home do not qualify for quality payments. | 
   (A) Each quality pool must be distributed by  | 
 assigning a quality weighted score for each nursing  | 
 home which is calculated by multiplying the nursing  | 
 home's quality base period Medicaid days by the  | 
 nursing home's star rating weight in that period. | 
   (B) Star rating weights are assigned based on the  | 
 nursing home's star rating for the LTS quality star  | 
 rating. As used in this subparagraph, "LTS quality  | 
 star rating" means the long-term stay quality rating  | 
 for each nursing facility, as assigned by the Centers  | 
 for Medicare and Medicaid Services under the Five-Star  | 
 Quality Rating System. The rating is a number ranging  | 
 from 0 (lowest) to 5 (highest). | 
    (i) Zero-star or one-star rating has a weight  | 
 of 0. | 
 | 
    (ii) Two-star rating has a weight of 0.75. | 
    (iii) Three-star rating has a weight of 1.5.  | 
    (iv) Four-star rating has a weight of 2.5. | 
    (v) Five-star rating has a weight of 3.5. | 
   (C) Each nursing home's quality weight score is  | 
 divided by the sum of all quality weight scores for  | 
 qualifying nursing homes to determine the proportion  | 
 of the quality pool to be paid to the nursing home.  | 
   (D) The quality pool is no less than $70,000,000  | 
 annually or $17,500,000 per quarter. The Department  | 
 shall publish on its website the estimated payments  | 
 and the associated weights for each facility 45 days  | 
 prior to when the initial payments for the quarter are  | 
 to be paid. The Department shall assign each facility  | 
 the most recent and applicable quarter's STAR value  | 
 unless the facility notifies the Department within 15  | 
 days of an issue and the facility provides reasonable  | 
 evidence demonstrating its timely compliance with  | 
 federal data submission requirements for the quarter  | 
 of record. If such evidence cannot be provided to the  | 
 Department, the STAR rating assigned to the facility  | 
 shall be reduced by one from the prior quarter.  | 
   (E) The Department shall review quality metrics  | 
 used for payment of the quality pool and make  | 
 recommendations for any associated changes to the  | 
 methodology for distributing quality pool payments in  | 
 | 
 consultation with associations representing long-term  | 
 care providers, consumer advocates, organizations  | 
 representing workers of long-term care facilities, and  | 
 payors. The Department may establish, by rule, changes  | 
 to the methodology for distributing quality pool  | 
 payments.  | 
   (F) The Department shall disburse quality pool  | 
 payments from the Long-Term Care Provider Fund on a  | 
 monthly basis in amounts proportional to the total  | 
 quality pool payment determined for the quarter.  | 
   (G) The Department shall publish any changes in  | 
 the methodology for distributing quality pool payments  | 
 prior to the beginning of the measurement period or  | 
 quality base period for any metric added to the  | 
 distribution's methodology.  | 
  (2) Payments based on CNA tenure, promotion, and CNA  | 
 training for the purpose of increasing CNA compensation.  | 
 It is the intent of this subsection that payments made in  | 
 accordance with this paragraph be directly incorporated  | 
 into increased compensation for CNAs. As used in this  | 
 paragraph, "CNA" means a certified nursing assistant as  | 
 that term is described in Section 3-206 of the Nursing  | 
 Home Care Act, Section 3-206 of the ID/DD Community Care  | 
 Act, and Section 3-206 of the MC/DD Act. The Department  | 
 shall establish, by rule, payments to nursing facilities  | 
 equal to Medicaid's share of the tenure wage increments  | 
 | 
 specified in this paragraph for all reported CNA employee  | 
 hours compensated according to a posted schedule  | 
 consisting of increments at least as large as those  | 
 specified in this paragraph. The increments are as  | 
 follows: an additional $1.50 per hour for CNAs with at  | 
 least one and less than 2 years' experience plus another  | 
 $1 per hour for each additional year of experience up to a  | 
 maximum of $6.50 for CNAs with at least 6 years of  | 
 experience. For purposes of this paragraph, Medicaid's  | 
 share shall be the ratio determined by paid Medicaid bed  | 
 days divided by total bed days for the applicable time  | 
 period used in the calculation. In addition, and additive  | 
 to any tenure increments paid as specified in this  | 
 paragraph, the Department shall establish, by rule,  | 
 payments supporting Medicaid's share of the  | 
 promotion-based wage increments for CNA employee hours  | 
 compensated for that promotion with at least a $1.50  | 
 hourly increase. Medicaid's share shall be established as  | 
 it is for the tenure increments described in this  | 
 paragraph. Qualifying promotions shall be defined by the  | 
 Department in rules for an expected 10-15% subset of CNAs  | 
 assigned intermediate, specialized, or added roles such as  | 
 CNA trainers, CNA scheduling "captains", and CNA  | 
 specialists for resident conditions like dementia or  | 
 memory care or behavioral health. | 
 (m) The Department shall work with nursing facility  | 
 | 
industry representatives to design policies and procedures to  | 
permit facilities to address the integrity of data from  | 
federal reporting sites used by the Department in setting  | 
facility rates.  | 
(Source: P.A. 102-77, eff. 7-9-21; 102-558, eff. 8-20-21;  | 
102-1035, eff. 5-31-22; 102-1118, eff. 1-18-23; 103-102,  | 
Article 40, Section 40-5, eff. 1-1-24; 103-102, Article 50,  | 
Section 50-5, eff. 1-1-24; revised 12-15-23.)
 | 
 (305 ILCS 5/5-16.8) | 
 Sec. 5-16.8. Required health benefits. The medical  | 
assistance program shall (i) provide the post-mastectomy care  | 
benefits required to be covered by a policy of accident and  | 
health insurance under Section 356t and the coverage required  | 
under Sections 356g.5, 356q, 356u, 356w, 356x, 356z.6,  | 
356z.26, 356z.29, 356z.32, 356z.33, 356z.34, 356z.35, 356z.46,  | 
356z.47, 356z.51, 356z.53, 356z.56, 356z.59, 356z.60, and  | 
356z.61, 356z.64, and 356z.67 of the Illinois Insurance Code,  | 
(ii) be subject to the provisions of Sections 356z.19,  | 
356z.44, 356z.49, 364.01, 370c, and 370c.1 of the Illinois  | 
Insurance Code, and (iii) be subject to the provisions of  | 
subsection (d-5) of Section 10 of the Network Adequacy and  | 
Transparency Act. | 
 The Department, by rule, shall adopt a model similar to  | 
the requirements of Section 356z.39 of the Illinois Insurance  | 
Code.  | 
 | 
 On and after July 1, 2012, the Department shall reduce any  | 
rate of reimbursement for services or other payments or alter  | 
any methodologies authorized by this Code to reduce any rate  | 
of reimbursement for services or other payments in accordance  | 
with Section 5-5e.  | 
 To ensure full access to the benefits set forth in this  | 
Section, on and after January 1, 2016, the Department shall  | 
ensure that provider and hospital reimbursement for  | 
post-mastectomy care benefits required under this Section are  | 
no lower than the Medicare reimbursement rate.  | 
(Source: P.A. 102-30, eff. 1-1-22; 102-144, eff. 1-1-22;  | 
102-203, eff. 1-1-22; 102-306, eff. 1-1-22; 102-530, eff.  | 
1-1-22; 102-642, eff. 1-1-22; 102-804, eff. 1-1-23; 102-813,  | 
eff. 5-13-22; 102-816, eff. 1-1-23; 102-1093, eff. 1-1-23;  | 
102-1117, eff. 1-13-23; 103-84, eff. 1-1-24; 103-91, eff.  | 
1-1-24; 103-420, eff. 1-1-24; revised 12-15-23.)
 | 
 (305 ILCS 5/5-47) | 
 Sec. 5-47. Medicaid reimbursement rates; substance use  | 
disorder treatment providers and facilities.  | 
 (a) Beginning on January 1, 2024, subject to federal  | 
approval, the Department of Healthcare and Family Services, in  | 
conjunction with the Department of Human Services' Division of  | 
Substance Use Prevention and Recovery, shall provide a 30%  | 
increase in reimbursement rates for all Medicaid-covered ASAM  | 
Level 3 residential/inpatient substance use disorder treatment  | 
 | 
services. | 
 No existing or future reimbursement rates or add-ons shall  | 
be reduced or changed to address this proposed rate increase.  | 
No later than 3 months after June 16, 2023 (the effective date  | 
of Public Act 103-102) this amendatory Act of the 103rd  | 
General Assembly, the Department of Healthcare and Family  | 
Services shall submit any necessary application to the federal  | 
Centers for Medicare and Medicaid Services to implement the  | 
requirements of this Section. | 
 (b) Parity in community-based behavioral health rates;  | 
implementation plan for cost reporting. For the purpose of  | 
understanding behavioral health services cost structures and  | 
their impact on the Medical Assistance Program, the Department  | 
of Healthcare and Family Services shall engage stakeholders to  | 
develop a plan for the regular collection of cost reporting  | 
for all entity-based substance use disorder providers. Data  | 
shall be used to inform on the effectiveness and efficiency of  | 
Illinois Medicaid rates. The Department and stakeholders shall  | 
develop a plan by April 1, 2024. The Department shall engage  | 
stakeholders on implementation of the plan. The plan, at  | 
minimum, shall consider all of the following:  | 
  (1) Alignment with certified community behavioral  | 
 health clinic requirements, standards, policies, and  | 
 procedures. | 
  (2) Inclusion of prospective costs to measure what is  | 
 needed to increase services and capacity. | 
 | 
  (3) Consideration of differences in collection and  | 
 policies based on the size of providers. | 
  (4) Consideration of additional administrative time  | 
 and costs. | 
  (5) Goals, purposes, and usage of data collected from  | 
 cost reports. | 
  (6) Inclusion of qualitative data in addition to  | 
 quantitative data. | 
  (7) Technical assistance for providers for completing  | 
 cost reports including initial training by the Department  | 
 for providers. | 
  (8) Implementation of a timeline which allows an  | 
 initial grace period for providers to adjust internal  | 
 procedures and data collection. | 
 Details from collected cost reports shall be made publicly  | 
available on the Department's website and costs shall be used  | 
to ensure the effectiveness and efficiency of Illinois  | 
Medicaid rates. | 
 (c) Reporting; access to substance use disorder treatment  | 
services and recovery supports. By no later than April 1,  | 
2024, the Department of Healthcare and Family Services, with  | 
input from the Department of Human Services' Division of  | 
Substance Use Prevention and Recovery, shall submit a report  | 
to the General Assembly regarding access to treatment services  | 
and recovery supports for persons diagnosed with a substance  | 
use disorder. The report shall include, but is not limited to,  | 
 | 
the following information:  | 
  (1) The number of providers enrolled in the Illinois  | 
 Medical Assistance Program certified to provide substance  | 
 use disorder treatment services, aggregated by ASAM level  | 
 of care, and recovery supports. | 
  (2) The number of Medicaid customers in Illinois with  | 
 a diagnosed substance use disorder receiving substance use  | 
 disorder treatment, aggregated by provider type and ASAM  | 
 level of care. | 
  (3) A comparison of Illinois' substance use disorder  | 
 licensure and certification requirements with those of  | 
 comparable state Medicaid programs. | 
  (4) Recommendations for and an analysis of the impact  | 
 of aligning reimbursement rates for outpatient substance  | 
 use disorder treatment services with reimbursement rates  | 
 for community-based mental health treatment services. | 
  (5) Recommendations for expanding substance use  | 
 disorder treatment to other qualified provider entities  | 
 and licensed professionals of the healing arts. The  | 
 recommendations shall include an analysis of the  | 
 opportunities to maximize the flexibilities permitted by  | 
 the federal Centers for Medicare and Medicaid Services for  | 
 expanding access to the number and types of qualified  | 
 substance use disorder providers. | 
(Source: P.A. 103-102, eff. 6-16-23; revised 9-26-23.)
 | 
 | 
 (305 ILCS 5/5-50) | 
 Sec. 5-50 5-47. Coverage for mental health and substance  | 
use disorder telehealth services. | 
 (a) As used in this Section: | 
 "Behavioral health care professional" has the meaning  | 
given to "health care professional" in Section 5 of the  | 
Telehealth Act, but only with respect to professionals  | 
licensed or certified by the Division of Mental Health or  | 
Division of Substance Use Prevention and Recovery of the  | 
Department of Human Services engaged in the delivery of mental  | 
health or substance use disorder treatment or services. | 
 "Behavioral health facility" means a community mental  | 
health center, a behavioral health clinic, a substance use  | 
disorder treatment program, or a facility or provider licensed  | 
or certified by the Division of Mental Health or Division of  | 
Substance Use Prevention and Recovery of the Department of  | 
Human Services. | 
 "Behavioral telehealth services" has the meaning given to  | 
the term "telehealth services" in Section 5 of the Telehealth  | 
Act, but limited solely to mental health and substance use  | 
disorder treatment or services to a patient, regardless of  | 
patient location. | 
 "Distant site" has the meaning given to that term in  | 
Section 5 of the Telehealth Act. | 
 "Originating site" has the meaning given to that term in  | 
Section 5 of the Telehealth Act. | 
 | 
 (b) The Department and any managed care plans under  | 
contract with the Department for the medical assistance  | 
program shall provide for coverage of mental health and  | 
substance use disorder treatment or services delivered as  | 
behavioral telehealth services as specified in this Section.  | 
The Department and any managed care plans under contract with  | 
the Department for the medical assistance program may also  | 
provide reimbursement to a behavioral health facility that  | 
serves as the originating site at the time a behavioral  | 
telehealth service is rendered. | 
 (c) To ensure behavioral telehealth services are equitably  | 
provided, coverage required under this Section shall comply  | 
with all of the following: | 
  (1) The Department and any managed care plans under  | 
 contract with the Department for the medical assistance  | 
 program shall not: | 
   (A) require that in-person contact occur between a  | 
 behavioral health care professional and a patient  | 
 before the provision of a behavioral telehealth  | 
 service; | 
   (B) require patients, behavioral health care  | 
 professionals, or behavioral health facilities to  | 
 prove or document a hardship or access barrier to an  | 
 in-person consultation for coverage and reimbursement  | 
 of behavioral telehealth services; | 
   (C) require the use of behavioral telehealth  | 
 | 
 services when the behavioral health care professional  | 
 has determined that it is not appropriate; | 
   (D) require the use of behavioral telehealth  | 
 services when a patient chooses an in-person  | 
 consultation; | 
   (E) require a behavioral health care professional  | 
 to be physically present in the same room as the  | 
 patient at the originating site, unless deemed  | 
 medically necessary by the behavioral health care  | 
 professional providing the behavioral telehealth  | 
 service; | 
   (F) create geographic or facility restrictions or  | 
 requirements for behavioral telehealth services; | 
   (G) require behavioral health care professionals  | 
 or behavioral health facilities to offer or provide  | 
 behavioral telehealth services; | 
   (H) require patients to use behavioral telehealth  | 
 services or require patients to use a separate panel  | 
 of behavioral health care professionals or behavioral  | 
 health facilities to receive behavioral telehealth  | 
 services; or | 
   (I) impose upon behavioral telehealth services  | 
 utilization review requirements that are unnecessary,  | 
 duplicative, or unwarranted or impose any treatment  | 
 limitations, prior authorization, documentation, or  | 
 recordkeeping requirements that are more stringent  | 
 | 
 than the requirements applicable to the same  | 
 behavioral health care service when rendered  | 
 in-person, except that procedure code modifiers may be  | 
 required to document behavioral telehealth. | 
  (2) Any cost sharing applicable to services provided  | 
 through behavioral telehealth shall not exceed the cost  | 
 sharing required by the medical assistance program for the  | 
 same services provided through in-person consultation. | 
  (3) The Department and any managed care plans under  | 
 contract with the Department for the medical assistance  | 
 program shall notify behavioral health care professionals  | 
 and behavioral health facilities of any instructions  | 
 necessary to facilitate billing for behavioral telehealth  | 
 services. | 
 (d) For purposes of reimbursement, the Department and any  | 
managed care plans under contract with the Department for the  | 
medical assistance program shall reimburse a behavioral health  | 
care professional or behavioral health facility for behavioral  | 
telehealth services on the same basis, in the same manner, and  | 
at the same reimbursement rate that would apply to the  | 
services if the services had been delivered via an in-person  | 
encounter by a behavioral health care professional or  | 
behavioral health facility. This subsection applies only to  | 
those services provided by behavioral telehealth that may  | 
otherwise be billed as an in-person service. | 
 (e) Behavioral health care professionals and behavioral  | 
 | 
health facilities shall determine the appropriateness of  | 
specific sites, technology platforms, and technology vendors  | 
for a behavioral telehealth service, as long as delivered  | 
services adhere to all federal and State privacy, security,  | 
and confidentiality laws, rules, or regulations, including,  | 
but not limited to, the Health Insurance Portability and  | 
Accountability Act of 1996, 42 CFR Part 2, and the Mental  | 
Health and Developmental Disabilities Confidentiality Act. | 
 (f) Nothing in this Section shall be deemed as precluding  | 
the Department and any managed care plans under contract with  | 
the Department for the medical assistance program from  | 
providing benefits for other telehealth services. | 
 (g) There shall be no restrictions on originating site  | 
requirements for behavioral telehealth coverage or  | 
reimbursement to the distant site under this Section other  | 
than requiring the behavioral telehealth services to be  | 
medically necessary and clinically appropriate. | 
 (h) Nothing in this Section shall be deemed as precluding  | 
the Department and any managed care plans under contract with  | 
the Department for the medical assistance program from  | 
establishing limits on the use of telehealth for a particular  | 
behavioral health service when the limits are consistent with  | 
generally accepted standards of mental, emotional, nervous, or  | 
substance use disorder or condition care. | 
 (i) The Department may adopt rules to implement the  | 
provisions of this Section. | 
 | 
(Source: P.A. 103-243, eff. 1-1-24; revised 1-2-24.)
 | 
 (305 ILCS 5/5-51) | 
 Sec. 5-51 5-47. Proton beam therapy; managed care.  | 
Notwithstanding any other provision of this Article, a managed  | 
care organization under contract with the Department to  | 
provide services to recipients of medical assistance shall  | 
provide coverage for proton beam therapy.  | 
 As used in this Section: ,  | 
 "Proton "proton beam therapy" means a type of radiation  | 
therapy treatment that utilizes protons as the radiation  | 
delivery method for the treatment of tumors and cancerous  | 
cells.  | 
 "Radiation therapy treatment" means the delivery of  | 
biological effective doses with proton therapy, intensity  | 
modulated radiation therapy, brachytherapy, stereotactic body  | 
radiation therapy, three-dimensional conformal radiation  | 
therapy, or other forms of therapy using radiation. | 
(Source: P.A. 103-325, eff. 1-1-24; revised 1-2-24.)
 | 
 (305 ILCS 5/5A-12.7) | 
 (Section scheduled to be repealed on December 31, 2026) | 
 Sec. 5A-12.7. Continuation of hospital access payments on  | 
and after July 1, 2020. | 
 (a) To preserve and improve access to hospital services,  | 
for hospital services rendered on and after July 1, 2020, the  | 
 | 
Department shall, except for hospitals described in subsection  | 
(b) of Section 5A-3, make payments to hospitals or require  | 
capitated managed care organizations to make payments as set  | 
forth in this Section. Payments under this Section are not due  | 
and payable, however, until: (i) the methodologies described  | 
in this Section are approved by the federal government in an  | 
appropriate State Plan amendment or directed payment preprint;  | 
and (ii) the assessment imposed under this Article is  | 
determined to be a permissible tax under Title XIX of the  | 
Social Security Act. In determining the hospital access  | 
payments authorized under subsection (g) of this Section, if a  | 
hospital ceases to qualify for payments from the pool, the  | 
payments for all hospitals continuing to qualify for payments  | 
from such pool shall be uniformly adjusted to fully expend the  | 
aggregate net amount of the pool, with such adjustment being  | 
effective on the first day of the second month following the  | 
date the hospital ceases to receive payments from such pool. | 
 (b) Amounts moved into claims-based rates and distributed  | 
in accordance with Section 14-12 shall remain in those  | 
claims-based rates. | 
 (c) Graduate medical education. | 
  (1) The calculation of graduate medical education  | 
 payments shall be based on the hospital's Medicare cost  | 
 report ending in Calendar Year 2018, as reported in the  | 
 Healthcare Cost Report Information System file, release  | 
 date September 30, 2019. An Illinois hospital reporting  | 
 | 
 intern and resident cost on its Medicare cost report shall  | 
 be eligible for graduate medical education payments. | 
  (2) Each hospital's annualized Medicaid Intern  | 
 Resident Cost is calculated using annualized intern and  | 
 resident total costs obtained from Worksheet B Part I,  | 
 Columns 21 and 22 the sum of Lines 30-43, 50-76, 90-93,  | 
 96-98, and 105-112 multiplied by the percentage that the  | 
 hospital's Medicaid days (Worksheet S3 Part I, Column 7,  | 
 Lines 2, 3, 4, 14, 16-18, and 32) comprise of the  | 
 hospital's total days (Worksheet S3 Part I, Column 8,  | 
 Lines 14, 16-18, and 32). | 
  (3) An annualized Medicaid indirect medical education  | 
 (IME) payment is calculated for each hospital using its  | 
 IME payments (Worksheet E Part A, Line 29, Column 1)  | 
 multiplied by the percentage that its Medicaid days  | 
 (Worksheet S3 Part I, Column 7, Lines 2, 3, 4, 14, 16-18,  | 
 and 32) comprise of its Medicare days (Worksheet S3 Part  | 
 I, Column 6, Lines 2, 3, 4, 14, and 16-18). | 
  (4) For each hospital, its annualized Medicaid Intern  | 
 Resident Cost and its annualized Medicaid IME payment are  | 
 summed, and, except as capped at 120% of the average cost  | 
 per intern and resident for all qualifying hospitals as  | 
 calculated under this paragraph, is multiplied by the  | 
 applicable reimbursement factor as described in this  | 
 paragraph, to determine the hospital's final graduate  | 
 medical education payment. Each hospital's average cost  | 
 | 
 per intern and resident shall be calculated by summing its  | 
 total annualized Medicaid Intern Resident Cost plus its  | 
 annualized Medicaid IME payment and dividing that amount  | 
 by the hospital's total Full Time Equivalent Residents and  | 
 Interns. If the hospital's average per intern and resident  | 
 cost is greater than 120% of the same calculation for all  | 
 qualifying hospitals, the hospital's per intern and  | 
 resident cost shall be capped at 120% of the average cost  | 
 for all qualifying hospitals. | 
   (A) For the period of July 1, 2020 through  | 
 December 31, 2022, the applicable reimbursement factor  | 
 shall be 22.6%.  | 
   (B) For the period of January 1, 2023 through  | 
 December 31, 2026, the applicable reimbursement factor  | 
 shall be 35% for all qualified safety-net hospitals,  | 
 as defined in Section 5-5e.1 of this Code, and all  | 
 hospitals with 100 or more Full Time Equivalent  | 
 Residents and Interns, as reported on the hospital's  | 
 Medicare cost report ending in Calendar Year 2018, and  | 
 for all other qualified hospitals the applicable  | 
 reimbursement factor shall be 30%.  | 
 (d) Fee-for-service supplemental payments. For the period  | 
of July 1, 2020 through December 31, 2022, each Illinois  | 
hospital shall receive an annual payment equal to the amounts  | 
below, to be paid in 12 equal installments on or before the  | 
seventh State business day of each month, except that no  | 
 | 
payment shall be due within 30 days after the later of the date  | 
of notification of federal approval of the payment  | 
methodologies required under this Section or any waiver  | 
required under 42 CFR 433.68, at which time the sum of amounts  | 
required under this Section prior to the date of notification  | 
is due and payable. | 
  (1) For critical access hospitals, $385 per covered  | 
 inpatient day contained in paid fee-for-service claims and  | 
 $530 per paid fee-for-service outpatient claim for dates  | 
 of service in Calendar Year 2019 in the Department's  | 
 Enterprise Data Warehouse as of May 11, 2020. | 
  (2) For safety-net hospitals, $960 per covered  | 
 inpatient day contained in paid fee-for-service claims and  | 
 $625 per paid fee-for-service outpatient claim for dates  | 
 of service in Calendar Year 2019 in the Department's  | 
 Enterprise Data Warehouse as of May 11, 2020. | 
  (3) For long term acute care hospitals, $295 per  | 
 covered inpatient day contained in paid fee-for-service  | 
 claims for dates of service in Calendar Year 2019 in the  | 
 Department's Enterprise Data Warehouse as of May 11, 2020. | 
  (4) For freestanding psychiatric hospitals, $125 per  | 
 covered inpatient day contained in paid fee-for-service  | 
 claims and $130 per paid fee-for-service outpatient claim  | 
 for dates of service in Calendar Year 2019 in the  | 
 Department's Enterprise Data Warehouse as of May 11, 2020. | 
  (5) For freestanding rehabilitation hospitals, $355  | 
 | 
 per covered inpatient day contained in paid  | 
 fee-for-service claims for dates of service in Calendar  | 
 Year 2019 in the Department's Enterprise Data Warehouse as  | 
 of May 11, 2020. | 
  (6) For all general acute care hospitals and high  | 
 Medicaid hospitals as defined in subsection (f), $350 per  | 
 covered inpatient day for dates of service in Calendar  | 
 Year 2019 contained in paid fee-for-service claims and  | 
 $620 per paid fee-for-service outpatient claim in the  | 
 Department's Enterprise Data Warehouse as of May 11, 2020. | 
  (7) Alzheimer's treatment access payment. Each  | 
 Illinois academic medical center or teaching hospital, as  | 
 defined in Section 5-5e.2 of this Code, that is identified  | 
 as the primary hospital affiliate of one of the Regional  | 
 Alzheimer's Disease Assistance Centers, as designated by  | 
 the Alzheimer's Disease Assistance Act and identified in  | 
 the Department of Public Health's Alzheimer's Disease  | 
 State Plan dated December 2016, shall be paid an  | 
 Alzheimer's treatment access payment equal to the product  | 
 of the qualifying hospital's State Fiscal Year 2018 total  | 
 inpatient fee-for-service days multiplied by the  | 
 applicable Alzheimer's treatment rate of $226.30 for  | 
 hospitals located in Cook County and $116.21 for hospitals  | 
 located outside Cook County. | 
 (d-2) Fee-for-service supplemental payments. Beginning  | 
January 1, 2023, each Illinois hospital shall receive an  | 
 | 
annual payment equal to the amounts listed below, to be paid in  | 
12 equal installments on or before the seventh State business  | 
day of each month, except that no payment shall be due within  | 
30 days after the later of the date of notification of federal  | 
approval of the payment methodologies required under this  | 
Section or any waiver required under 42 CFR 433.68, at which  | 
time the sum of amounts required under this Section prior to  | 
the date of notification is due and payable. The Department  | 
may adjust the rates in paragraphs (1) through (7) to comply  | 
with the federal upper payment limits, with such adjustments  | 
being determined so that the total estimated spending by  | 
hospital class, under such adjusted rates, remains  | 
substantially similar to the total estimated spending under  | 
the original rates set forth in this subsection.  | 
  (1) For critical access hospitals, as defined in  | 
 subsection (f), $750 per covered inpatient day contained  | 
 in paid fee-for-service claims and $750 per paid  | 
 fee-for-service outpatient claim for dates of service in  | 
 Calendar Year 2019 in the Department's Enterprise Data  | 
 Warehouse as of August 6, 2021. | 
  (2) For safety-net hospitals, as described in  | 
 subsection (f), $1,350 per inpatient day contained in paid  | 
 fee-for-service claims and $1,350 per paid fee-for-service  | 
 outpatient claim for dates of service in Calendar Year  | 
 2019 in the Department's Enterprise Data Warehouse as of  | 
 August 6, 2021. | 
 | 
  (3) For long term acute care hospitals, $550 per  | 
 covered inpatient day contained in paid fee-for-service  | 
 claims for dates of service in Calendar Year 2019 in the  | 
 Department's Enterprise Data Warehouse as of August 6,  | 
 2021. | 
  (4) For freestanding psychiatric hospitals, $200 per  | 
 covered inpatient day contained in paid fee-for-service  | 
 claims and $200 per paid fee-for-service outpatient claim  | 
 for dates of service in Calendar Year 2019 in the  | 
 Department's Enterprise Data Warehouse as of August 6,  | 
 2021. | 
  (5) For freestanding rehabilitation hospitals, $550  | 
 per covered inpatient day contained in paid  | 
 fee-for-service claims and $125 per paid fee-for-service  | 
 outpatient claim for dates of service in Calendar Year  | 
 2019 in the Department's Enterprise Data Warehouse as of  | 
 August 6, 2021. | 
  (6) For all general acute care hospitals and high  | 
 Medicaid hospitals as defined in subsection (f), $500 per  | 
 covered inpatient day for dates of service in Calendar  | 
 Year 2019 contained in paid fee-for-service claims and  | 
 $500 per paid fee-for-service outpatient claim in the  | 
 Department's Enterprise Data Warehouse as of August 6,  | 
 2021. | 
  (7) For public hospitals, as defined in subsection  | 
 (f), $275 per covered inpatient day contained in paid  | 
 | 
 fee-for-service claims and $275 per paid fee-for-service  | 
 outpatient claim for dates of service in Calendar Year  | 
 2019 in the Department's Enterprise Data Warehouse as of  | 
 August 6, 2021. | 
  (8) Alzheimer's treatment access payment. Each  | 
 Illinois academic medical center or teaching hospital, as  | 
 defined in Section 5-5e.2 of this Code, that is identified  | 
 as the primary hospital affiliate of one of the Regional  | 
 Alzheimer's Disease Assistance Centers, as designated by  | 
 the Alzheimer's Disease Assistance Act and identified in  | 
 the Department of Public Health's Alzheimer's Disease  | 
 State Plan dated December 2016, shall be paid an  | 
 Alzheimer's treatment access payment equal to the product  | 
 of the qualifying hospital's Calendar Year 2019 total  | 
 inpatient fee-for-service days, in the Department's  | 
 Enterprise Data Warehouse as of August 6, 2021, multiplied  | 
 by the applicable Alzheimer's treatment rate of $244.37  | 
 for hospitals located in Cook County and $312.03 for  | 
 hospitals located outside Cook County. | 
 (e) The Department shall require managed care  | 
organizations (MCOs) to make directed payments and  | 
pass-through payments according to this Section. Each calendar  | 
year, the Department shall require MCOs to pay the maximum  | 
amount out of these funds as allowed as pass-through payments  | 
under federal regulations. The Department shall require MCOs  | 
to make such pass-through payments as specified in this  | 
 | 
Section. The Department shall require the MCOs to pay the  | 
remaining amounts as directed Payments as specified in this  | 
Section. The Department shall issue payments to the  | 
Comptroller by the seventh business day of each month for all  | 
MCOs that are sufficient for MCOs to make the directed  | 
payments and pass-through payments according to this Section.  | 
The Department shall require the MCOs to make pass-through  | 
payments and directed payments using electronic funds  | 
transfers (EFT), if the hospital provides the information  | 
necessary to process such EFTs, in accordance with directions  | 
provided monthly by the Department, within 7 business days of  | 
the date the funds are paid to the MCOs, as indicated by the  | 
"Paid Date" on the website of the Office of the Comptroller if  | 
the funds are paid by EFT and the MCOs have received directed  | 
payment instructions. If funds are not paid through the  | 
Comptroller by EFT, payment must be made within 7 business  | 
days of the date actually received by the MCO. The MCO will be  | 
considered to have paid the pass-through payments when the  | 
payment remittance number is generated or the date the MCO  | 
sends the check to the hospital, if EFT information is not  | 
supplied. If an MCO is late in paying a pass-through payment or  | 
directed payment as required under this Section (including any  | 
extensions granted by the Department), it shall pay a penalty,  | 
unless waived by the Department for reasonable cause, to the  | 
Department equal to 5% of the amount of the pass-through  | 
payment or directed payment not paid on or before the due date  | 
 | 
plus 5% of the portion thereof remaining unpaid on the last day  | 
of each 30-day period thereafter. Payments to MCOs that would  | 
be paid consistent with actuarial certification and enrollment  | 
in the absence of the increased capitation payments under this  | 
Section shall not be reduced as a consequence of payments made  | 
under this subsection. The Department shall publish and  | 
maintain on its website for a period of no less than 8 calendar  | 
quarters, the quarterly calculation of directed payments and  | 
pass-through payments owed to each hospital from each MCO. All  | 
calculations and reports shall be posted no later than the  | 
first day of the quarter for which the payments are to be  | 
issued. | 
 (f)(1) For purposes of allocating the funds included in  | 
capitation payments to MCOs, Illinois hospitals shall be  | 
divided into the following classes as defined in  | 
administrative rules: | 
  (A) Beginning July 1, 2020 through December 31, 2022,  | 
 critical access hospitals. Beginning January 1, 2023,  | 
 "critical access hospital" means a hospital designated by  | 
 the Department of Public Health as a critical access  | 
 hospital, excluding any hospital meeting the definition of  | 
 a public hospital in subparagraph (F).  | 
  (B) Safety-net hospitals, except that stand-alone  | 
 children's hospitals that are not specialty children's  | 
 hospitals will not be included. For the calendar year  | 
 beginning January 1, 2023, and each calendar year  | 
 | 
 thereafter, assignment to the safety-net class shall be  | 
 based on the annual safety-net rate year beginning 15  | 
 months before the beginning of the first Payout Quarter of  | 
 the calendar year.  | 
  (C) Long term acute care hospitals. | 
  (D) Freestanding psychiatric hospitals. | 
  (E) Freestanding rehabilitation hospitals. | 
  (F) Beginning January 1, 2023, "public hospital" means  | 
 a hospital that is owned or operated by an Illinois  | 
 Government body or municipality, excluding a hospital  | 
 provider that is a State agency, a State university, or a  | 
 county with a population of 3,000,000 or more.  | 
  (G) High Medicaid hospitals.  | 
   (i) As used in this Section, "high Medicaid  | 
 hospital" means a general acute care hospital that: | 
    (I) For the payout periods July 1, 2020  | 
 through December 31, 2022, is not a safety-net  | 
 hospital or critical access hospital and that has  | 
 a Medicaid Inpatient Utilization Rate above 30% or  | 
 a hospital that had over 35,000 inpatient Medicaid  | 
 days during the applicable period. For the period  | 
 July 1, 2020 through December 31, 2020, the  | 
 applicable period for the Medicaid Inpatient  | 
 Utilization Rate (MIUR) is the rate year 2020 MIUR  | 
 and for the number of inpatient days it is State  | 
 fiscal year 2018. Beginning in calendar year 2021,  | 
 | 
 the Department shall use the most recently  | 
 determined MIUR, as defined in subsection (h) of  | 
 Section 5-5.02, and for the inpatient day  | 
 threshold, the State fiscal year ending 18 months  | 
 prior to the beginning of the calendar year. For  | 
 purposes of calculating MIUR under this Section,  | 
 children's hospitals and affiliated general acute  | 
 care hospitals shall be considered a single  | 
 hospital. | 
    (II) For the calendar year beginning January  | 
 1, 2023, and each calendar year thereafter, is not  | 
 a public hospital, safety-net hospital, or  | 
 critical access hospital and that qualifies as a  | 
 regional high volume hospital or is a hospital  | 
 that has a Medicaid Inpatient Utilization Rate  | 
 (MIUR) above 30%. As used in this item, "regional  | 
 high volume hospital" means a hospital which ranks  | 
 in the top 2 quartiles based on total hospital  | 
 services volume, of all eligible general acute  | 
 care hospitals, when ranked in descending order  | 
 based on total hospital services volume, within  | 
 the same Medicaid managed care region, as  | 
 designated by the Department, as of January 1,  | 
 2022. As used in this item, "total hospital  | 
 services volume" means the total of all Medical  | 
 Assistance hospital inpatient admissions plus all  | 
 | 
 Medical Assistance hospital outpatient visits. For  | 
 purposes of determining regional high volume  | 
 hospital inpatient admissions and outpatient  | 
 visits, the Department shall use dates of service  | 
 provided during State Fiscal Year 2020 for the  | 
 Payout Quarter beginning January 1, 2023. The  | 
 Department shall use dates of service from the  | 
 State fiscal year ending 18 month before the  | 
 beginning of the first Payout Quarter of the  | 
 subsequent annual determination period.  | 
   (ii) For the calendar year beginning January 1,  | 
 2023, the Department shall use the Rate Year 2022  | 
 Medicaid inpatient utilization rate (MIUR), as defined  | 
 in subsection (h) of Section 5-5.02. For each  | 
 subsequent annual determination, the Department shall  | 
 use the MIUR applicable to the rate year ending  | 
 September 30 of the year preceding the beginning of  | 
 the calendar year.  | 
  (H) General acute care hospitals. As used under this  | 
 Section, "general acute care hospitals" means all other  | 
 Illinois hospitals not identified in subparagraphs (A)  | 
 through (G). | 
 (2) Hospitals' qualification for each class shall be  | 
assessed prior to the beginning of each calendar year and the  | 
new class designation shall be effective January 1 of the next  | 
year. The Department shall publish by rule the process for  | 
 | 
establishing class determination. | 
 (3) Beginning January 1, 2024, the Department may reassign  | 
hospitals or entire hospital classes as defined above, if  | 
federal limits on the payments to the class to which the  | 
hospitals are assigned based on the criteria in this  | 
subsection prevent the Department from making payments to the  | 
class that would otherwise be due under this Section. The  | 
Department shall publish the criteria and composition of each  | 
new class based on the reassignments, and the projected impact  | 
on payments to each hospital under the new classes on its  | 
website by November 15 of the year before the year in which the  | 
class changes become effective.  | 
 (g) Fixed pool directed payments. Beginning July 1, 2020,  | 
the Department shall issue payments to MCOs which shall be  | 
used to issue directed payments to qualified Illinois  | 
safety-net hospitals and critical access hospitals on a  | 
monthly basis in accordance with this subsection. Prior to the  | 
beginning of each Payout Quarter beginning July 1, 2020, the  | 
Department shall use encounter claims data from the  | 
Determination Quarter, accepted by the Department's Medicaid  | 
Management Information System for inpatient and outpatient  | 
services rendered by safety-net hospitals and critical access  | 
hospitals to determine a quarterly uniform per unit add-on for  | 
each hospital class. | 
  (1) Inpatient per unit add-on. A quarterly uniform per  | 
 diem add-on shall be derived by dividing the quarterly  | 
 | 
 Inpatient Directed Payments Pool amount allocated to the  | 
 applicable hospital class by the total inpatient days  | 
 contained on all encounter claims received during the  | 
 Determination Quarter, for all hospitals in the class. | 
   (A) Each hospital in the class shall have a  | 
 quarterly inpatient directed payment calculated that  | 
 is equal to the product of the number of inpatient days  | 
 attributable to the hospital used in the calculation  | 
 of the quarterly uniform class per diem add-on,  | 
 multiplied by the calculated applicable quarterly  | 
 uniform class per diem add-on of the hospital class. | 
   (B) Each hospital shall be paid 1/3 of its  | 
 quarterly inpatient directed payment in each of the 3  | 
 months of the Payout Quarter, in accordance with  | 
 directions provided to each MCO by the Department. | 
  (2) Outpatient per unit add-on. A quarterly uniform  | 
 per claim add-on shall be derived by dividing the  | 
 quarterly Outpatient Directed Payments Pool amount  | 
 allocated to the applicable hospital class by the total  | 
 outpatient encounter claims received during the  | 
 Determination Quarter, for all hospitals in the class. | 
   (A) Each hospital in the class shall have a  | 
 quarterly outpatient directed payment calculated that  | 
 is equal to the product of the number of outpatient  | 
 encounter claims attributable to the hospital used in  | 
 the calculation of the quarterly uniform class per  | 
 | 
 claim add-on, multiplied by the calculated applicable  | 
 quarterly uniform class per claim add-on of the  | 
 hospital class. | 
   (B) Each hospital shall be paid 1/3 of its  | 
 quarterly outpatient directed payment in each of the 3  | 
 months of the Payout Quarter, in accordance with  | 
 directions provided to each MCO by the Department. | 
  (3) Each MCO shall pay each hospital the Monthly  | 
 Directed Payment as identified by the Department on its  | 
 quarterly determination report. | 
  (4) Definitions. As used in this subsection: | 
   (A) "Payout Quarter" means each 3 month calendar  | 
 quarter, beginning July 1, 2020. | 
   (B) "Determination Quarter" means each 3 month  | 
 calendar quarter, which ends 3 months prior to the  | 
 first day of each Payout Quarter. | 
  (5) For the period July 1, 2020 through December 2020,  | 
 the following amounts shall be allocated to the following  | 
 hospital class directed payment pools for the quarterly  | 
 development of a uniform per unit add-on: | 
   (A) $2,894,500 for hospital inpatient services for  | 
 critical access hospitals. | 
   (B) $4,294,374 for hospital outpatient services  | 
 for critical access hospitals. | 
   (C) $29,109,330 for hospital inpatient services  | 
 for safety-net hospitals. | 
 | 
   (D) $35,041,218 for hospital outpatient services  | 
 for safety-net hospitals. | 
  (6) For the period January 1, 2023 through December  | 
 31, 2023, the Department shall establish the amounts that  | 
 shall be allocated to the hospital class directed payment  | 
 fixed pools identified in this paragraph for the quarterly  | 
 development of a uniform per unit add-on. The Department  | 
 shall establish such amounts so that the total amount of  | 
 payments to each hospital under this Section in calendar  | 
 year 2023 is projected to be substantially similar to the  | 
 total amount of such payments received by the hospital  | 
 under this Section in calendar year 2021, adjusted for  | 
 increased funding provided for fixed pool directed  | 
 payments under subsection (g) in calendar year 2022,  | 
 assuming that the volume and acuity of claims are held  | 
 constant. The Department shall publish the directed  | 
 payment fixed pool amounts to be established under this  | 
 paragraph on its website by November 15, 2022.  | 
   (A) Hospital inpatient services for critical  | 
 access hospitals. | 
   (B) Hospital outpatient services for critical  | 
 access hospitals. | 
   (C) Hospital inpatient services for public  | 
 hospitals. | 
   (D) Hospital outpatient services for public  | 
 hospitals. | 
 | 
   (E) Hospital inpatient services for safety-net  | 
 hospitals. | 
   (F) Hospital outpatient services for safety-net  | 
 hospitals. | 
  (7) Semi-annual rate maintenance review. The  | 
 Department shall ensure that hospitals assigned to the  | 
 fixed pools in paragraph (6) are paid no less than 95% of  | 
 the annual initial rate for each 6-month period of each  | 
 annual payout period. For each calendar year, the  | 
 Department shall calculate the annual initial rate per day  | 
 and per visit for each fixed pool hospital class listed in  | 
 paragraph (6), by dividing the total of all applicable  | 
 inpatient or outpatient directed payments issued in the  | 
 preceding calendar year to the hospitals in each fixed  | 
 pool class for the calendar year, plus any increase  | 
 resulting from the annual adjustments described in  | 
 subsection (i), by the actual applicable total service  | 
 units for the preceding calendar year which were the basis  | 
 of the total applicable inpatient or outpatient directed  | 
 payments issued to the hospitals in each fixed pool class  | 
 in the calendar year, except that for calendar year 2023,  | 
 the service units from calendar year 2021 shall be used.  | 
   (A) The Department shall calculate the effective  | 
 rate, per day and per visit, for the payout periods of  | 
 January to June and July to December of each year, for  | 
 each fixed pool listed in paragraph (6), by dividing  | 
 | 
 50% of the annual pool by the total applicable  | 
 reported service units for the 2 applicable  | 
 determination quarters. | 
   (B) If the effective rate calculated in  | 
 subparagraph (A) is less than 95% of the annual  | 
 initial rate assigned to the class for each pool under  | 
 paragraph (6), the Department shall adjust the payment  | 
 for each hospital to a level equal to no less than 95%  | 
 of the annual initial rate, by issuing a retroactive  | 
 adjustment payment for the 6-month period under review  | 
 as identified in subparagraph (A).  | 
 (h) Fixed rate directed payments. Effective July 1, 2020,  | 
the Department shall issue payments to MCOs which shall be  | 
used to issue directed payments to Illinois hospitals not  | 
identified in paragraph (g) on a monthly basis. Prior to the  | 
beginning of each Payout Quarter beginning July 1, 2020, the  | 
Department shall use encounter claims data from the  | 
Determination Quarter, accepted by the Department's Medicaid  | 
Management Information System for inpatient and outpatient  | 
services rendered by hospitals in each hospital class  | 
identified in paragraph (f) and not identified in paragraph  | 
(g). For the period July 1, 2020 through December 2020, the  | 
Department shall direct MCOs to make payments as follows: | 
  (1) For general acute care hospitals an amount equal  | 
 to $1,750 multiplied by the hospital's category of service  | 
 20 case mix index for the determination quarter multiplied  | 
 | 
 by the hospital's total number of inpatient admissions for  | 
 category of service 20 for the determination quarter. | 
  (2) For general acute care hospitals an amount equal  | 
 to $160 multiplied by the hospital's category of service  | 
 21 case mix index for the determination quarter multiplied  | 
 by the hospital's total number of inpatient admissions for  | 
 category of service 21 for the determination quarter. | 
  (3) For general acute care hospitals an amount equal  | 
 to $80 multiplied by the hospital's category of service 22  | 
 case mix index for the determination quarter multiplied by  | 
 the hospital's total number of inpatient admissions for  | 
 category of service 22 for the determination quarter. | 
  (4) For general acute care hospitals an amount equal  | 
 to $375 multiplied by the hospital's category of service  | 
 24 case mix index for the determination quarter multiplied  | 
 by the hospital's total number of category of service 24  | 
 paid EAPG (EAPGs) for the determination quarter. | 
  (5) For general acute care hospitals an amount equal  | 
 to $240 multiplied by the hospital's category of service  | 
 27 and 28 case mix index for the determination quarter  | 
 multiplied by the hospital's total number of category of  | 
 service 27 and 28 paid EAPGs for the determination  | 
 quarter. | 
  (6) For general acute care hospitals an amount equal  | 
 to $290 multiplied by the hospital's category of service  | 
 29 case mix index for the determination quarter multiplied  | 
 | 
 by the hospital's total number of category of service 29  | 
 paid EAPGs for the determination quarter. | 
  (7) For high Medicaid hospitals an amount equal to  | 
 $1,800 multiplied by the hospital's category of service 20  | 
 case mix index for the determination quarter multiplied by  | 
 the hospital's total number of inpatient admissions for  | 
 category of service 20 for the determination quarter. | 
  (8) For high Medicaid hospitals an amount equal to  | 
 $160 multiplied by the hospital's category of service 21  | 
 case mix index for the determination quarter multiplied by  | 
 the hospital's total number of inpatient admissions for  | 
 category of service 21 for the determination quarter. | 
  (9) For high Medicaid hospitals an amount equal to $80  | 
 multiplied by the hospital's category of service 22 case  | 
 mix index for the determination quarter multiplied by the  | 
 hospital's total number of inpatient admissions for  | 
 category of service 22 for the determination quarter. | 
  (10) For high Medicaid hospitals an amount equal to  | 
 $400 multiplied by the hospital's category of service 24  | 
 case mix index for the determination quarter multiplied by  | 
 the hospital's total number of category of service 24 paid  | 
 EAPG outpatient claims for the determination quarter. | 
  (11) For high Medicaid hospitals an amount equal to  | 
 $240 multiplied by the hospital's category of service 27  | 
 and 28 case mix index for the determination quarter  | 
 multiplied by the hospital's total number of category of  | 
 | 
 service 27 and 28 paid EAPGs for the determination  | 
 quarter. | 
  (12) For high Medicaid hospitals an amount equal to  | 
 $290 multiplied by the hospital's category of service 29  | 
 case mix index for the determination quarter multiplied by  | 
 the hospital's total number of category of service 29 paid  | 
 EAPGs for the determination quarter. | 
  (13) For long term acute care hospitals the amount of  | 
 $495 multiplied by the hospital's total number of  | 
 inpatient days for the determination quarter. | 
  (14) For psychiatric hospitals the amount of $210  | 
 multiplied by the hospital's total number of inpatient  | 
 days for category of service 21 for the determination  | 
 quarter. | 
  (15) For psychiatric hospitals the amount of $250  | 
 multiplied by the hospital's total number of outpatient  | 
 claims for category of service 27 and 28 for the  | 
 determination quarter. | 
  (16) For rehabilitation hospitals the amount of $410  | 
 multiplied by the hospital's total number of inpatient  | 
 days for category of service 22 for the determination  | 
 quarter. | 
  (17) For rehabilitation hospitals the amount of $100  | 
 multiplied by the hospital's total number of outpatient  | 
 claims for category of service 29 for the determination  | 
 quarter. | 
 | 
  (18) Effective for the Payout Quarter beginning  | 
 January 1, 2023, for the directed payments to hospitals  | 
 required under this subsection, the Department shall  | 
 establish the amounts that shall be used to calculate such  | 
 directed payments using the methodologies specified in  | 
 this paragraph. The Department shall use a single, uniform  | 
 rate, adjusted for acuity as specified in paragraphs (1)  | 
 through (12), for all categories of inpatient services  | 
 provided by each class of hospitals and a single uniform  | 
 rate, adjusted for acuity as specified in paragraphs (1)  | 
 through (12), for all categories of outpatient services  | 
 provided by each class of hospitals. The Department shall  | 
 establish such amounts so that the total amount of  | 
 payments to each hospital under this Section in calendar  | 
 year 2023 is projected to be substantially similar to the  | 
 total amount of such payments received by the hospital  | 
 under this Section in calendar year 2021, adjusted for  | 
 increased funding provided for fixed pool directed  | 
 payments under subsection (g) in calendar year 2022,  | 
 assuming that the volume and acuity of claims are held  | 
 constant. The Department shall publish the directed  | 
 payment amounts to be established under this subsection on  | 
 its website by November 15, 2022.  | 
  (19) Each hospital shall be paid 1/3 of their  | 
 quarterly inpatient and outpatient directed payment in  | 
 each of the 3 months of the Payout Quarter, in accordance  | 
 | 
 with directions provided to each MCO by the Department. | 
  (20) Each MCO shall pay each hospital the Monthly  | 
 Directed Payment amount as identified by the Department on  | 
 its quarterly determination report. | 
 Notwithstanding any other provision of this subsection, if  | 
the Department determines that the actual total hospital  | 
utilization data that is used to calculate the fixed rate  | 
directed payments is substantially different than anticipated  | 
when the rates in this subsection were initially determined  | 
for unforeseeable circumstances (such as the COVID-19 pandemic  | 
or some other public health emergency), the Department may  | 
adjust the rates specified in this subsection so that the  | 
total directed payments approximate the total spending amount  | 
anticipated when the rates were initially established.  | 
 Definitions. As used in this subsection: | 
   (A) "Payout Quarter" means each calendar quarter,  | 
 beginning July 1, 2020. | 
   (B) "Determination Quarter" means each calendar  | 
 quarter which ends 3 months prior to the first day of  | 
 each Payout Quarter. | 
   (C) "Case mix index" means a hospital specific  | 
 calculation. For inpatient claims the case mix index  | 
 is calculated each quarter by summing the relative  | 
 weight of all inpatient Diagnosis-Related Group (DRG)  | 
 claims for a category of service in the applicable  | 
 Determination Quarter and dividing the sum by the  | 
 | 
 number of sum total of all inpatient DRG admissions  | 
 for the category of service for the associated claims.  | 
 The case mix index for outpatient claims is calculated  | 
 each quarter by summing the relative weight of all  | 
 paid EAPGs in the applicable Determination Quarter and  | 
 dividing the sum by the sum total of paid EAPGs for the  | 
 associated claims. | 
 (i) Beginning January 1, 2021, the rates for directed  | 
payments shall be recalculated in order to spend the  | 
additional funds for directed payments that result from  | 
reduction in the amount of pass-through payments allowed under  | 
federal regulations. The additional funds for directed  | 
payments shall be allocated proportionally to each class of  | 
hospitals based on that class' proportion of services. | 
  (1) Beginning January 1, 2024, the fixed pool directed  | 
 payment amounts and the associated annual initial rates  | 
 referenced in paragraph (6) of subsection (f) for each  | 
 hospital class shall be uniformly increased by a ratio of  | 
 not less than, the ratio of the total pass-through  | 
 reduction amount pursuant to paragraph (4) of subsection  | 
 (j), for the hospitals comprising the hospital fixed pool  | 
 directed payment class for the next calendar year, to the  | 
 total inpatient and outpatient directed payments for the  | 
 hospitals comprising the hospital fixed pool directed  | 
 payment class paid during the preceding calendar year.  | 
  (2) Beginning January 1, 2024, the fixed rates for the  | 
 | 
 directed payments referenced in paragraph (18) of  | 
 subsection (h) for each hospital class shall be uniformly  | 
 increased by a ratio of not less than, the ratio of the  | 
 total pass-through reduction amount pursuant to paragraph  | 
 (4) of subsection (j), for the hospitals comprising the  | 
 hospital directed payment class for the next calendar  | 
 year, to the total inpatient and outpatient directed  | 
 payments for the hospitals comprising the hospital fixed  | 
 rate directed payment class paid during the preceding  | 
 calendar year.  | 
 (j) Pass-through payments. | 
  (1) For the period July 1, 2020 through December 31,  | 
 2020, the Department shall assign quarterly pass-through  | 
 payments to each class of hospitals equal to one-fourth of  | 
 the following annual allocations: | 
   (A) $390,487,095 to safety-net hospitals. | 
   (B) $62,553,886 to critical access hospitals. | 
   (C) $345,021,438 to high Medicaid hospitals. | 
   (D) $551,429,071 to general acute care hospitals. | 
   (E) $27,283,870 to long term acute care hospitals. | 
   (F) $40,825,444 to freestanding psychiatric  | 
 hospitals. | 
   (G) $9,652,108 to freestanding rehabilitation  | 
 hospitals. | 
  (2) For the period of July 1, 2020 through December  | 
 31, 2020, the pass-through payments shall at a minimum  | 
 | 
 ensure hospitals receive a total amount of monthly  | 
 payments under this Section as received in calendar year  | 
 2019 in accordance with this Article and paragraph (1) of  | 
 subsection (d-5) of Section 14-12, exclusive of amounts  | 
 received through payments referenced in subsection (b). | 
  (3) For the calendar year beginning January 1, 2023,  | 
 the Department shall establish the annual pass-through  | 
 allocation to each class of hospitals and the pass-through  | 
 payments to each hospital so that the total amount of  | 
 payments to each hospital under this Section in calendar  | 
 year 2023 is projected to be substantially similar to the  | 
 total amount of such payments received by the hospital  | 
 under this Section in calendar year 2021, adjusted for  | 
 increased funding provided for fixed pool directed  | 
 payments under subsection (g) in calendar year 2022,  | 
 assuming that the volume and acuity of claims are held  | 
 constant. The Department shall publish the pass-through  | 
 allocation to each class and the pass-through payments to  | 
 each hospital to be established under this subsection on  | 
 its website by November 15, 2022.  | 
  (4) For the calendar years beginning January 1, 2021  | 
 and January 1, 2022, each hospital's pass-through payment  | 
 amount shall be reduced proportionally to the reduction of  | 
 all pass-through payments required by federal regulations.  | 
 Beginning January 1, 2024, the Department shall reduce  | 
 total pass-through payments by the minimum amount  | 
 | 
 necessary to comply with federal regulations. Pass-through  | 
 payments to safety-net hospitals, as defined in Section  | 
 5-5e.1 of this Code, shall not be reduced until all  | 
 pass-through payments to other hospitals have been  | 
 eliminated. All other hospitals shall have their  | 
 pass-through payments reduced proportionally.  | 
 (k) At least 30 days prior to each calendar year, the  | 
Department shall notify each hospital of changes to the  | 
payment methodologies in this Section, including, but not  | 
limited to, changes in the fixed rate directed payment rates,  | 
the aggregate pass-through payment amount for all hospitals,  | 
and the hospital's pass-through payment amount for the  | 
upcoming calendar year. | 
 (l) Notwithstanding any other provisions of this Section,  | 
the Department may adopt rules to change the methodology for  | 
directed and pass-through payments as set forth in this  | 
Section, but only to the extent necessary to obtain federal  | 
approval of a necessary State Plan amendment or Directed  | 
Payment Preprint or to otherwise conform to federal law or  | 
federal regulation. | 
 (m) As used in this subsection, "managed care  | 
organization" or "MCO" means an entity which contracts with  | 
the Department to provide services where payment for medical  | 
services is made on a capitated basis, excluding contracted  | 
entities for dual eligible or Department of Children and  | 
Family Services youth populations. | 
 | 
 (n) In order to address the escalating infant mortality  | 
rates among minority communities in Illinois, the State shall,  | 
subject to appropriation, create a pool of funding of at least  | 
$50,000,000 annually to be disbursed among safety-net  | 
hospitals that maintain perinatal designation from the  | 
Department of Public Health. The funding shall be used to  | 
preserve or enhance OB/GYN services or other specialty  | 
services at the receiving hospital, with the distribution of  | 
funding to be established by rule and with consideration to  | 
perinatal hospitals with safe birthing levels and quality  | 
metrics for healthy mothers and babies. | 
 (o) In order to address the growing challenges of  | 
providing stable access to healthcare in rural Illinois,  | 
including perinatal services, behavioral healthcare including  | 
substance use disorder services (SUDs) and other specialty  | 
services, and to expand access to telehealth services among  | 
rural communities in Illinois, the Department of Healthcare  | 
and Family Services shall administer a program to provide at  | 
least $10,000,000 in financial support annually to critical  | 
access hospitals for delivery of perinatal and OB/GYN  | 
services, behavioral healthcare including SUDS, other  | 
specialty services and telehealth services. The funding shall  | 
be used to preserve or enhance perinatal and OB/GYN services,  | 
behavioral healthcare including SUDS, other specialty  | 
services, as well as the explanation of telehealth services by  | 
the receiving hospital, with the distribution of funding to be  | 
 | 
established by rule.  | 
 (p) For calendar year 2023, the final amounts, rates, and  | 
payments under subsections (c), (d-2), (g), (h), and (j) shall  | 
be established by the Department, so that the sum of the total  | 
estimated annual payments under subsections (c), (d-2), (g),  | 
(h), and (j) for each hospital class for calendar year 2023, is  | 
no less than:  | 
  (1) $858,260,000 to safety-net hospitals. | 
  (2) $86,200,000 to critical access hospitals. | 
  (3) $1,765,000,000 to high Medicaid hospitals. | 
  (4) $673,860,000 to general acute care hospitals. | 
  (5) $48,330,000 to long term acute care hospitals. | 
  (6) $89,110,000 to freestanding psychiatric hospitals. | 
  (7) $24,300,000 to freestanding rehabilitation  | 
 hospitals. | 
  (8) $32,570,000 to public hospitals. | 
 (q) Hospital Pandemic Recovery Stabilization Payments. The  | 
Department shall disburse a pool of $460,000,000 in stability  | 
payments to hospitals prior to April 1, 2023. The allocation  | 
of the pool shall be based on the hospital directed payment  | 
classes and directed payments issued, during Calendar Year  | 
2022 with added consideration to safety net hospitals, as  | 
defined in subdivision (f)(1)(B) of this Section, and critical  | 
access hospitals.  | 
(Source: P.A. 102-4, eff. 4-27-21; 102-16, eff. 6-17-21;  | 
102-886, eff. 5-17-22; 102-1115, eff. 1-9-23; 103-102, eff.  | 
 | 
6-16-23; revised 9-21-23.)
 | 
 (305 ILCS 5/6-9) (from Ch. 23, par. 6-9) | 
 Sec. 6-9. (a)(1) A local governmental unit may provide  | 
assistance to households under its General Assistance program  | 
following a declaration by the President of the United States  | 
of a major disaster or emergency pursuant to the Federal  | 
Disaster Relief Act of 1974, as now or hereafter amended, if  | 
the local governmental unit is within the area designated  | 
under the declaration. A local governmental government unit  | 
may also provide assistance to households under its General  | 
Assistance program following a disaster proclamation issued by  | 
the Governor if the local governmental unit is within the area  | 
designated under the proclamation. Assistance under this  | 
Section may be provided to households which have suffered  | 
damage, loss, or hardships as a result of the major disaster or  | 
emergency. Assistance under this Section may be provided to  | 
households without regard to the eligibility requirements and  | 
other requirements of this Code. Assistance under this Section  | 
may be provided only during the 90-day period following the  | 
date of declaration of a major disaster or emergency. | 
 (2) A local governmental unit shall not use State funds to  | 
provide assistance under this Section. If a local governmental  | 
unit receives State funds to provide General Assistance under  | 
this Article, assistance provided by the local governmental  | 
unit under this Section shall not be considered in determining  | 
 | 
whether a local governmental unit has qualified to receive  | 
State funds under Article XII. A local governmental unit which  | 
provides assistance under this Section shall not, as a result  | 
of payment of such assistance, change the nature or amount of  | 
assistance provided to any other individual or family under  | 
this Article. | 
 (3) This Section shall not apply to any municipality of  | 
more than 500,000 population in which a separate program has  | 
been established by the Illinois Department under Section 6-1. | 
 (b)(1) A local governmental unit may provide assistance to  | 
households for food and temporary shelter. To qualify for  | 
assistance a household shall submit to the local governmental  | 
unit: (A) such application as the local governmental unit may  | 
require; (B) a copy of an application to the Federal Emergency  | 
Management Agency (hereinafter "FEMA") or the Small Business  | 
Administration (hereinafter "SBA") for assistance; (C) such  | 
other proof of damage, loss, or hardship as the local  | 
governmental unit may require; and (D) an agreement to  | 
reimburse the local governmental unit for the amount of any  | 
assistance received by the household under this subsection  | 
(b). | 
 (2) Assistance under this subsection (b) may be in the  | 
form of cash or vouchers. The amount of assistance provided to  | 
a household in any month under this subsection (b) shall not  | 
exceed the maximum amount payable under Section 6-2. | 
 (3) No assistance shall be provided to a household after  | 
 | 
it receives a determination of its application to FEMA or SBA  | 
for assistance. | 
 (4) A household which has received assistance under this  | 
subsection (b) shall reimburse the local governmental unit in  | 
full for any assistance received under this subsection. If the  | 
household receives assistance from FEMA or SBA in the form of  | 
loans or grants, the household shall reimburse the local  | 
governmental unit from those funds. If the household's request  | 
for assistance is denied or rejected by the FEMA or SBA, the  | 
household shall repay the local governmental unit in  | 
accordance with a repayment schedule prescribed by the local  | 
governmental unit. | 
 (c)(1) A local governmental unit may provide assistance to  | 
households for structural repairs to homes or for repair or  | 
replacement of home electrical or heating systems, bedding,  | 
and food refrigeration equipment. To qualify for assistance a  | 
household shall submit to the local governmental unit: (A)  | 
such application as the local governmental unit may require;  | 
(B) a copy of claim to an insurance company for reimbursement  | 
for the damage or loss for which assistance is sought; (C) such  | 
other proof of damage, loss, or hardship as the local  | 
governmental unit may require; and (D) an agreement to  | 
reimburse the local governmental unit for the amount of any  | 
assistance received by the household under this subsection  | 
(c). | 
 (2) Any assistance provided under this subsection (c)  | 
 | 
shall be in the form of direct payments to vendors, and shall  | 
not be made directly to a household. The total amount of  | 
assistance provided to a household under this subsection (c)  | 
shall not exceed $1,500. | 
 (3) No assistance shall be provided to a household after  | 
it receives a determination of its insurance claims. | 
 (4) A household which has received assistance under this  | 
subsection (c) shall reimburse the local governmental unit in  | 
full for any assistance received under this subsection. If the  | 
household's insurance claim is approved, the household shall  | 
reimburse the local governmental unit from the proceeds. If  | 
the household's insurance claim is denied, the household shall  | 
repay the local governmental unit in accordance with a  | 
repayment schedule prescribed by the local governmental unit. | 
(Source: P.A. 103-192, eff. 1-1-24; revised 1-2-24.)
 | 
 (305 ILCS 5/6-12) (from Ch. 23, par. 6-12) | 
 Sec. 6-12. General Assistance not funded by State. General  | 
Assistance programs in local governments that do not receive  | 
State funds shall continue to be governed by Sections 6-1  | 
through 6-10, as applicable, as well as other relevant parts  | 
of this Code and other laws. However, notwithstanding any  | 
other provision of this Code, any unit of local government  | 
that does not receive State funds may implement a General  | 
Assistance program that complies with Sections Section 6-11  | 
and 6-11a. So long as the program complies with either Section  | 
 | 
6-11 or 6-12, the program shall not be deemed out of compliance  | 
with or in violation of this Code. | 
(Source: P.A. 103-192, eff. 1-1-24; revised 1-2-24.)
 | 
 (305 ILCS 5/12-4.57) | 
 Sec. 12-4.57. Prospective Payment System rates; increase  | 
for federally qualified health centers. Beginning January 1,  | 
2024, subject to federal approval, the Department of  | 
Healthcare and Family Services shall increase the Prospective  | 
Payment System rates for federally qualified health centers to  | 
a level calculated to spend an additional $50,000,000 in the  | 
first year of application using an alternative payment method  | 
acceptable to the Centers for Medicare and Medicaid Services  | 
and a trade association representing a majority of federally  | 
qualified health centers operating in Illinois, including a  | 
rate increase that is an equal percentage increase to the  | 
rates paid to each federally qualified health center. | 
(Source: P.A. 103-102, eff. 1-1-24.)
 | 
 (305 ILCS 5/12-4.58) | 
 Sec. 12-4.58 12-4.57. Stolen SNAP benefits via card  | 
skimming; data collection and reports.  | 
 (a) As the State administrator of benefits provided under  | 
the federally funded Supplemental Nutrition Assistance Program  | 
(SNAP), the Department of Human Services shall track and  | 
collect data on the scope and frequency of SNAP benefits fraud  | 
 | 
in this State where a SNAP recipient's benefits are stolen  | 
from the recipient's electronic benefits transfer card by  | 
means of card skimming, card cloning, or some other similar  | 
fraudulent method. The Department shall specifically keep a  | 
record of every report made to the Department by a SNAP  | 
recipient alleging the theft of benefits due to no fault of the  | 
recipient, the benefit amount stolen, and, if practicable, how  | 
those stolen benefits were used and the location of those  | 
thefts. | 
 (b) The Department shall report its findings to the  | 
General Assembly on an annual basis beginning on January 1,  | 
2024. The Department shall file an annual report no later than  | 
the 60th day of the following year following each reporting  | 
period. A SNAP recipient's personally identifiable information  | 
shall be excluded from the reports consistent with State and  | 
federal privacy protections. Each annual report shall also be  | 
posted on the Department's official website. | 
 (c) If the Department determines that a SNAP recipient has  | 
made a substantiated report of stolen benefits due to card  | 
skimming, card cloning, or some other similar fraudulent  | 
method, the Department shall refer the matter to the State's  | 
Attorney who has jurisdiction over the alleged theft or fraud  | 
and shall provide any assistance to that State's Attorney in  | 
the prosecution of the alleged theft or fraud. | 
(Source: P.A. 103-297, eff. 1-1-24; revised 1-2-24.)
 | 
 | 
 Section 450. The Abandoned Newborn Infant Protection Act  | 
is amended by changing Sections 10, 30, and 35 as follows:
 | 
 (325 ILCS 2/10) | 
 Sec. 10. Definitions.  In this Act:  | 
 "Abandon" has the same meaning as in the Abused and  | 
Neglected Child Reporting Act.  | 
 "Abused child" has the same meaning as in the Abused and  | 
Neglected Child Reporting Act.  | 
 "Child welfare agency" means an Illinois licensed public  | 
or private agency that receives a child for the purpose of  | 
placing or arranging for the placement of the child in a foster  | 
or pre-adoptive family home or other facility for child care,  | 
apart from the custody of the child's parents.  | 
 "Department" or "DCFS" means the Illinois Department of  | 
Children and Family Services.  | 
 "Emergency medical facility" means a freestanding  | 
emergency center or trauma center, as defined in the Emergency  | 
Medical Services (EMS) Systems Act.  | 
 "Emergency medical professional" includes licensed  | 
physicians, and any emergency medical technician, emergency  | 
medical technician-intermediate, advanced emergency medical  | 
technician, paramedic, trauma nurse specialist, and  | 
pre-hospital registered nurse, as defined in the Emergency  | 
Medical Services (EMS) Systems Act.  | 
 "Fire station" means a fire station within the State with  | 
 | 
at least one staff person.  | 
 "Hospital" has the same meaning as in the Hospital  | 
Licensing Act.  | 
 "Legal custody" means the relationship created by a court  | 
order in the best interest of a newborn infant that imposes on  | 
the infant's custodian the responsibility of physical  | 
possession of the infant, the duty to protect, train, and  | 
discipline the infant, and the duty to provide the infant with  | 
food, shelter, education, and medical care, except as these  | 
are limited by parental rights and responsibilities.  | 
 "Neglected child" has the same meaning as in the Abused  | 
and Neglected Child Reporting Act.  | 
 "Newborn infant" means a child who a licensed physician  | 
reasonably believes is 30 days old or less at the time the  | 
child is initially relinquished to a hospital, police station,  | 
fire station, or emergency medical facility, and who is not an  | 
abused or a neglected child.  | 
 "Parent" or "biological parent" or "birth parent" means a  | 
person who has established maternity or paternity of the  | 
newborn infant through genetic testing.  | 
 "Police station" means a municipal police station, a  | 
county sheriff's office, a campus police department located on  | 
any college or university owned or controlled by the State or  | 
any private college or private university that is not owned or  | 
controlled by the State when employees of the campus police  | 
department are present, or any of the district headquarters of  | 
 | 
the Illinois State Police.  | 
 "Relinquish" means to bring a newborn infant, who a  | 
licensed physician reasonably believes is 30 days old or less,  | 
to a hospital, police station, fire station, or emergency  | 
medical facility and to leave the infant with personnel of the  | 
facility, if the person leaving the infant does not express an  | 
intent to return for the infant or states that the person will  | 
not return for the infant. In the case of a person who gives  | 
birth to an infant in a hospital, the person's act of leaving  | 
that newborn infant at the hospital (i) without expressing an  | 
intent to return for the infant or (ii) stating that the person  | 
will not return for the infant is not a "relinquishment" under  | 
this Act.  | 
 "Temporary protective custody" means the temporary  | 
placement of a newborn infant within a hospital or other  | 
medical facility out of the custody of the infant's parent.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-501, eff. 1-1-24;  | 
revised 9-14-23.)
 | 
 (325 ILCS 2/30) | 
 Sec. 30. Anonymity of relinquishing person.  If there is  | 
no evidence of abuse or neglect of a relinquished newborn  | 
infant, the relinquishing person has the right to remain  | 
anonymous and to leave the hospital, police station, fire  | 
station, or emergency medical facility at any time and not be  | 
pursued or followed. Before the relinquishing person leaves  | 
 | 
the hospital, police station, fire station, or emergency  | 
medical facility, the hospital, police station, fire station,  | 
or emergency medical facility personnel shall (i) verbally  | 
inform the relinquishing person that by relinquishing the  | 
child anonymously, the relinquishing person will have to  | 
petition the court if the relinquishing person desires to  | 
prevent the termination of parental rights and regain custody  | 
of the child and (ii) shall offer the relinquishing person the  | 
information packet described in Section 35 of this Act.  | 
However, nothing in this Act shall be construed as precluding  | 
the relinquishing person from providing the relinquishing  | 
person's identity or completing the application forms for the  | 
Illinois Adoption Registry and Medical Information Exchange  | 
and requesting that the hospital, police station, fire  | 
station, or emergency medical facility forward those forms to  | 
the Illinois Adoption Registry and Medical Information  | 
Exchange.  | 
(Source: P.A. 103-22, eff. 8-8-23; revised 9-25-23.)
 | 
 (325 ILCS 2/35) | 
 Sec. 35. Information for relinquishing person.  | 
 (a) The hospital, police station, fire station, or  | 
emergency medical facility that receives a newborn infant  | 
relinquished in accordance with this Act shall offer to the  | 
relinquishing person information about the relinquishment  | 
process and, either in writing or by referring such person to a  | 
 | 
website or other electronic resource, such information shall  | 
state that the relinquishing person's acceptance of the  | 
information is completely voluntary. The information packet  | 
must include all of the following:  | 
  (1) (Blank).  | 
  (2) Written notice of the following:  | 
   (A) No sooner than 60 days following the date of  | 
 the initial relinquishment of the infant to a  | 
 hospital, police station, fire station, or emergency  | 
 medical facility, the child welfare agency or the  | 
 Department will commence proceedings for the  | 
 termination of parental rights and placement of the  | 
 infant for adoption.  | 
   (B) Failure of a parent of the infant to contact  | 
 the Department and petition for the return of custody  | 
 of the infant before termination of parental rights  | 
 bars any future action asserting legal rights with  | 
 respect to the infant.  | 
  (3) A resource list of providers of counseling  | 
 services including grief counseling, pregnancy counseling,  | 
 and counseling regarding adoption and other available  | 
 options for placement of the infant.  | 
 Upon request of a parent, the Department of Public Health  | 
shall provide the application forms for the Illinois Adoption  | 
Registry and Medical Information Exchange.  | 
 (b) The information offered to a relinquishing person in  | 
 | 
accordance with this Act shall include, in addition to other  | 
information required under this Act, the following:  | 
  (1) Information that describes this Act and the rights  | 
 of birth parents, including an option for the parent to  | 
 complete and mail to the Department of Children and Family  | 
 Services a form that shall ask for basic anonymous  | 
 background information about the relinquished child. This  | 
 form shall be maintained by the Department on its website.  | 
  (2) Information about the Illinois Adoption Registry,  | 
 including a toll-free number and website information.  | 
  (3) Information about a mother's postpartum health.  | 
 The information provided in writing or through electronic  | 
means shall be designed in coordination between the Office of  | 
Vital Records and the Department of Children and Family  | 
Services. The Failure to provide such information under this  | 
Section or the failure of the relinquishing person to accept  | 
such information shall not invalidate the relinquishment under  | 
this Act.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-501, eff. 1-1-24;  | 
revised 9-15-23.)
 | 
 Section 455. The Abused and Neglected Child Reporting Act  | 
is amended by changing Sections 4.5 and 7.4 as follows:
 | 
 (325 ILCS 5/4.5) | 
 Sec. 4.5. Electronic and information technology workers;  | 
 | 
reporting child pornography. | 
 (a) In this Section: | 
 "Child pornography" means child pornography as described  | 
in Section 11-20.1 of the Criminal Code of 2012. | 
 "Electronic and information technology equipment" means  | 
equipment used in the creation, manipulation, storage,  | 
display, or transmission of data, including internet and  | 
intranet systems, software applications, operating systems,  | 
video and multimedia, telecommunications products, kiosks,  | 
information transaction machines, copiers, printers, and  | 
desktop and portable computers.  | 
 "Electronic and information technology equipment worker"  | 
means a person who in the scope and course of the person's  | 
employment or business installs, repairs, or otherwise  | 
services electronic and information technology equipment for a  | 
fee but does not include (i) an employee, independent  | 
contractor, or other agent of a telecommunications carrier or  | 
telephone or telecommunications cooperative, as those terms  | 
are defined in the Public Utilities Act, or (ii) an employee,  | 
independent contractor, or other agent of a provider of  | 
commercial mobile radio service, as defined in 47 CFR C.F.R.  | 
20.3. | 
 (b) If an electronic and information technology equipment  | 
worker discovers any depiction of child pornography while  | 
installing, repairing, or otherwise servicing an item of  | 
electronic and information technology equipment, that worker  | 
 | 
or the worker's employer shall immediately report the  | 
discovery to the local law enforcement agency or to the Cyber  | 
Tipline at the National Center for Missing and Exploited  | 
Children. | 
 (c) If a report is filed in accordance with the  | 
requirements of 42 U.S.C. 13032, the requirements of this  | 
Section 4.5 will be deemed to have been met.  | 
 (d) An electronic and information technology equipment  | 
worker or electronic and information technology equipment  | 
worker's employer who reports a discovery of child pornography  | 
as required under this Section is immune from any criminal,  | 
civil, or administrative liability in connection with making  | 
the report, except for willful or wanton misconduct. | 
 (e) Failure to report a discovery of child pornography as  | 
required under this Section is a business offense subject to a  | 
fine of $1,001.  | 
(Source: P.A. 103-22, eff. 8-8-23; revised 9-25-23.)
 | 
 (325 ILCS 5/7.4) | 
 Sec. 7.4. (a) The Department shall be capable of receiving  | 
reports of suspected child abuse or neglect 24 hours a day, 7  | 
days a week. Whenever the Department receives a report  | 
alleging that a child is a truant as defined in Section 26-2a  | 
of the School Code, as now or hereafter amended, the  | 
Department shall notify the superintendent of the school  | 
district in which the child resides and the appropriate  | 
 | 
superintendent of the educational service region. The  | 
notification to the appropriate officials by the Department  | 
shall not be considered an allegation of abuse or neglect  | 
under this Act. | 
 (a-5) The Department of Children and Family Services may  | 
implement a "differential response program" in accordance with  | 
criteria, standards, and procedures prescribed by rule. The  | 
program may provide that, upon receiving a report, the  | 
Department shall determine whether to conduct a family  | 
assessment or an investigation as appropriate to prevent or  | 
provide a remedy for child abuse or neglect. | 
 For purposes of this subsection (a-5), "family assessment"  | 
means a comprehensive assessment of child safety, risk of  | 
subsequent child maltreatment, and family strengths and needs  | 
that is applied to a child maltreatment report that does not  | 
allege substantial child endangerment. "Family assessment"  | 
does not include a determination as to whether child  | 
maltreatment occurred but does determine the need for services  | 
to address the safety of family members and the risk of  | 
subsequent maltreatment. | 
 For purposes of this subsection (a-5), "investigation"  | 
means fact-gathering related to the current safety of a child  | 
and the risk of subsequent abuse or neglect that determines  | 
whether a report of suspected child abuse or neglect should be  | 
indicated or unfounded and whether child protective services  | 
are needed. | 
 | 
 Under the "differential response program" implemented  | 
under this subsection (a-5), the Department: | 
  (1) Shall conduct an investigation on reports  | 
 involving substantial child abuse or neglect. | 
  (2) Shall begin an immediate investigation if, at any  | 
 time when it is using a family assessment response, it  | 
 determines that there is reason to believe that  | 
 substantial child abuse or neglect or a serious threat to  | 
 the child's safety exists. | 
  (3) May conduct a family assessment for reports that  | 
 do not allege substantial child endangerment. In  | 
 determining that a family assessment is appropriate, the  | 
 Department may consider issues, including, but not limited  | 
 to, child safety, parental cooperation, and the need for  | 
 an immediate response. | 
  (4) Shall promulgate criteria, standards, and  | 
 procedures that shall be applied in making this  | 
 determination, taking into consideration the Safety-Based  | 
 Child Welfare Intervention System of the Department. | 
  (5) May conduct a family assessment on a report that  | 
 was initially screened and assigned for an investigation. | 
 In determining that a complete investigation is not  | 
required, the Department must document the reason for  | 
terminating the investigation and notify the local law  | 
enforcement agency or the Illinois State Police if the local  | 
law enforcement agency or Illinois State Police is conducting  | 
 | 
a joint investigation. | 
 Once it is determined that a "family assessment" will be  | 
implemented, the case shall not be reported to the central  | 
register of abuse and neglect reports. | 
 During a family assessment, the Department shall collect  | 
any available and relevant information to determine child  | 
safety, risk of subsequent abuse or neglect, and family  | 
strengths. | 
 Information collected includes, but is not limited to,  | 
when relevant: information with regard to the person reporting  | 
the alleged abuse or neglect, including the nature of the  | 
reporter's relationship to the child and to the alleged  | 
offender, and the basis of the reporter's knowledge for the  | 
report; the child allegedly being abused or neglected; the  | 
alleged offender; the child's caretaker; and other collateral  | 
sources having relevant information related to the alleged  | 
abuse or neglect. Information relevant to the assessment must  | 
be asked for, and may include: | 
  (A) The child's sex and age, prior reports of abuse or  | 
 neglect, information relating to developmental  | 
 functioning, credibility of the child's statement, and  | 
 whether the information provided under this paragraph (A)  | 
 is consistent with other information collected during the  | 
 course of the assessment or investigation. | 
  (B) The alleged offender's age, a record check for  | 
 prior reports of abuse or neglect, and criminal charges  | 
 | 
 and convictions. The alleged offender may submit  | 
 supporting documentation relevant to the assessment. | 
  (C) Collateral source information regarding the  | 
 alleged abuse or neglect and care of the child. Collateral  | 
 information includes, when relevant: (i) a medical  | 
 examination of the child; (ii) prior medical records  | 
 relating to the alleged maltreatment or care of the child  | 
 maintained by any facility, clinic, or health care  | 
 professional, and an interview with the treating  | 
 professionals; and (iii) interviews with the child's  | 
 caretakers, including the child's parent, guardian, foster  | 
 parent, child care provider, teachers, counselors, family  | 
 members, relatives, and other persons who may have  | 
 knowledge regarding the alleged maltreatment and the care  | 
 of the child. | 
  (D) Information on the existence of domestic abuse and  | 
 violence in the home of the child, and substance abuse. | 
 Nothing in this subsection (a-5) precludes the Department  | 
from collecting other relevant information necessary to  | 
conduct the assessment or investigation. Nothing in this  | 
subsection (a-5) shall be construed to allow the name or  | 
identity of a reporter to be disclosed in violation of the  | 
protections afforded under Section 7.19 of this Act. | 
 After conducting the family assessment, the Department  | 
shall determine whether services are needed to address the  | 
safety of the child and other family members and the risk of  | 
 | 
subsequent abuse or neglect. | 
 Upon completion of the family assessment, if the  | 
Department concludes that no services shall be offered, then  | 
the case shall be closed. If the Department concludes that  | 
services shall be offered, the Department shall develop a  | 
family preservation plan and offer or refer services to the  | 
family. | 
 At any time during a family assessment, if the Department  | 
believes there is any reason to stop the assessment and  | 
conduct an investigation based on the information discovered,  | 
the Department shall do so. | 
 The procedures available to the Department in conducting  | 
investigations under this Act shall be followed as appropriate  | 
during a family assessment. | 
 If the Department implements a differential response  | 
program authorized under this subsection (a-5), the Department  | 
shall arrange for an independent evaluation of the program for  | 
at least the first 3 years of implementation to determine  | 
whether it is meeting the goals in accordance with Section 2 of  | 
this Act.  | 
 The Department may adopt administrative rules necessary  | 
for the execution of this Section, in accordance with Section  | 
4 of the Children and Family Services Act. | 
 The Department shall submit a report to the General  | 
Assembly by January 15, 2018 on the implementation progress  | 
and recommendations for additional needed legislative changes.   | 
 | 
 (b)(1) The following procedures shall be followed in the  | 
investigation of all reports of suspected abuse or neglect of  | 
a child, except as provided in subsection (c) of this Section.  | 
 (2) If, during a family assessment authorized by  | 
subsection (a-5) or an investigation, it appears that the  | 
immediate safety or well-being of a child is endangered, that  | 
the family may flee or the child disappear, or that the facts  | 
otherwise so warrant, the Child Protective Service Unit shall  | 
commence an investigation immediately, regardless of the time  | 
of day or night. All other investigations shall be commenced  | 
within 24 hours of receipt of the report. Upon receipt of a  | 
report, the Child Protective Service Unit shall conduct a  | 
family assessment authorized by subsection (a-5) or begin an  | 
initial investigation and make an initial determination  | 
whether the report is a good faith indication of alleged child  | 
abuse or neglect.  | 
 (3) Based on an initial investigation, if the Unit  | 
determines the report is a good faith indication of alleged  | 
child abuse or neglect, then a formal investigation shall  | 
commence and, pursuant to Section 7.12 of this Act, may or may  | 
not result in an indicated report. The formal investigation  | 
shall include: direct contact with the subject or subjects of  | 
the report as soon as possible after the report is received; an  | 
evaluation of the environment of the child named in the report  | 
and any other children in the same environment; a  | 
determination of the risk to such children if they continue to  | 
 | 
remain in the existing environments, as well as a  | 
determination of the nature, extent and cause of any condition  | 
enumerated in such report; the name, age and condition of  | 
other children in the environment; and an evaluation as to  | 
whether there would be an immediate and urgent necessity to  | 
remove the child from the environment if appropriate family  | 
preservation services were provided. After seeing to the  | 
safety of the child or children, the Department shall  | 
forthwith notify the subjects of the report in writing, of the  | 
existence of the report and their rights existing under this  | 
Act in regard to amendment or expungement. To fulfill the  | 
requirements of this Section, the Child Protective Service  | 
Unit shall have the capability of providing or arranging for  | 
comprehensive emergency services to children and families at  | 
all times of the day or night.  | 
 (4) If (i) at the conclusion of the Unit's initial  | 
investigation of a report, the Unit determines the report to  | 
be a good faith indication of alleged child abuse or neglect  | 
that warrants a formal investigation by the Unit, the  | 
Department, any law enforcement agency or any other  | 
responsible agency and (ii) the person who is alleged to have  | 
caused the abuse or neglect is employed or otherwise engaged  | 
in an activity resulting in frequent contact with children and  | 
the alleged abuse or neglect are in the course of such  | 
employment or activity, then the Department shall, except in  | 
investigations where the Director determines that such  | 
 | 
notification would be detrimental to the Department's  | 
investigation, inform the appropriate supervisor or  | 
administrator of that employment or activity that the Unit has  | 
commenced a formal investigation pursuant to this Act, which  | 
may or may not result in an indicated report. The Department  | 
shall also notify the person being investigated, unless the  | 
Director determines that such notification would be  | 
detrimental to the Department's investigation. | 
 (c) In an investigation of a report of suspected abuse or  | 
neglect of a child by a school employee at a school or on  | 
school grounds, the Department shall make reasonable efforts  | 
to follow the following procedures: | 
  (1) Investigations involving teachers shall not, to  | 
 the extent possible, be conducted when the teacher is  | 
 scheduled to conduct classes. Investigations involving  | 
 other school employees shall be conducted so as to  | 
 minimize disruption of the school day. The school employee  | 
 accused of child abuse or neglect may have the school  | 
 employee's superior, the school employee's association or  | 
 union representative, and the school employee's attorney  | 
 present at any interview or meeting at which the teacher  | 
 or administrator is present. The accused school employee  | 
 shall be informed by a representative of the Department,  | 
 at any interview or meeting, of the accused school  | 
 employee's due process rights and of the steps in the  | 
 investigation process. These due process rights shall also  | 
 | 
 include the right of the school employee to present  | 
 countervailing evidence regarding the accusations. In an  | 
 investigation in which the alleged perpetrator of abuse or  | 
 neglect is a school employee, including, but not limited  | 
 to, a school teacher or administrator, and the  | 
 recommendation is to determine the report to be indicated,  | 
 in addition to other procedures as set forth and defined  | 
 in Department rules and procedures, the employee's due  | 
 process rights shall also include: (i) the right to a copy  | 
 of the investigation summary; (ii) the right to review the  | 
 specific allegations which gave rise to the investigation;  | 
 and (iii) the right to an administrator's teleconference  | 
 which shall be convened to provide the school employee  | 
 with the opportunity to present documentary evidence or  | 
 other information that supports the school employee's  | 
 position and to provide information before a final finding  | 
 is entered. | 
  (2) If a report of neglect or abuse of a child by a  | 
 teacher or administrator does not involve allegations of  | 
 sexual abuse or extreme physical abuse, the Child  | 
 Protective Service Unit shall make reasonable efforts to  | 
 conduct the initial investigation in coordination with the  | 
 employee's supervisor. | 
  If the Unit determines that the report is a good faith  | 
 indication of potential child abuse or neglect, it shall  | 
 then commence a formal investigation under paragraph (3)  | 
 | 
 of subsection (b) of this Section. | 
  (3) If a report of neglect or abuse of a child by a  | 
 teacher or administrator involves an allegation of sexual  | 
 abuse or extreme physical abuse, the Child Protective Unit  | 
 shall commence an investigation under paragraph (2) of  | 
 subsection (b) of this Section. | 
 (c-5) In any instance in which a report is made or caused  | 
to made by a school district employee involving the conduct of  | 
a person employed by the school district, at the time the  | 
report was made, as required under Section 4 of this Act, the  | 
Child Protective Service Unit shall send a copy of its final  | 
finding report to the general superintendent of that school  | 
district.  | 
 (c-10) The Department may recommend that a school district  | 
remove a school employee who is the subject of an  | 
investigation from the school employee's employment position  | 
pending the outcome of the investigation; however, all  | 
employment decisions regarding school personnel shall be the  | 
sole responsibility of the school district or employer. The  | 
Department may not require a school district to remove a  | 
school employee from the school employee's employment position  | 
or limit the school employee's duties pending the outcome of  | 
an investigation.  | 
 (d) If the Department has contact with an employer, or  | 
with a religious institution or religious official having  | 
supervisory or hierarchical authority over a member of the  | 
 | 
clergy accused of the abuse of a child, in the course of its  | 
investigation, the Department shall notify the employer or the  | 
religious institution or religious official, in writing, when  | 
a report is unfounded so that any record of the investigation  | 
can be expunged from the employee's or member of the clergy's  | 
personnel or other records. The Department shall also notify  | 
the employee or the member of the clergy, in writing, that  | 
notification has been sent to the employer or to the  | 
appropriate religious institution or religious official  | 
informing the employer or religious institution or religious  | 
official that the Department's investigation has resulted in  | 
an unfounded report. | 
 (d-1) Whenever a report alleges that a child was abused or  | 
neglected while receiving care in a hospital, including a  | 
freestanding psychiatric hospital licensed by the Department  | 
of Public Health, the Department shall send a copy of its final  | 
finding to the Director of Public Health and the Director of  | 
Healthcare and Family Services.  | 
 (e) Upon request by the Department, the Illinois State  | 
Police and law enforcement agencies are authorized to provide  | 
criminal history record information as defined in the Illinois  | 
Uniform Conviction Information Act and information maintained  | 
in the adjudicatory and dispositional record system as defined  | 
in Section 2605-355 of the Illinois State Police Law to  | 
properly designated employees of the Department of Children  | 
and Family Services if the Department determines the  | 
 | 
information is necessary to perform its duties under the  | 
Abused and Neglected Child Reporting Act, the Child Care Act  | 
of 1969, and the Children and Family Services Act. The request  | 
shall be in the form and manner required by the Illinois State  | 
Police. Any information obtained by the Department of Children  | 
and Family Services under this Section is confidential and may  | 
not be transmitted outside the Department of Children and  | 
Family Services other than to a court of competent  | 
jurisdiction or unless otherwise authorized by law. Any  | 
employee of the Department of Children and Family Services who  | 
transmits confidential information in violation of this  | 
Section or causes the information to be transmitted in  | 
violation of this Section is guilty of a Class A misdemeanor  | 
unless the transmittal of the information is authorized by  | 
this Section or otherwise authorized by law. | 
 (f) For purposes of this Section, "child abuse or neglect"  | 
includes abuse or neglect of an adult resident as defined in  | 
this Act.  | 
(Source: P.A. 102-538, eff. 8-20-21; 103-22, eff. 8-8-23;  | 
103-460, eff. 1-1-24; revised 9-15-23.)
 | 
 Section 460. The Intergovernmental Missing Child Recovery  | 
Act of 1984 is amended by changing Section 6 as follows:
 | 
 (325 ILCS 40/6) (from Ch. 23, par. 2256) | 
 Sec. 6. The Illinois State Police shall:  | 
 | 
  (a) Utilize the statewide Law Enforcement Agencies  | 
 Data System (LEADS) for the purpose of effecting an  | 
 immediate law enforcement response to reports of missing  | 
 children. The Illinois State Police shall implement an  | 
 automated data exchange system to compile, to maintain,  | 
 and to make available for dissemination to Illinois and  | 
 out-of-State law enforcement agencies, data which can  | 
 assist appropriate agencies in recovering missing  | 
 children. | 
  (b) Establish contacts and exchange information  | 
 regarding lost, missing, or runaway children with  | 
 nationally recognized "missing person and runaway" service  | 
 organizations and monitor national research and publicize  | 
 important developments. | 
  (c) Provide a uniform reporting format for the entry  | 
 of pertinent information regarding reports of missing  | 
 children into LEADS. | 
  (d) Develop and implement a policy whereby a statewide  | 
 or regional alert would be used in situations relating to  | 
 the disappearances of children, based on criteria and in a  | 
 format established by the Illinois State Police. Such a  | 
 format shall include, but not be limited to, the age and  | 
 physical description of the missing child and the  | 
 suspected circumstances of the disappearance. | 
  (e) Notify all law enforcement agencies that reports  | 
 of missing persons shall be entered as soon as the minimum  | 
 | 
 level of data specified by the Illinois State Police is  | 
 available to the reporting agency and that no waiting  | 
 period for entry of such data exists. | 
  (f) Provide a procedure for prompt confirmation of the  | 
 receipt and entry of the missing child report into LEADS  | 
 to the parent or guardian of the missing child. | 
  (g) Compile and retain information regarding missing  | 
 children in a separate data file, in a manner that allows  | 
 such information to be used by law enforcement and other  | 
 agencies deemed appropriate by the Director, for  | 
 investigative purposes. Such files shall be updated to  | 
 reflect and include information relating to the  | 
 disposition of the case. | 
  (h) Compile and maintain a an historic data repository  | 
 relating to missing children in order (1) to develop and  | 
 improve techniques utilized by law enforcement agencies  | 
 when responding to reports of missing children and (2) to  | 
 provide a factual and statistical base for research that  | 
 would address the problem of missing children. | 
  (i) Create a quality control program to assess the  | 
 timeliness of entries of missing children reports into  | 
 LEADS and conduct performance audits of all entering  | 
 agencies. | 
  (j) Prepare a periodic information bulletin concerning  | 
 missing children who it determines may be present in this  | 
 State, compiling such bulletin from information contained  | 
 | 
 in both the National Crime Information Center computer and  | 
 from reports, alerts, and other information entered into  | 
 LEADS or otherwise compiled and retained by the Illinois  | 
 State Police pursuant to this Act. The bulletin shall  | 
 indicate the name, age, physical description, suspected  | 
 circumstances of disappearance if that information is  | 
 available, a photograph if one is available, the name of  | 
 the law enforcement agency investigating the case, and  | 
 such other information as the Director considers  | 
 appropriate concerning each missing child who the Illinois  | 
 State Police determines may be present in this State. The  | 
 Illinois State Police shall send a copy of each periodic  | 
 information bulletin to the State Board of Education for  | 
 its use in accordance with Section 2-3.48 of the School  | 
 Code. The Illinois State Police shall provide a copy of  | 
 the bulletin, upon request, to law enforcement agencies of  | 
 this or any other state or of the federal government, and  | 
 may provide a copy of the bulletin, upon request, to other  | 
 persons or entities, if deemed appropriate by the  | 
 Director, and may establish limitations on its use and a  | 
 reasonable fee for so providing the same, except that no  | 
 fee shall be charged for providing the periodic  | 
 information bulletin to the State Board of Education,  | 
 appropriate units of local government, State agencies, or  | 
 law enforcement agencies of this or any other state or of  | 
 the federal government. | 
 | 
  (k) Provide for the entry into LEADS of the names and  | 
 addresses of sex offenders as defined in the Sex Offender  | 
 Registration Act who are required to register under that  | 
 Act. The information shall be immediately accessible to  | 
 law enforcement agencies and peace officers of this State  | 
 or any other state or of the federal government. Similar  | 
 information may be requested from any other state or of  | 
 the federal government for purposes of this Act. | 
  (l) Provide for the entry into LEADS of the names and  | 
 addresses of violent offenders against youth as defined in  | 
 the Murderer and Violent Offender Against Youth  | 
 Registration Act who are required to register under that  | 
 Act. The information shall be immediately accessible to  | 
 law enforcement agencies and peace officers of this State  | 
 or any other state or of the federal government. Similar  | 
 information may be requested from any other state or of  | 
 the federal government for purposes of this Act.  | 
(Source: P.A. 102-538, eff. 8-20-21; 103-34, eff. 1-1-24;  | 
revised 1-2-24.)
 | 
 Section 465. The Smart Start Illinois Act is amended by  | 
changing Section 95-10 as follows:
 | 
 (325 ILCS 85/95-10) | 
 Sec. 95-10. Smart Start Child Care Workforce Compensation  | 
Program.  | 
 | 
 (a) The Department of Human Services shall create and  | 
establish the Smart Start Child Care Workforce Compensation  | 
Program. The purpose of the Smart Start Child Care Workforce  | 
Compensation Program is to invest in early childhood education  | 
and care service providers, including, but not limited to,  | 
providers participating in the Child Care Assistance Program;  | 
to expand the supply of high-quality early childhood education  | 
and care; and to create a strong and stable early childhood  | 
education and care system with attractive wages, high-quality  | 
services, and affordable costs cost. | 
 (b) The purpose of the Smart Start Child Care Workforce  | 
Compensation Program is to stabilize community-based early  | 
childhood education and care service providers, raise the  | 
wages of early childhood educators, and support quality  | 
enhancements that can position service providers to  | 
participate in other public funding streams, such as Preschool  | 
for All, in order to further enhance and expand quality  | 
service delivery.  | 
 (c) Subject to appropriation, the Department of Human  | 
Services shall implement the Smart Start Child Care Workforce  | 
Compensation Program for eligible licensed day care centers,  | 
licensed day care homes, and licensed group day care homes by  | 
October 1, 2024, or as soon as practicable, following  | 
completion of a planning and transition year. By October 1,  | 
2025, or as soon as practicable, and for each year thereafter,  | 
subject to appropriation, the Department of Human Services  | 
 | 
shall continue to operate the Smart Start Child Care Workforce  | 
Compensation Program annually with all licensed day care  | 
centers, and licensed day care homes, and licensed group day  | 
care homes that meet eligibility requirements. The Smart Start  | 
Child Care Workforce Compensation Program shall operate  | 
separately from and shall not supplant the Child Care  | 
Assistance Program as provided for in Section 9A-11 of the  | 
Illinois Public Aid Code. | 
 (d) The Department of Human Services shall adopt  | 
administrative rules by October 1, 2024, to facilitate  | 
administration of the Smart Start Child Care Workforce  | 
Compensation Program, including, but not limited to,  | 
provisions for program eligibility, the application and  | 
funding calculation process, eligible expenses, required wage  | 
floors, and requirements for financial and personnel reporting  | 
and monitoring requirements. Eligibility and funding  | 
provisions shall be based on appropriation and a current model  | 
of the cost to provide child care services by a licensed child  | 
care center or licensed family child care home. | 
(Source: P.A. 103-8, eff. 6-7-23; revised 9-25-23.)
 | 
 Section 467. The Community Mental Health Act is amended by  | 
changing Section 3e as follows:
 | 
 (405 ILCS 20/3e) (from Ch. 91 1/2, par. 303e) | 
 Sec. 3e. Board's powers and duties.  | 
 | 
 (1) Every community mental health board shall, within 30  | 
days after members are first appointed and within 30 days  | 
after members are appointed or reappointed upon the expiration  | 
of a member's term, meet and organize, by the election of one  | 
of its number as president and one as secretary and such other  | 
officers as it may deem necessary. It shall make rules and  | 
regulations concerning the rendition or operation of services  | 
and facilities which it directs, supervises or funds, not  | 
inconsistent with the provisions of this Act. It shall: | 
  (a) Hold a meeting prior to July 1 of each year at  | 
 which officers shall be elected for the ensuing year  | 
 beginning July 1; | 
  (b) Hold meetings at least quarterly; | 
  (c) Hold special meetings upon a written request  | 
 signed by at least 2 members and filed with the secretary; | 
  (d) Review and evaluate community mental health  | 
 services and facilities, including services and facilities  | 
 for the treatment of alcoholism, drug addiction,  | 
 developmental disabilities, and intellectual  | 
 disabilities; | 
  (e) Authorize the disbursement of money from the  | 
 community mental health fund for payment for the ordinary  | 
 and contingent expenses of the board;  | 
  (f) Submit to the appointing officer and the members  | 
 of the governing body a written plan for a program of  | 
 community mental health services and facilities for  | 
 | 
 persons with a mental illness, a developmental disability,  | 
 or a substance use disorder. Such plan shall be for the  | 
 ensuing 12 month period. In addition, a plan shall be  | 
 developed for the ensuing 3 year period and such plan  | 
 shall be reviewed at the end of every 12 month period and  | 
 shall be modified as deemed advisable; . | 
  (g) Within amounts appropriated therefor, execute such  | 
 programs and maintain such services and facilities as may  | 
 be authorized under such appropriations, including amounts  | 
 appropriated under bond issues, if any; | 
  (h) Publish the annual budget and report within 120  | 
 days after the end of the fiscal year in a newspaper  | 
 distributed within the jurisdiction of the board, or, if  | 
 no newspaper is published within the jurisdiction of the  | 
 board, then one published in the county, or, if no  | 
 newspaper is published in the county, then in a newspaper  | 
 having general circulation within the jurisdiction of the  | 
 board. The report shall show the condition of its trust of  | 
 that year, the sums of money received from all sources,  | 
 giving the name of any donor, how all monies have been  | 
 expended and for what purpose, and such other statistics  | 
 and program information in regard to the work of the board  | 
 as it may deem of general interest. A copy of the budget  | 
 and the annual report shall be made available to the  | 
 Department of Human Services and to members of the General  | 
 Assembly whose districts include any part of the  | 
 | 
 jurisdiction of such board. The names of all employees,  | 
 consultants, and other personnel shall be set forth along  | 
 with the amounts of money received; | 
  (i) Consult with other appropriate private and public  | 
 agencies in the development of local plans for the most  | 
 efficient delivery of mental health, developmental  | 
 disabilities, and substance use disorder services. The  | 
 Board is authorized to join and to participate in the  | 
 activities of associations organized for the purpose of  | 
 promoting more efficient and effective services and  | 
 programs; | 
  (j) Have the authority to review and comment on all  | 
 applications for grants by any person, corporation, or  | 
 governmental unit providing services within the  | 
 geographical area of the board which provides mental  | 
 health facilities and services, including services for the  | 
 person with a mental illness, a developmental disability,  | 
 or a substance use disorder. The board may require funding  | 
 applicants to send a copy of their funding application to  | 
 the board at the time such application is submitted to the  | 
 Department of Human Services or to any other local, State  | 
 or federal funding source or governmental agency. Within  | 
 60 days of the receipt of any application, the board shall  | 
 submit its review and comments to the Department of Human  | 
 Services or to any other appropriate local, State or  | 
 federal funding source or governmental agency. A copy of  | 
 | 
 the review and comments shall be submitted to the funding  | 
 applicant. Within 60 days thereafter, the Department of  | 
 Human Services or any other appropriate local or State  | 
 governmental agency shall issue a written response to the  | 
 board and the funding applicant. The Department of Human  | 
 Services shall supply any community mental health board  | 
 such information about purchase-of-care funds, State  | 
 facility utilization, and costs in its geographical area  | 
 as the board may request provided that the information  | 
 requested is for the purpose of the Community Mental  | 
 Health Board complying with the requirements of Section  | 
 3f, subsection (f) of this Act; | 
  (k) Perform such other acts as may be necessary or  | 
 proper to carry out the purposes of this Act. | 
 (2) The community mental health board has the following  | 
powers: | 
  (a) The board may enter into multiple-year contracts  | 
 for rendition or operation of services, facilities and  | 
 educational programs. | 
  (b) The board may arrange through intergovernmental  | 
 agreements or intragovernmental agreements or both for the  | 
 rendition of services and operation of facilities by other  | 
 agencies or departments of the governmental unit or county  | 
 in which the governmental unit is located with the  | 
 approval of the governing body. | 
  (c) To employ, establish compensation for, and set  | 
 | 
 policies for its personnel, including legal counsel, as  | 
 may be necessary to carry out the purposes of this Act and  | 
 prescribe the duties thereof. The board may enter into  | 
 multiple-year employment contracts as may be necessary for  | 
 the recruitment and retention of personnel and the proper  | 
 functioning of the board. | 
  (d) The board may enter into multiple-year joint  | 
 agreements, which shall be written, with other mental  | 
 health boards and boards of health to provide jointly  | 
 agreed upon community mental health facilities and  | 
 services and to pool such funds as may be deemed necessary  | 
 and available for this purpose. | 
  (e) The board may organize a not-for-profit  | 
 corporation for the purpose of providing direct recipient  | 
 services. Such corporations shall have, in addition to all  | 
 other lawful powers, the power to contract with persons to  | 
 furnish services for recipients of the corporation's  | 
 facilities, including psychiatrists and other physicians  | 
 licensed in this State to practice medicine in all of its  | 
 branches. Such physicians shall be considered independent  | 
 contractors, and liability for any malpractice shall not  | 
 extend to such corporation, nor to the community mental  | 
 health board, except for gross negligence in entering into  | 
 such a contract. | 
  (f) The board shall not operate any direct recipient  | 
 services for more than a 2-year period when such services  | 
 | 
 are being provided in the governmental unit, but shall  | 
 encourage, by financial support, the development of  | 
 private agencies to deliver such needed services, pursuant  | 
 to regulations of the board. | 
  (g) Where there are multiple boards within the same  | 
 planning area, as established by the Department of Human  | 
 Services, services may be purchased through a single  | 
 delivery system. In such areas, a coordinating body with  | 
 representation from each board shall be established to  | 
 carry out the service functions of this Act. In the event  | 
 any such coordinating body purchases or improves real  | 
 property, such body shall first obtain the approval of the  | 
 governing bodies of the governmental units in which the  | 
 coordinating body is located. | 
  (h) The board may enter into multiple-year joint  | 
 agreements with other governmental units located within  | 
 the geographical area of the board. Such agreements shall  | 
 be written and shall provide for the rendition of services  | 
 by the board to the residents of such governmental units.  | 
  (i) The board may enter into multiple-year joint  | 
 agreements with federal, State, and local governments,  | 
 including the Department of Human Services, whereby the  | 
 board will provide certain services. All such joint  | 
 agreements must provide for the exchange of relevant data.  | 
 However, nothing in this Act shall be construed to permit  | 
 the abridgement of the confidentiality of patient records. | 
 | 
  (j) The board may receive gifts from private sources  | 
 for purposes not inconsistent with the provisions of this  | 
 Act. | 
  (k) The board may receive federal Federal, State, and  | 
 local funds for purposes not inconsistent with the  | 
 provisions of this Act. | 
  (l) The board may establish scholarship programs. Such  | 
 programs shall require equivalent service or reimbursement  | 
 pursuant to regulations of the board. | 
  (m) The board may sell, rent, or lease real property  | 
 for purposes consistent with this Act. | 
  (n) The board may: (i) own real property, lease real  | 
 property as lessee, or acquire real property by purchase,  | 
 construction, lease-purchase agreement, or otherwise; (ii)  | 
 take title to the property in the board's name; (iii)  | 
 borrow money and issue debt instruments, mortgages,  | 
 purchase-money mortgages, and other security instruments  | 
 with respect to the property; and (iv) maintain, repair,  | 
 remodel, or improve the property. All of these activities  | 
 must be for purposes consistent with this Act as may be  | 
 reasonably necessary for the housing and proper  | 
 functioning of the board. The board may use moneys in the  | 
 Community Mental Health Fund for these purposes. | 
  (o) The board may organize a not-for-profit  | 
 corporation (i) for the purpose of raising money to be  | 
 distributed by the board for providing community mental  | 
 | 
 health services and facilities for the treatment of  | 
 alcoholism, drug addiction, developmental disabilities,  | 
 and intellectual disabilities or (ii) for other purposes  | 
 not inconsistent with this Act. | 
  (p) The board may fix a fiscal year for the board. | 
  (q) The board has the responsibility to set, maintain,  | 
 and implement the budget. | 
 Every board shall be subject to the requirements under the  | 
Freedom of Information Act and the Open Meetings Act.  | 
(Source: P.A. 103-274, eff. 1-1-24; revised 1-20-24.)
 | 
 Section 470. The Lead Poisoning Prevention Act is amended  | 
by changing Section 8.1 as follows:
 | 
 (410 ILCS 45/8.1) (from Ch. 111 1/2, par. 1308.1) | 
 Sec. 8.1. Licensing of lead inspectors and lead risk  | 
assessors.  | 
 (a) The Department shall establish standards and licensing  | 
procedures for lead inspectors and lead risk assessors. An  | 
integral element of these procedures shall be an education and  | 
training program prescribed by the Department, which shall  | 
include, but not be limited to, scientific sampling,  | 
chemistry, and construction techniques. No person shall make  | 
inspections or risk assessments without first being licensed  | 
by the Department. The penalty for inspection or risk  | 
assessment without a license shall be a Class A misdemeanor  | 
 | 
and an administrative fine. | 
 (b) The Department shall charge licensed lead inspectors  | 
and lead risk assessors reasonable license fees and the fees  | 
shall be placed in the Lead Poisoning Screening, Prevention,  | 
and Abatement Fund and used to fund the Department's licensing  | 
of lead inspectors and lead risk assessors and any other  | 
activities prescribed by this Act. A licensed lead inspector  | 
or lead risk assessor employed by the Department or its  | 
delegate agency shall not be charged a license fee. | 
 (c) The Department, upon notification by the Illinois  | 
Workers' Compensation Commission or the Department of  | 
Insurance, shall refuse the issuance or renewal of a license  | 
to, or suspend or revoke the license of, any individual,  | 
corporation, partnership, or other business entity that has  | 
been found by the Illinois Workers' Compensation Commission or  | 
the Department of Insurance to have failed:  | 
  (1) to secure workers' compensation obligations in the  | 
 manner required by subsections (a) and (b) of Section 4 of  | 
 the Workers' Compensation Act;  | 
  (2) to pay in full a fine or penalty imposed by the  | 
 Illinois Workers' Compensation Commission or the  | 
 Department of Insurance due to a failure to secure  | 
 workers' compensation obligations in the manner required  | 
 by subsections (a) and (b) of Section 4 of the Workers'  | 
 Compensation Act; or  | 
  (3) to fulfill all obligations assumed pursuant to any  | 
 | 
 settlement reached with the Illinois Workers' Compensation  | 
 Commission or the Department of Insurance due to a failure  | 
 to secure workers' compensation obligations in the manner  | 
 required by subsections (a) and (b) of Section 4 of the  | 
 Workers' Compensation Act.  | 
 A complaint filed with the Department by the Illinois  | 
Workers' Compensation Commission or the Department of  | 
Insurance that includes a certification, signed by its  | 
Director or Chairman or designee, attesting to a finding of  | 
the failure to secure workers' compensation obligations in the  | 
manner required by subsections (a) and (b) of Section 4 of the  | 
Workers' Compensation Act or the failure to pay any fines or  | 
penalties or to discharge any obligation under a settlement  | 
relating to the failure to secure workers' compensation  | 
obligations in the manner required by subsections (a) and (b)  | 
of Section 4 of the Workers' Compensation Act is prima facie  | 
evidence of the licensee's or applicant's failure to comply  | 
with subsections (a) and (b) of Section 4 of the Workers'  | 
Compensation Act. Upon receipt of that certification, the  | 
Department shall, without a hearing, immediately suspend all  | 
licenses held by the licensee or the processing of any  | 
application from the applicant. Enforcement of the  | 
Department's order shall be stayed for 60 days. The Department  | 
shall provide notice of the suspension to the licensee by  | 
mailing a copy of the Department's order to the licensee's or  | 
applicant's address of record or emailing a copy of the order  | 
 | 
to the licensee's or applicant's email address of record. The  | 
notice shall advise the licensee or applicant that the  | 
suspension shall be effective 60 days after the issuance of  | 
the order unless the Department receives, from the licensee or  | 
applicant, a request for a hearing before the Department to  | 
dispute the matters contained in the order.  | 
 Upon receiving notice from the Illinois Workers'  | 
Compensation Commission or the Department of Insurance that  | 
the violation has been corrected or otherwise resolved, the  | 
Department shall vacate the order suspending a licensee's  | 
license or the processing of an applicant's application. | 
 No license shall be suspended or revoked until after the  | 
licensee is afforded any due process protection guaranteed by  | 
statute or rule adopted by the Illinois Workers' Compensation  | 
Commission or the Department of Insurance.  | 
(Source: P.A. 103-26, eff. 1-1-24; revised 1-2-24.)
 | 
 Section 475. The Smoke Free Illinois Act is amended by  | 
changing Section 35 as follows:
 | 
 (410 ILCS 82/35) | 
 Sec. 35. Exemptions. Notwithstanding any other provision  | 
of this Act, smoking is allowed in the following areas: | 
  (1) Private residences or dwelling places, except when  | 
 used as a child care, adult day care, or healthcare  | 
 facility or any other home-based business open to the  | 
 | 
 public. | 
  (2) Retail tobacco stores as defined in Section 10 of  | 
 this Act in operation prior to January 1, 2008 (the  | 
 effective date of Public Act 95-17) this amendatory Act of  | 
 the 95th General Assembly. The retail tobacco store shall  | 
 annually file with the Department by January 31st an  | 
 affidavit stating the percentage of its gross income  | 
 during the prior calendar year that was derived from the  | 
 sale of loose tobacco, plants, or herbs and cigars,  | 
 cigarettes, pipes, or other smoking devices for smoking  | 
 tobacco and related smoking accessories. Any retail  | 
 tobacco store that begins operation after January 1, 2008  | 
 (the effective date of Public Act 95-17) this amendatory  | 
 Act may only qualify for an exemption if located in a  | 
 freestanding structure occupied solely by the business and  | 
 smoke from the business does not migrate into an enclosed  | 
 area where smoking is prohibited. A retail tobacco store  | 
 that derives at least 80% of its gross revenue from the  | 
 sale of electronic cigarettes and electronic cigarette  | 
 equipment and accessories in operation before January 1,  | 
 2024 (the effective date of Public Act 103-272) this  | 
 amendatory Act of the 103rd General Assembly qualifies for  | 
 this exemption for electronic cigarettes only. A retail  | 
 tobacco store claiming an exemption for electronic  | 
 cigarettes shall annually file with the Department by  | 
 January 31 an affidavit stating the percentage of its  | 
 | 
 gross income during the prior calendar year that was  | 
 derived from the sale of electronic cigarettes. A retail  | 
 tobacco store may, with authorization or permission from a  | 
 unit of local government, including a home rule unit, or  | 
 any non-home rule county within the unincorporated  | 
 territory of the county, allow the on-premises consumption  | 
 of cannabis in a specially designated areas. | 
  (3) (Blank). | 
  (4) Hotel and motel sleeping rooms that are rented to  | 
 guests and are designated as smoking rooms, provided that  | 
 all smoking rooms on the same floor must be contiguous and  | 
 smoke from these rooms must not infiltrate into nonsmoking  | 
 rooms or other areas where smoking is prohibited. Not more  | 
 than 25% of the rooms rented to guests in a hotel or motel  | 
 may be designated as rooms where smoking is allowed. The  | 
 status of rooms as smoking or nonsmoking may not be  | 
 changed, except to permanently add additional nonsmoking  | 
 rooms. | 
  (5) Enclosed laboratories that are excluded from the  | 
 definition of "place of employment" in Section 10 of this  | 
 Act. Rulemaking authority to implement Public Act 95-1029  | 
 this amendatory Act of the 95th General Assembly, if any,  | 
 is conditioned on the rules being adopted in accordance  | 
 with all provisions of the Illinois Administrative  | 
 Procedure Act and all rules and procedures of the Joint  | 
 Committee on Administrative Rules; any purported rule not  | 
 | 
 so adopted, for whatever reason, is unauthorized. | 
  (6) Common smoking rooms in long-term care facilities  | 
 operated under the authority of the Illinois Department of  | 
 Veterans' Affairs or licensed under the Nursing Home Care  | 
 Act that are accessible only to residents who are smokers  | 
 and have requested in writing to have access to the common  | 
 smoking room where smoking is permitted and the smoke  | 
 shall not infiltrate other areas of the long-term care  | 
 facility. Rulemaking authority to implement Public Act  | 
 95-1029 this amendatory Act of the 95th General Assembly,  | 
 if any, is conditioned on the rules being adopted in  | 
 accordance with all provisions of the Illinois  | 
 Administrative Procedure Act and all rules and procedures  | 
 of the Joint Committee on Administrative Rules; any  | 
 purported rule not so adopted, for whatever reason, is  | 
 unauthorized. | 
  (7) A convention hall of the Donald E. Stephens  | 
 Convention Center where a meeting or trade show for  | 
 manufacturers and suppliers of tobacco and tobacco  | 
 products and accessories is being held, during the time  | 
 the meeting or trade show is occurring, if the meeting or  | 
 trade show: | 
   (i) is a trade-only event and not open to the  | 
 public; | 
   (ii) is limited to attendees and exhibitors that  | 
 are 21 years of age or older; | 
 | 
   (iii) is being produced or organized by a business  | 
 relating to tobacco or a professional association for  | 
 convenience stores; and | 
   (iv) involves the display of tobacco products. | 
  Smoking is not allowed in any public area outside of  | 
 the hall designated for the meeting or trade show. | 
  This paragraph (7) is inoperative on and after October  | 
 1, 2015. | 
  (8) A dispensing organization, as defined in the  | 
 Cannabis Regulation and Tax Act, authorized or permitted  | 
 by a unit local government to allow on-site consumption of  | 
 cannabis, if the establishment: (1) maintains a specially  | 
 designated area or areas for the purpose of heating,  | 
 burning, smoking, or lighting cannabis; (2) is limited to  | 
 individuals 21 or older; and (3) maintains a locked door  | 
 or barrier to any specially designated areas for the  | 
 purpose of heating, burning, smoking or lighting cannabis.  | 
(Source: P.A. 103-272, eff. 1-1-24; revised 1-2-24.)
 | 
 Section 480. The Health Care Professional Credentials Data  | 
Collection Act is amended by changing Section 5 as follows:
 | 
 (410 ILCS 517/5) | 
 Sec. 5. Definitions. As used in this Act: | 
 "Credentials data" means those data, information, or  | 
answers to questions required by a health care entity, health  | 
 | 
care plan, or hospital to complete the credentialing or  | 
recredentialing of a health care professional. | 
 "Credentialing" means the process of assessing and  | 
validating the qualifications of a health care professional. | 
 "Department" means the Department of Public Health. | 
 "Director" means the Director of the Department of Public  | 
Health. | 
 "Health care entity" means any of the following which  | 
require the submission of credentials data: (i) a health care  | 
facility or other health care organization licensed or  | 
certified to provide medical or health services in Illinois,  | 
other than a hospital; (ii) a health care professional  | 
partnership, corporation, limited liability company,  | 
professional services corporation or group practice; or (iii)  | 
an independent practice association or physician hospital  | 
organization. Nothing in this definition shall be construed to  | 
mean that a hospital is a health care entity. | 
 "Health care plan" means any entity licensed by the  | 
Department of Insurance as a prepaid health care plan or  | 
health maintenance organization or as an insurer which  | 
requires the submission of credentials data. | 
 "Health care professional" means any person licensed under  | 
the Medical Practice Act of 1987 or any person licensed under  | 
any other Act subsequently made subject to this Act by the  | 
Department. | 
 "Hospital" means a hospital licensed under the Hospital  | 
 | 
Licensing Act or any hospital organized under the University  | 
of Illinois Hospital Act. | 
 "Recredentialing" means a process undertaken for a period  | 
not to exceed 3 years by which a health care entity, health  | 
care plan, or hospital ensures that a health care professional  | 
who is currently credentialed by the health care entity,  | 
health care plan, or hospital continues to meet the  | 
credentialing criteria used by the health care entity, health  | 
care plan, or hospital 3. | 
 "Single credentialing cycle" means a process undertaken  | 
for a period not to exceed 3 years whereby for purposes of  | 
recredentialing each health care professional's credentials  | 
data are collected by all health care entities and health care  | 
plans that credential the health care professional during the  | 
same time period 3. | 
 "Site survey" means a process by which a health care  | 
entity or health care plan assesses the office locations and  | 
medical record keeping practices of a health care  | 
professional. | 
 "Single site survey" means a process by which, for  | 
purposes of recredentialing, each health care professional  | 
receives a site visit only once every two years. | 
 "Uniform health care credentials form" means the form  | 
prescribed by the Department under Section 15 to collect the  | 
credentials data commonly requested by health care entities  | 
and health care plans for purposes of credentialing. | 
 | 
 "Uniform health care recredentials form" means the form  | 
prescribed by the Department under Section 15 to collect the  | 
credentials data commonly requested by health care entities  | 
and health care plans for purposes of recredentialing. | 
 "Uniform hospital credentials form" means the form  | 
prescribed by the Department under Section 15 to collect the  | 
credentials data commonly requested by hospitals for purposes  | 
of credentialing. | 
 "Uniform hospital recredentials form" means the form  | 
prescribed by the Department under Section 15 to collect the  | 
credentials data commonly requested by hospitals for purposes  | 
of recredentialing. | 
 "Uniform site survey instrument" means the instrument  | 
developed by the Department under Section 25 to complete a  | 
single site survey as part of a credentialing or  | 
recredentialing process. | 
 "Uniform updating form" means the standardized form  | 
prescribed by the Department for reporting of corrections,  | 
updates, and modifications to credentials data to health care  | 
entities, health care plans, and hospitals when those data  | 
change following credentialing or recredentialing of a health  | 
care professional. | 
(Source: P.A. 103-96, eff. 1-1-24; 103-436, eff. 8-4-23;  | 
revised 12-15-23.)
 | 
 Section 485. The Vital Records Act is amended by changing  | 
 | 
Section 25 and by setting forth and renumbering multiple  | 
versions of Section 25.6 as follows:
 | 
 (410 ILCS 535/25) | 
 Sec. 25. In accordance with Section 24 of this Act, and the  | 
regulations adopted pursuant thereto: | 
  (1) The State Registrar of Vital Records shall search  | 
 the files of birth, death, and fetal death records, upon  | 
 receipt of a written request and a fee of $10 from any  | 
 applicant entitled to such search. A search fee shall not  | 
 be required for commemorative birth certificates issued by  | 
 the State Registrar. A search fee shall not be required  | 
 for a birth record search from a person (1) upon release on  | 
 parole, mandatory supervised release, final discharge, or  | 
 pardon from the Department of Corrections if the person  | 
 presents a prescribed verification form completed by the  | 
 Department of Corrections verifying the person's date of  | 
 birth and social security number, or (2) placed on  | 
 aftercare release under the Juvenile Court Act of 1987,  | 
 upon release on parole, mandatory supervised release,  | 
 final discharge, or pardon from the Department of Juvenile  | 
 Justice if the person presents a prescribed verification  | 
 form completed by the Department of Juvenile Justice  | 
 verifying the person's date of birth and social security  | 
 number; however, the person is entitled to only one search  | 
 fee waiver. If, upon search, the record requested is  | 
 | 
 found, the State Registrar shall furnish the applicant one  | 
 certification of such record, under the seal of such  | 
 office. If the request is for a certified copy of the  | 
 record, an additional fee of $5 shall be required. An  | 
 additional fee for a certified copy of the record shall  | 
 not be required from a person (1) upon release on parole,  | 
 mandatory supervised release, final discharge, or pardon  | 
 from the Department of Corrections if the person presents  | 
 a prescribed verification form completed by the Department  | 
 of Corrections verifying the released person's date of  | 
 birth and social security number, or (2) placed on  | 
 aftercare release under the Juvenile Court Act of 1987,  | 
 upon release on parole, mandatory supervised release,  | 
 final discharge, or pardon from the Department of Juvenile  | 
 Justice if the person presents a prescribed verification  | 
 form completed by the Department of Juvenile Justice  | 
 verifying the person's date of birth and social security  | 
 number; however, the person is entitled to only one  | 
 certified copy fee waiver. If the request is for a  | 
 certified copy of a death certificate or a fetal death  | 
 certificate, an additional fee of $2 is required. The  | 
 additional fee shall be deposited into the Death  | 
 Certificate Surcharge Fund. A further fee of $2 shall be  | 
 required for each additional certification or certified  | 
 copy requested. If the requested record is not found, the  | 
 State Registrar shall furnish the applicant a  | 
 | 
 certification attesting to that fact, if so requested by  | 
 the applicant. A further fee of $2 shall be required for  | 
 each additional certification that no record has been  | 
 found. | 
  Any local registrar or county clerk shall search the  | 
 files of birth, death, and fetal death records, upon  | 
 receipt of a written request from any applicant entitled  | 
 to such search. If upon search the record requested is  | 
 found, such local registrar or county clerk shall furnish  | 
 the applicant one certification or certified copy of such  | 
 record, under the seal of such office, upon payment of the  | 
 applicable fees. If the requested record is not found, the  | 
 local registrar or county clerk shall furnish the  | 
 applicant a certification attesting to that fact, if so  | 
 requested by the applicant and upon payment of applicable  | 
 fee. The local registrar or county clerk must charge a $2  | 
 fee for each certified copy of a death certificate. The  | 
 fee is in addition to any other fees that are charged by  | 
 the local registrar or county clerk. The additional fees  | 
 must be transmitted to the State Registrar monthly and  | 
 deposited into the Death Certificate Surcharge Fund. The  | 
 local registrar or county clerk may charge fees for  | 
 providing other services for which the State Registrar may  | 
 charge fees under this Section. | 
  Upon receipt of a written request from an applicant  | 
 entitled to such a search, a local registrar or county  | 
 | 
 clerk shall search available files for the death  | 
 certificate of an active duty service member or honorably  | 
 discharged veteran of the United States military. If the  | 
 death certificate requested by the applicant is found, the  | 
 local registrar or county clerk shall furnish the  | 
 applicant with one certified copy of the death  | 
 certificate, under the seal of the local registrar's or  | 
 county clerk's office, at no cost to the applicant. If the  | 
 requested death certificate of the service member or  | 
 honorably discharged veteran is not found, the local  | 
 registrar or county clerk shall furnish the applicant, at  | 
 no cost, with certification attesting to that fact if so  | 
 requested by the applicant. A local registrar or county  | 
 clerk shall not require a fee from the applicant of more  | 
 than $6 for any subsequent copy of the service member's or  | 
 honorably discharged veteran's death certificate or  | 
 certification attesting that the death certificate of the  | 
 service member or honorably discharged veteran was not  | 
 found.  | 
  A request to any custodian of vital records for a  | 
 search of the death record indexes for genealogical  | 
 research shall require a fee of $10 per name for a 5-year 5  | 
 year search. An additional fee of $1 for each additional  | 
 year searched shall be required. If the requested record  | 
 is found, one uncertified copy shall be issued without  | 
 additional charge. | 
 | 
  Any fee received by the State Registrar pursuant to  | 
 this Section which is of an insufficient amount may be  | 
 returned by the State Registrar upon his recording the  | 
 receipt of such fee and the reason for its return. The  | 
 State Registrar is authorized to maintain a 2-signature 2  | 
 signature, revolving checking account with a suitable  | 
 commercial bank for the purpose of depositing and  | 
 withdrawing-for-return cash received and determined  | 
 insufficient for the service requested. | 
  No fee imposed under this Section may be assessed  | 
 against an organization chartered by Congress that  | 
 requests a certificate for the purpose of death  | 
 verification. | 
  No fee imposed under this Section may be assessed  | 
 against a victim of domestic violence as defined in the  | 
 Illinois Domestic Violence Act of 1986. To qualify for the  | 
 waiver of a fee, the person seeking the vital record must  | 
 provide a certification letter as described in Section  | 
 25.6.  | 
  Any custodian of vital records, whether it may be the  | 
 Department of Public Health, a local registrar, or a  | 
 county clerk shall charge an additional $2 for each  | 
 certified copy of a death certificate and that additional  | 
 fee shall be collected on behalf of the Department of  | 
 Financial and Professional Regulation for deposit into the  | 
 Cemetery Oversight Licensing and Disciplinary Fund.  | 
 | 
  As used in this paragraph, "veteran" means an  | 
 individual who served in the Armed Forces of the United  | 
 States, National Guard, or the reserves of the Armed  | 
 Forces of the United States.  | 
  (2) The certification of birth may contain only the  | 
 name, sex, date of birth, and place of birth, of the person  | 
 to whom it relates, the name, age and birthplace of the  | 
 parents, and the file number; and none of the other data on  | 
 the certificate of birth except as authorized under  | 
 subsection (5) of this Section. | 
  (3) The certification of death shall contain only the  | 
 name, Social Security Number, sex, date of death, and  | 
 place of death of the person to whom it relates, and file  | 
 number; and none of the other data on the certificate of  | 
 death except as authorized under subsection (5) of this  | 
 Section. | 
  (4) Certification or a certified copy of a certificate  | 
 shall be issued: | 
   (a) Upon the order of a court of competent  | 
 jurisdiction; or | 
   (b) In case of a birth certificate, upon the  | 
 specific written request for a certification or  | 
 certified copy by the person, if of legal age, by a  | 
 parent or other legal representative of the person to  | 
 whom the record of birth relates, or by a person having  | 
 a genealogical interest; or | 
 | 
   (c) Upon the specific written request for a  | 
 certification or certified copy by a department of the  | 
 State state or a municipal corporation or the federal  | 
 government; or | 
   (c-1) Upon the specific written request for a  | 
 certification or certified copy by a State's Attorney  | 
 for the purpose of a criminal prosecution; or  | 
   (d) In case of a death or fetal death certificate,  | 
 upon specific written request for a certified copy by  | 
 a person, or his duly authorized agent, having a  | 
 genealogical, personal, or property right interest in  | 
 the record. | 
  A genealogical interest shall be a proper purpose with  | 
 respect to births which occurred not less than 75 years  | 
 and deaths which occurred not less than 20 years prior to  | 
 the date of written request. Where the purpose of the  | 
 request is a genealogical interest, the custodian shall  | 
 stamp the certification or copy with the words, FOR  | 
 GENEALOGICAL PURPOSES ONLY. | 
  (5) Any certification or certified copy issued  | 
 pursuant to this Section shall show the date of  | 
 registration; and copies issued from records marked  | 
 "delayed," "amended," or "court order" shall be similarly  | 
 marked and show the effective date. | 
  (6) Any certification or certified copy of a  | 
 certificate issued in accordance with this Section shall  | 
 | 
 be considered as prima facie evidence of the facts therein  | 
 stated, provided that the evidentiary value of a  | 
 certificate or record filed more than one year after the  | 
 event, or a record which has been amended, shall be  | 
 determined by the judicial or administrative body or  | 
 official before whom the certificate is offered as  | 
 evidence. | 
  (7) Any certification or certified copy issued  | 
 pursuant to this Section shall be issued without charge  | 
 when the record is required by the United States  | 
 Department of Veterans Affairs Veterans Administration or  | 
 by any accredited veterans organization to be used in  | 
 determining the eligibility of any person to participate  | 
 in benefits available from such organization. Requests for  | 
 such copies must be in accordance with Sections 1 and 2 of  | 
 Records for Veterans Administration Act "An Act to provide  | 
 for the furnishing of copies of public documents to  | 
 interested parties," approved May 17, 1935, as now or  | 
 hereafter amended. | 
  (8) The National Vital Statistics Division, or any  | 
 agency which may be substituted therefor, may be furnished  | 
 such copies or data as it may require for national  | 
 statistics; provided that the State shall be reimbursed  | 
 for the cost of furnishing such data; and provided further  | 
 that such data shall not be used for other than  | 
 statistical purposes by the National Vital Statistics  | 
 | 
 Division, or any agency which may be substituted therefor,  | 
 unless so authorized by the State Registrar of Vital  | 
 Records. | 
  (9) Federal, State, local, and other public or private  | 
 agencies may, upon request, be furnished copies or data  | 
 for statistical purposes upon such terms or conditions as  | 
 may be prescribed by the Department. | 
  (10) The State Registrar of Vital Records, at his  | 
 discretion and in the interest of promoting registration  | 
 of births, may issue, without fee, to the parents or  | 
 guardian of any or every child whose birth has been  | 
 registered in accordance with the provisions of this Act,  | 
 a special notice of registration of birth. | 
  (11) No person shall prepare or issue any certificate  | 
 which purports to be an original, certified copy, or  | 
 certification of a certificate of birth, death, or fetal  | 
 death, except as authorized in this Act or regulations  | 
 adopted hereunder. | 
  (12) A computer print-out of any record of birth,  | 
 death, or fetal record that may be certified under this  | 
 Section may be used in place of such certification and  | 
 such computer print-out shall have the same legal force  | 
 and effect as a certified copy of the document. | 
  (13) The State Registrar may verify from the  | 
 information contained in the index maintained by the State  | 
 Registrar the authenticity of information on births,  | 
 | 
 deaths, marriages, and dissolution of marriages provided  | 
 to a federal agency or a public agency of another state by  | 
 a person seeking benefits or employment from the agency,  | 
 provided the agency pays a fee of $10. | 
  (14) The State Registrar may issue commemorative birth  | 
 certificates to persons eligible to receive birth  | 
 certificates under this Section upon the payment of a fee  | 
 to be determined by the State Registrar. | 
(Source: P.A. 102-739, eff. 1-1-23; 103-95, eff. 6-9-23;  | 
103-170, eff. 1-1-24; revised 9-1-23.)
 | 
 (410 ILCS 535/25.6) | 
 Sec. 25.6. Fee waiver; persons who reside in a shelter for  | 
domestic violence. | 
 (a) The applicable fees under Section 17 of this Act for a  | 
new certificate of birth and Section 25 of this Act for a  | 
search of a birth record or a certified copy of a birth record  | 
shall be waived for all requests by a person who resides in a  | 
shelter for domestic violence. The State Registrar of Vital  | 
Records shall establish standards and procedures consistent  | 
with this Section for waiver of the applicable fees. A person  | 
described under this Section must not be charged for  | 
verification under this Section. A person who knowingly or  | 
purposefully falsifies this verification is subject to a  | 
penalty of $100.  | 
 (b) A person who resides in a shelter for domestic  | 
 | 
violence shall be provided no more than 4 birth records  | 
annually under this Section.  | 
(Source: P.A. 102-1141, eff. 7-1-23.)
 | 
 (410 ILCS 535/25.7) | 
 Sec. 25.7 25.6. Certification letter form. In order to  | 
seek a waiver of the fee for a copy of a vital record, the  | 
person seeking the record must provide the following  | 
certification letter:
 | 
Certification Letter for Domestic Violence Waiver for Illinois  | 
Vital Records  | 
Full Name of Applicant:............................... | 
Date of Birth:........................................ | 
 I,........................, certify, to the best of my  | 
knowledge and belief, that on the date listed below, the above  | 
named individual is a victim or child of a victim of domestic  | 
violence, as defined by Section 103 of the Illinois Domestic  | 
Violence Act of 1986 (750 ILCS 60/103), who is currently  | 
fleeing a dangerous living situation. I provide this  | 
certification in my capacity as (check one below):  | 
  ( ) an advocate at a family violence center who  | 
 assisted the victim; | 
  ( ) a licensed medical care or mental health provider; | 
  ( ) the director of an emergency shelter or  | 
 transitional housing; or  | 
 | 
  ( ) the director of a transitional living program.  | 
Signature:................. Date:........................  | 
Title:..................... Employer:....................  | 
Email:..................... Phone:.......................  | 
Address:................... City:........................  | 
State:..................... Zip:.........................  | 
(Source: P.A. 103-170, eff. 1-1-24; revised 1-2-24.)
 | 
 Section 490. The Sanitary Food Preparation Act is amended  | 
by changing Section 8 as follows:
 | 
 (410 ILCS 650/8) (from Ch. 56 1/2, par. 74) | 
 Sec. 8. No operative, employee, or other person persons  | 
shall expectorate on the food, or on the utensils, or on the  | 
floors or sidewalls of any building, room, basement, or cellar  | 
where the production, preparation, manufacture, packing,  | 
storing, or sale of any such food is conducted. Operatives,  | 
employees, clerks, and all other persons who handle the  | 
material from which such food is prepared or the finished  | 
product, before beginning work, or after visiting toilet or  | 
toilets, shall wash their hands thoroughly in clean water.  | 
Whoever fails to observe or violates the provisions of this  | 
Section shall be guilty of a petty offense and fined not more  | 
than $25. | 
(Source: P.A. 103-154, eff. 6-30-23; revised 9-25-23.)
 | 
 | 
 Section 495. The Cannabis Regulation and Tax Act is  | 
amended by changing Sections 15-150 and 15-170 as follows:
 | 
 (410 ILCS 705/15-150) | 
 Sec. 15-150. Temporary suspension.  | 
 (a) The Secretary of Financial and Professional Regulation  | 
may temporarily suspend a dispensing organization license or  | 
an agent registration without a hearing if the Secretary finds  | 
that public safety or welfare requires emergency action. The  | 
Secretary shall cause the temporary suspension by issuing a  | 
suspension notice in connection with the institution of  | 
proceedings for a hearing. | 
 (b) If the Secretary temporarily suspends a license or  | 
agent registration without a hearing, the licensee or agent is  | 
entitled to a hearing within 45 days after the suspension  | 
notice has been issued. The hearing shall be limited to the  | 
issues cited in the suspension notice, unless all parties  | 
agree otherwise. | 
 (c) If the Department does not hold a hearing within with  | 
45 days after the date the suspension notice was issued, then  | 
the suspended license or registration shall be automatically  | 
reinstated and the suspension vacated. | 
 (d) The suspended licensee or agent may seek a continuance  | 
of the hearing date, during which time the suspension remains  | 
in effect and the license or registration shall not be  | 
automatically reinstated. | 
 | 
 (e) Subsequently discovered causes of action by the  | 
Department after the issuance of the suspension notice may be  | 
filed as a separate notice of violation. The Department is not  | 
precluded from filing a separate action against the suspended  | 
licensee or agent. | 
(Source: P.A. 101-27, eff. 6-25-19; revised 4-6-23.)
 | 
 (410 ILCS 705/15-170) | 
 Sec. 15-170. Hearing; motion for rehearing.  | 
 (a) The hearing officer shall hear evidence in support of  | 
the formal charges and evidence produced by the licensee. At  | 
the conclusion of the hearing, the hearing officer shall  | 
present to the Secretary a written report of his or her  | 
findings of fact, conclusions of law, and recommendations. | 
 (b) At the conclusion of the hearing, a copy of the hearing  | 
officer's report shall be served upon the applicant or  | 
licensee by the Department, either personally or as provided  | 
in this Act for the service of a notice of hearing. Within 20  | 
calendar days after service, the applicant or licensee may  | 
present to the Department a motion in writing for rehearing,  | 
which shall specify the particular grounds for rehearing. The  | 
Department may respond to the motion for rehearing within 20  | 
calendar days after its service on the Department. If no  | 
motion for rehearing is filed, then, upon the expiration of  | 
the time specified for filing such motion or upon denial of a  | 
motion for rehearing, the Secretary may enter an order in  | 
 | 
accordance with the recommendation of the hearing officer. If  | 
the applicant or licensee orders from the reporting service  | 
and pays for a transcript of the record within the time for  | 
filing a motion for rehearing, the 20-day period within which  | 
a motion may be filed shall commence upon the delivery of the  | 
transcript to the applicant or licensee. | 
 (c) If the Secretary disagrees in any regard with the  | 
report of the hearing officer, the Secretary may issue an  | 
order contrary to the report. | 
 (d) Whenever the Secretary is not satisfied that  | 
substantial justice has been done, the Secretary may order a  | 
rehearing by the same or another hearing officer. | 
 (e) At any point in any investigation or disciplinary  | 
proceeding under in this Article, both parties may agree to a  | 
negotiated consent order. The consent order shall be final  | 
upon signature of the Secretary. | 
(Source: P.A. 101-27, eff. 6-25-19; revised 4-6-23.)
 | 
 Section 500. The Environmental Protection Act is amended  | 
by changing Sections 17.12, 22.15, 31, 58.5, 58.6, and 58.7 as  | 
follows:
 | 
 (415 ILCS 5/17.12) | 
 Sec. 17.12. Lead service line replacement and  | 
notification. | 
 (a) The purpose of this Act is to: (1) require the owners  | 
 | 
and operators of community water supplies to develop,  | 
implement, and maintain a comprehensive water service line  | 
material inventory and a comprehensive lead service line  | 
replacement plan, provide notice to occupants of potentially  | 
affected buildings before any construction or repair work on  | 
water mains or lead service lines, and request access to  | 
potentially affected buildings before replacing lead service  | 
lines; and (2) prohibit partial lead service line  | 
replacements, except as authorized within this Section. | 
 (b) The General Assembly finds and declares that:  | 
  (1) There is no safe level of exposure to heavy metal  | 
 lead, as found by the United States Environmental  | 
 Protection Agency and the Centers for Disease Control and  | 
 Prevention. | 
  (2) Lead service lines can convey this harmful  | 
 substance to the drinking water supply. | 
  (3) According to the Illinois Environmental Protection  | 
 Agency's 2018 Service Line Material Inventory, the State  | 
 of Illinois is estimated to have over 680,000 lead-based  | 
 service lines still in operation. | 
  (4) The true number of lead service lines is not fully  | 
 known because Illinois lacks an adequate inventory of lead  | 
 service lines. | 
  (5) For the general health, safety, and welfare of its  | 
 residents, all lead service lines in Illinois should be  | 
 disconnected from the drinking water supply, and the  | 
 | 
 State's drinking water supply.  | 
 (c) In this Section: | 
 "Advisory Board" means the Lead Service Line Replacement  | 
Advisory Board created under subsection (x). | 
 "Community water supply" has the meaning ascribed to it in  | 
Section 3.145 of this Act. | 
 "Department" means the Department of Public Health. | 
 "Emergency repair" means any unscheduled water main, water  | 
service, or water valve repair or replacement that results  | 
from failure or accident. | 
 "Fund" means the Lead Service Line Replacement Fund  | 
created under subsection (bb). | 
 "Lead service line" means a service line made of lead or  | 
service line connected to a lead pigtail, lead gooseneck, or  | 
other lead fitting. | 
 "Material inventory" means a water service line material  | 
inventory developed by a community water supply under this  | 
Act. | 
 "Non-community water supply" has the meaning ascribed to  | 
it in Section 3.145 of the Environmental Protection Act. | 
 "NSF/ANSI Standard" means a water treatment standard  | 
developed by NSF International. | 
 "Partial lead service line replacement" means replacement  | 
of only a portion of a lead service line. | 
 "Potentially affected building" means any building that is  | 
provided water service through a service line that is either a  | 
 | 
lead service line or a suspected lead service line. | 
 "Public water supply" has the meaning ascribed to it in  | 
Section 3.365 of this Act. | 
 "Service line" means the piping, tubing, and necessary  | 
appurtenances acting as a conduit from the water main or  | 
source of potable water supply to the building plumbing at the  | 
first shut-off valve or 18 inches inside the building,  | 
whichever is shorter. | 
 "Suspected lead service line" means a service line that a  | 
community water supply finds more likely than not to be made of  | 
lead after completing the requirements under paragraphs (2)  | 
through (5) of subsection (h). | 
 "Small system" means a community water supply that  | 
regularly serves water to 3,300 or fewer persons.  | 
 (d) An owner or operator of a community water supply  | 
shall:  | 
  (1) develop an initial material inventory by April 15,  | 
 2022 and electronically submit by April 15, 2023 an  | 
 updated material inventory electronically to the Agency;  | 
 and | 
  (2) deliver a complete material inventory to the  | 
 Agency no later than April 15, 2024, or such time as  | 
 required by federal law, whichever is sooner. The complete  | 
 inventory shall report the composition of all service  | 
 lines in the community water supply's distribution system.  | 
 (e) The Agency shall review and approve the final material  | 
 | 
inventory submitted to it under subsection (d). | 
 (f) If a community water supply does not submit a complete  | 
inventory to the Agency by April 15, 2024 under paragraph (2)  | 
of subsection (d), the community water supply may apply for an  | 
extension to the Agency no less than 3 months prior to the due  | 
date. The Agency shall develop criteria for granting material  | 
inventory extensions. When considering requests for extension,  | 
the Agency shall, at a minimum, consider:  | 
  (1) the number of service connections in a water  | 
 supply; and | 
  (2) the number of service lines of an unknown material  | 
 composition. | 
 (g) A material inventory prepared for a community water  | 
supply under subsection (d) shall identify:  | 
  (1) the total number of service lines connected to the  | 
 community water supply's distribution system; | 
  (2) the materials of construction of each service line  | 
 connected to the community water supply's distribution  | 
 system; | 
  (3) the number of suspected lead service lines that  | 
 were newly identified in the material inventory for the  | 
 community water supply after the community water supply  | 
 last submitted a service line inventory to the Agency; and | 
  (4) the number of suspected or known lead service  | 
 lines that were replaced after the community water supply  | 
 last submitted a service line inventory to the Agency, and  | 
 | 
 the material of the service line that replaced each lead  | 
 service line.  | 
 When identifying the materials of construction under  | 
paragraph (2) of this subsection, the owner or operator of the  | 
community water supply shall to the best of the owner's or  | 
operator's ability identify the type of construction material  | 
used on the customer's side of the curb box, meter, or other  | 
line of demarcation and the community water supply's side of  | 
the curb box, meter, or other line of demarcation. | 
 (h) In completing a material inventory under subsection  | 
(d), the owner or operator of a community water supply shall:  | 
  (1) prioritize inspections of high-risk areas  | 
 identified by the community water supply and inspections  | 
 of high-risk facilities, such as preschools, day care  | 
 centers, day care homes, group day care homes, parks,  | 
 playgrounds, hospitals, and clinics, and confirm service  | 
 line materials in those areas and at those facilities; | 
  (2) review historical documentation, such as  | 
 construction logs or cards, as-built drawings, purchase  | 
 orders, and subdivision plans, to determine service line  | 
 material construction; | 
  (3) when conducting distribution system maintenance,  | 
 visually inspect service lines and document materials of  | 
 construction; | 
  (4) identify any time period when the service lines  | 
 being connected to its distribution system were primarily  | 
 | 
 lead service lines, if such a time period is known or  | 
 suspected; and | 
  (5) discuss service line repair and installation with  | 
 its employees, contractors, plumbers, other workers who  | 
 worked on service lines connected to its distribution  | 
 system, or all of the above. | 
 (i) The owner or operator of each community water supply  | 
shall maintain records of persons who refuse to grant access  | 
to the interior of a building for purposes of identifying the  | 
materials of construction of a service line. If a community  | 
water supply has been denied access on the property or to the  | 
interior of a building for that reason, then the community  | 
water supply shall attempt to identify the service line as a  | 
suspected lead service line, unless documentation is provided  | 
showing otherwise. | 
 (j) If a community water supply identifies a lead service  | 
line connected to a building, the owner or operator of the  | 
community water supply shall attempt to notify the owner of  | 
the building and all occupants of the building of the  | 
existence of the lead service line within 15 days after  | 
identifying the lead service line, or as soon as is reasonably  | 
possible thereafter. Individual written notice shall be given  | 
according to the provisions of subsection (jj). | 
 (k) An owner or operator of a community water supply has no  | 
duty to include in the material inventory required under  | 
subsection (d) information about service lines that are  | 
 | 
physically disconnected from a water main in its distribution  | 
system. | 
 (l) The owner or operator of each community water supply  | 
shall post on its website a copy of the most recently submitted  | 
material inventory or alternatively may request that the  | 
Agency post a copy of that material inventory on the Agency's  | 
website. | 
 (m) Nothing in this Section shall be construed to require  | 
service lines to be unearthed for the sole purpose of  | 
inventorying. | 
 (n) When an owner or operator of a community water supply  | 
awards a contract under this Section, the owner or operator  | 
shall make a good faith effort to use contractors and vendors  | 
owned by minority persons, women, and persons with a  | 
disability, as those terms are defined in Section 2 of the  | 
Business Enterprise for Minorities, Women, and Persons with  | 
Disabilities Act, for not less than 20% of the total  | 
contracts, provided that: | 
  (1) contracts representing at least 11% of the total  | 
 projects shall be awarded to minority-owned businesses, as  | 
 defined in Section 2 of the Business Enterprise for  | 
 Minorities, Women, and Persons with Disabilities Act; | 
  (2) contracts representing at least 7% of the total  | 
 projects shall be awarded to women-owned businesses, as  | 
 defined in Section 2 of the Business Enterprise for  | 
 Minorities, Women, and Persons with Disabilities Act; and | 
 | 
  (3) contracts representing at least 2% of the total  | 
 projects shall be awarded to businesses owned by persons  | 
 with a disability. | 
 Owners or operators of a community water supply are  | 
encouraged to divide projects, whenever economically feasible,  | 
into contracts of smaller size that ensure small business  | 
contractors or vendors shall have the ability to qualify in  | 
the applicable bidding process, when determining the ability  | 
to deliver on a given contract based on scope and size, as a  | 
responsible and responsive bidder. | 
 When a contractor or vendor submits a bid or letter of  | 
intent in response to a request for proposal or other bid  | 
submission, the contractor or vendor shall include with its  | 
responsive documents a utilization plan that shall address how  | 
compliance with applicable good faith requirements set forth  | 
in this subsection shall be addressed. | 
 Under this subsection, "good faith effort" means a  | 
community water supply has taken all necessary steps to comply  | 
with the goals of this subsection by complying with the  | 
following: | 
  (1) Soliciting through reasonable and available means  | 
 the interest of a business, as defined in Section 2 of the  | 
 Business Enterprise for Minorities, Women, and Persons  | 
 with Disabilities Act, that have the capability to perform  | 
 the work of the contract. The community water supply must  | 
 solicit this interest within sufficient time to allow  | 
 | 
 certified businesses to respond. | 
  (2) Providing interested certified businesses with  | 
 adequate information about the plans, specifications, and  | 
 requirements of the contract, including addenda, in a  | 
 timely manner to assist them in responding to the  | 
 solicitation. | 
  (3) Meeting in good faith with interested certified  | 
 businesses that have submitted bids. | 
  (4) Effectively using the services of the State,  | 
 minority or women community organizations, minority or  | 
 women contractor groups, local, State, and federal  | 
 minority or women business assistance offices, and other  | 
 organizations to provide assistance in the recruitment and  | 
 placement of certified businesses. | 
  (5) Making efforts to use appropriate forums for  | 
 purposes of advertising subcontracting opportunities  | 
 suitable for certified businesses. | 
 The diversity goals defined in this subsection can be met  | 
through direct award to diverse contractors and through the  | 
use of diverse subcontractors and diverse vendors to  | 
contracts.  | 
 (o) An owner or operator of a community water supply shall  | 
collect data necessary to ensure compliance with subsection  | 
(n) no less than semi-annually and shall include progress  | 
toward compliance of subsection (n) in the owner or operator's  | 
report required under subsection (t-5). The report must  | 
 | 
include data on vendor and employee diversity, including data  | 
on the owner's or operator's implementation of subsection (n). | 
 (p) Every owner or operator of a community water supply  | 
that has known or suspected lead service lines shall:  | 
  (1) create a plan to: | 
   (A) replace each lead service line connected to  | 
 its distribution system; and | 
   (B) replace each galvanized service line connected  | 
 to its distribution system, if the galvanized service  | 
 line is or was connected downstream to lead piping;  | 
 and | 
  (2) electronically submit, by April 15, 2024 its  | 
 initial lead service line replacement plan to the Agency; | 
  (3) electronically submit by April 15 of each year  | 
 after 2024 until April 15, 2027 an updated lead service  | 
 line replacement plan to the Agency for review; the  | 
 updated replacement plan shall account for changes in the  | 
 number of lead service lines or unknown service lines in  | 
 the material inventory described in subsection (d); | 
  (4) electronically submit by April 15, 2027 a complete  | 
 and final replacement plan to the Agency for approval; the  | 
 complete and final replacement plan shall account for all  | 
 known and suspected lead service lines documented in the  | 
 final material inventory described under paragraph (3) of  | 
 subsection (d); and | 
  (5) post on its website a copy of the plan most  | 
 | 
 recently submitted to the Agency or may request that the  | 
 Agency post a copy of that plan on the Agency's website.  | 
 (q) Each plan required under paragraph (1) of subsection  | 
(p) shall include the following:  | 
  (1) the name and identification number of the  | 
 community water supply; | 
  (2) the total number of service lines connected to the  | 
 distribution system of the community water supply; | 
  (3) the total number of suspected lead service lines  | 
 connected to the distribution system of the community  | 
 water supply; | 
  (4) the total number of known lead service lines  | 
 connected to the distribution system of the community  | 
 water supply; | 
  (5) the total number of lead service lines connected  | 
 to the distribution system of the community water supply  | 
 that have been replaced each year beginning in 2020; | 
  (6) a proposed lead service line replacement schedule  | 
 that includes one-year, 5-year, 10-year, 15-year, 20-year,  | 
 25-year, and 30-year goals; | 
  (7) an analysis of costs and financing options for  | 
 replacing the lead service lines connected to the  | 
 community water supply's distribution system, which shall  | 
 include, but shall not be limited to:  | 
   (A) a detailed accounting of costs associated with  | 
 replacing lead service lines and galvanized lines that  | 
 | 
 are or were connected downstream to lead piping; | 
   (B) measures to address affordability and prevent  | 
 service shut-offs for customers or ratepayers; and | 
   (C) consideration of different scenarios for  | 
 structuring payments between the utility and its  | 
 customers over time; and  | 
  (8) a plan for prioritizing high-risk facilities, such  | 
 as preschools, day care centers, day care homes, group day  | 
 care homes, parks, playgrounds, hospitals, and clinics, as  | 
 well as high-risk areas identified by the community water  | 
 supply; | 
  (9) a map of the areas where lead service lines are  | 
 expected to be found and the sequence with which those  | 
 areas will be inventoried and lead service lines replaced; | 
  (10) measures for how the community water supply will  | 
 inform the public of the plan and provide opportunity for  | 
 public comment; and | 
  (11) measures to encourage diversity in hiring in the  | 
 workforce required to implement the plan as identified  | 
 under subsection (n).  | 
 (r) The Agency shall review final plans submitted to it  | 
under subsection (p). The Agency shall approve a final plan if  | 
the final plan includes all of the elements set forth under  | 
subsection (q) and the Agency determines that: | 
  (1) the proposed lead service line replacement  | 
 schedule set forth in the plan aligns with the timeline  | 
 | 
 requirements set forth under subsection (v); | 
  (2) the plan prioritizes the replacement of lead  | 
 service lines that provide water service to high-risk  | 
 facilities, such as preschools, day care centers, day care  | 
 homes, group day care homes, parks, playgrounds,  | 
 hospitals, and clinics, and high-risk areas identified by  | 
 the community water supply; | 
  (3) the plan includes analysis of cost and financing  | 
 options; and | 
  (4) the plan provides documentation of public review.  | 
 (s) An owner or operator of a community water supply has no  | 
duty to include in the plans required under subsection (p)  | 
information about service lines that are physically  | 
disconnected from a water main in its distribution system. | 
 (t) If a community water supply does not deliver a  | 
complete plan to the Agency by April 15, 2027, the community  | 
water supply may apply to the Agency for an extension no less  | 
than 3 months prior to the due date. The Agency shall develop  | 
criteria for granting plan extensions. When considering  | 
requests for extension, the Agency shall, at a minimum,  | 
consider:  | 
  (1) the number of service connections in a water  | 
 supply; and | 
  (2) the number of service lines of an unknown material  | 
 composition. | 
 (t-5) After the Agency has approved the final replacement  | 
 | 
plan described in subsection (p), the owner or operator of a  | 
community water supply shall submit a report detailing  | 
progress toward plan goals to the Agency for its review. The  | 
report shall be submitted annually for the first 10 years, and  | 
every 3 years thereafter until all lead service lines have  | 
been replaced. Reports under this subsection shall be  | 
published in the same manner described in subsection (l). The  | 
report shall include at least the following information as it  | 
pertains to the preceding reporting period: | 
  (1) The number of lead service lines replaced and the  | 
 average cost of lead service line replacement. | 
  (2) Progress toward meeting hiring requirements as  | 
 described in subsection (n) and subsection (o). | 
  (3) The percent of customers electing a waiver  | 
 offered, as described in subsections (ii) and (jj), among  | 
 those customers receiving a request or notification to  | 
 perform a lead service line replacement. | 
  (4) The method or methods used by the community water  | 
 supply to finance lead service line replacement. | 
 (u) Notwithstanding any other provision of law, in order  | 
to provide for costs associated with lead service line  | 
remediation and replacement, the corporate authorities of a  | 
municipality may, by ordinance or resolution by the corporate  | 
authorities, exercise authority provided in Section 27-5 et  | 
seq. of the Property Tax Code and Sections 8-3-1, 8-11-1,  | 
8-11-5, 8-11-6, 9-1-1 et seq., 9-3-1 et seq., 9-4-1 et seq.,  | 
 | 
11-131-1, and 11-150-1 of the Illinois Municipal Code. Taxes  | 
levied for this purpose shall be in addition to taxes for  | 
general purposes authorized under Section 8-3-1 of the  | 
Illinois Municipal Code and shall be included in the taxing  | 
district's aggregate extension for the purposes of Division 5  | 
of Article 18 of the Property Tax Code. | 
 (v) Every owner or operator of a community water supply  | 
shall replace all known lead service lines, subject to the  | 
requirements of subsection (ff), according to the following  | 
replacement rates and timelines to be calculated from the date  | 
of submission of the final replacement plan to the Agency:  | 
  (1) A community water supply reporting 1,200 or fewer  | 
 lead service lines in its final inventory and replacement  | 
 plan shall replace all lead service lines, at an annual  | 
 rate of no less than 7% of the amount described in the  | 
 final inventory, with a timeline of up to 15 years for  | 
 completion. | 
  (2) A community water supply reporting more than 1,200  | 
 but fewer than 5,000 lead service lines in its final  | 
 inventory and replacement plan shall replace all lead  | 
 service lines, at an annual rate of no less than 6% of the  | 
 amount described in the final inventory, with a timeline  | 
 of up to 17 years for completion. | 
  (3) A community water supply reporting more than 4,999  | 
 but fewer than 10,000 lead service lines in its final  | 
 inventory and replacement plan shall replace all lead  | 
 | 
 service lines, at an annual rate of no less than 5% of the  | 
 amount described in the final inventory, with a timeline  | 
 of up to 20 years for completion. | 
  (4) A community water supply reporting more than 9,999  | 
 but fewer than 99,999 lead service lines in its final  | 
 inventory and replacement plan shall replace all lead  | 
 service lines, at an annual rate of no less than 3% of the  | 
 amount described in the final inventory, with a timeline  | 
 of up to 34 years for completion. | 
  (5) A community water supply reporting more than  | 
 99,999 lead service lines in its final inventory and  | 
 replacement plan shall replace all lead service lines, at  | 
 an annual rate of no less than 2% of the amount described  | 
 in the final inventory, with a timeline of up to 50 years  | 
 for completion. | 
 (w) A community water supply may apply to the Agency for an  | 
extension to the replacement timelines described in paragraphs  | 
(1) through (5) of subsection (v). The Agency shall develop  | 
criteria for granting replacement timeline extensions. When  | 
considering requests for timeline extensions, the Agency  | 
shall, at a minimum, consider:  | 
  (1) the number of service connections in a water  | 
 supply; and | 
  (2) unusual circumstances creating hardship for a  | 
 community. | 
 The Agency may grant one extension of additional time  | 
 | 
equal to not more than 20% of the original replacement  | 
timeline, except in situations of extreme hardship in which  | 
the Agency may consider a second additional extension equal to  | 
not more than 10% of the original replacement timeline. | 
 Replacement rates and timelines shall be calculated from  | 
the date of submission of the final plan to the Agency. | 
 (x) The Lead Service Line Replacement Advisory Board is  | 
created within the Agency. The Advisory Board shall convene  | 
within 120 days after January 1, 2022 (the effective date of  | 
Public Act 102-613).  | 
 The Advisory Board shall consist of at least 28 voting  | 
members, as follows: | 
  (1) the Director of the Agency, or his or her  | 
 designee, who shall serve as chairperson; | 
  (2) the Director of Revenue, or his or her designee; | 
  (3) the Director of Public Health, or his or her  | 
 designee; | 
  (4) fifteen members appointed by the Agency as  | 
 follows:  | 
   (A) one member representing a statewide  | 
 organization of municipalities as authorized by  | 
 Section 1-8-1 of the Illinois Municipal Code; | 
   (B) two members who are mayors representing  | 
 municipalities located in any county south of the  | 
 southernmost county represented by one of the 10  | 
 largest municipalities in Illinois by population, or  | 
 | 
 their respective designees; | 
   (C) two members who are representatives from  | 
 public health advocacy groups; | 
   (D) two members who are representatives from  | 
 publicly owned publicly-owned water utilities; | 
   (E) one member who is a representative from a  | 
 public utility as defined under Section 3-105 of the  | 
 Public Utilities Act that provides water service in  | 
 the State of Illinois; | 
   (F) one member who is a research professional  | 
 employed at an Illinois academic institution and  | 
 specializing in water infrastructure research; | 
   (G) two members who are representatives from  | 
 nonprofit civic organizations; | 
   (H) one member who is a representative from a  | 
 statewide organization representing environmental  | 
 organizations; | 
   (I) two members who are representatives from  | 
 organized labor; and | 
   (J) one member representing an environmental  | 
 justice organization; and  | 
  (5) ten members who are the mayors of the 10 largest  | 
 municipalities in Illinois by population, or their  | 
 respective designees.  | 
 No less than 10 of the 28 voting members shall be persons  | 
of color, and no less than 3 shall represent communities  | 
 | 
defined or self-identified as environmental justice  | 
communities. | 
 Advisory Board members shall serve without compensation,  | 
but may be reimbursed for necessary expenses incurred in the  | 
performance of their duties from funds appropriated for that  | 
purpose. The Agency shall provide administrative support to  | 
the Advisory Board. | 
 The Advisory Board shall meet no less than once every 6  | 
months. | 
 (y) The Advisory Board shall have, at a minimum, the  | 
following duties: | 
  (1) advising the Agency on best practices in lead  | 
 service line replacement; | 
  (2) reviewing the progress of community water supplies  | 
 toward lead service line replacement goals; | 
  (3) advising the Agency on other matters related to  | 
 the administration of the provisions of this Section; | 
  (4) advising the Agency on the integration of existing  | 
 lead service line replacement plans with any statewide  | 
 plan; and | 
  (5) providing technical support and practical  | 
 expertise in general.  | 
 (z) Within 18 months after January 1, 2022 (the effective  | 
date of Public Act 102-613), the Advisory Board shall deliver  | 
a report of its recommendations to the Governor and the  | 
General Assembly concerning opportunities for dedicated,  | 
 | 
long-term revenue options for funding lead service line  | 
replacement. In submitting recommendations, the Advisory Board  | 
shall consider, at a minimum, the following:  | 
  (1) the sufficiency of various revenue sources to  | 
 adequately fund replacement of all lead service lines in  | 
 Illinois; | 
  (2) the financial burden, if any, on households  | 
 falling below 150% of the federal poverty limit; | 
  (3) revenue options that guarantee low-income  | 
 households are protected from rate increases; | 
  (4) an assessment of the ability of community water  | 
 supplies to assess and collect revenue; | 
  (5) variations in financial resources among individual  | 
 households within a service area; and | 
  (6) the protection of low-income households from rate  | 
 increases.  | 
 (aa) Within 10 years after January 1, 2022 (the effective  | 
date of Public Act 102-613), the Advisory Board shall prepare  | 
and deliver a report to the Governor and General Assembly  | 
concerning the status of all lead service line replacement  | 
within the State. | 
 (bb) The Lead Service Line Replacement Fund is created as  | 
a special fund in the State treasury to be used by the Agency  | 
for the purposes provided under this Section. The Fund shall  | 
be used exclusively to finance and administer programs and  | 
activities specified under this Section and listed under this  | 
 | 
subsection. | 
 The objective of the Fund is to finance activities  | 
associated with identifying and replacing lead service lines,  | 
build Agency capacity to oversee the provisions of this  | 
Section, and provide related assistance for the activities  | 
listed under this subsection. | 
 The Agency shall be responsible for the administration of  | 
the Fund and shall allocate moneys on the basis of priorities  | 
established by the Agency through administrative rule. On July  | 
1, 2022 and on July 1 of each year thereafter, the Agency shall  | 
determine the available amount of resources in the Fund that  | 
can be allocated to the activities identified under this  | 
Section and shall allocate the moneys accordingly. | 
 Notwithstanding any other law to the contrary, the Lead  | 
Service Line Replacement Fund is not subject to sweeps,  | 
administrative charge-backs, or any other fiscal maneuver that  | 
would in any way transfer any amounts from the Lead Service  | 
Line Replacement Fund into any other fund of the State. | 
 (cc) Within one year after January 1, 2022 (the effective  | 
date of Public Act 102-613), the Agency shall design rules for  | 
a program for the purpose of administering lead service line  | 
replacement funds. The rules must, at minimum, contain: | 
  (1) the process by which community water supplies may  | 
 apply for funding; and | 
  (2) the criteria for determining unit of local  | 
 government eligibility and prioritization for funding,  | 
 | 
 including the prevalence of low-income households, as  | 
 measured by median household income, the prevalence of  | 
 lead service lines, and the prevalence of water samples  | 
 that demonstrate elevated levels of lead. | 
 (dd) Funding under subsection (cc) shall be available for  | 
costs directly attributable to the planning, design, or  | 
construction directly related to the replacement of lead  | 
service lines and restoration of property. | 
 Funding shall not be used for the general operating  | 
expenses of a municipality or community water supply.  | 
 (ee) An owner or operator of any community water supply  | 
receiving grant funding under subsection (cc) shall bear the  | 
entire expense of full lead service line replacement for all  | 
lead service lines in the scope of the grant.  | 
 (ff) When replacing a lead service line, the owner or  | 
operator of the community water supply shall replace the  | 
service line in its entirety, including, but not limited to,  | 
any portion of the service line (i) running on private  | 
property and (ii) within the building's plumbing at the first  | 
shut-off valve. Partial lead service line replacements are  | 
expressly prohibited. Exceptions shall be made under the  | 
following circumstances:  | 
  (1) In the event of an emergency repair that affects a  | 
 lead service line or a suspected lead service line, a  | 
 community water supply must contact the building owner to  | 
 begin the process of replacing the entire service line. If  | 
 | 
 the building owner is not able to be contacted or the  | 
 building owner or occupant refuses to grant access and  | 
 permission to replace the entire service line at the time  | 
 of the emergency repair, then the community water supply  | 
 may perform a partial lead service line replacement. Where  | 
 an emergency repair on a service line constructed of lead  | 
 or galvanized steel pipe results in a partial service line  | 
 replacement, the water supply responsible for commencing  | 
 the repair shall perform the following:  | 
   (A) Notify the building's owner or operator and  | 
 the resident or residents served by the lead service  | 
 line in writing that a repair has been completed. The  | 
 notification shall include, at a minimum: | 
    (i) a warning that the work may result in  | 
 sediment, possibly containing lead, in the  | 
 building's buildings water supply system; | 
    (ii) information concerning practices for  | 
 preventing the consumption of any lead in drinking  | 
 water, including a recommendation to flush water  | 
 distribution pipe during and after the completion  | 
 of the repair or replacement work and to clean  | 
 faucet aerator screens; and | 
    (iii) information regarding the dangers of  | 
 lead to young children and pregnant women.  | 
   (B) Provide filters for at least one fixture  | 
 supplying potable water for consumption. The filter  | 
 | 
 must be certified by an accredited third-party  | 
 certification body to NSF/ANSI 53 and NSF/ANSI 42 for  | 
 the reduction of lead and particulate. The filter must  | 
 be provided until such time that the remaining  | 
 portions of the service line have been replaced with a  | 
 material approved by the Department or a waiver has  | 
 been issued under subsection (ii). | 
   (C) Replace the remaining portion of the lead  | 
 service line within 30 days of the repair, or 120 days  | 
 in the event of weather or other circumstances beyond  | 
 reasonable control that prohibits construction. If a  | 
 complete lead service line replacement cannot be made  | 
 within the required period, the community water supply  | 
 responsible for commencing the repair shall notify the  | 
 Department in writing, at a minimum, of the following  | 
 within 24 hours of the repair:  | 
    (i) an explanation of why it is not feasible  | 
 to replace the remaining portion of the lead  | 
 service line within the allotted time; and | 
    (ii) a timeline for when the remaining portion  | 
 of the lead service line will be replaced.  | 
   (D) If complete repair of a lead service line  | 
 cannot be completed due to denial by the property  | 
 owner, the community water supply commencing the  | 
 repair shall request the affected property owner to  | 
 sign a waiver developed by the Department. If a  | 
 | 
 property owner of a nonresidential building or  | 
 residence operating as rental properties denies a  | 
 complete lead service line replacement, the property  | 
 owner shall be responsible for installing and  | 
 maintaining point-of-use filters certified by an  | 
 accredited third-party certification body to NSF/ANSI  | 
 53 and NSF/ANSI 42 for the reduction of lead and  | 
 particulate at all fixtures intended to supply water  | 
 for the purposes of drinking, food preparation, or  | 
 making baby formula. The filters shall continue to be  | 
 supplied by the property owner until such time that  | 
 the property owner has affected the remaining portions  | 
 of the lead service line to be replaced. | 
   (E) Document any remaining lead service line,  | 
 including a portion on the private side of the  | 
 property, in the community water supply's distribution  | 
 system materials inventory required under subsection  | 
 (d).  | 
  For the purposes of this paragraph (1), written notice  | 
 shall be provided in the method and according to the  | 
 provisions of subsection (jj). | 
  (2) Lead service lines that are physically  | 
 disconnected from the distribution system are exempt from  | 
 this subsection.  | 
 (gg) Except as provided in subsection (hh), on and after  | 
January 1, 2022, when the owner or operator of a community  | 
 | 
water supply replaces a water main, the community water supply  | 
shall identify all lead service lines connected to the water  | 
main and shall replace the lead service lines by: | 
  (1) identifying the material or materials of each lead  | 
 service line connected to the water main, including, but  | 
 not limited to, any portion of the service line (i)  | 
 running on private property and (ii) within the building  | 
 plumbing at the first shut-off valve or 18 inches inside  | 
 the building, whichever is shorter; | 
  (2) in conjunction with replacement of the water main,  | 
 replacing any and all portions of each lead service line  | 
 connected to the water main that are composed of lead; and | 
  (3) if a property owner or customer refuses to grant  | 
 access to the property, following prescribed notice  | 
 provisions as outlined in subsection (ff).  | 
 If an owner of a potentially affected building intends to  | 
replace a portion of a lead service line or a galvanized  | 
service line and the galvanized service line is or was  | 
connected downstream to lead piping, then the owner of the  | 
potentially affected building shall provide the owner or  | 
operator of the community water supply with notice at least 45  | 
days before commencing the work. In the case of an emergency  | 
repair, the owner of the potentially affected building must  | 
provide filters for each kitchen area that are certified by an  | 
accredited third-party certification body to NSF/ANSI 53 and  | 
NSF/ANSI 42 for the reduction of lead and particulate. If the  | 
 | 
owner of the potentially affected building notifies the owner  | 
or operator of the community water supply that replacement of  | 
a portion of the lead service line after the emergency repair  | 
is completed, then the owner or operator of the community  | 
water supply shall replace the remainder of the lead service  | 
line within 30 days after completion of the emergency repair.  | 
A community water supply may take up to 120 days if necessary  | 
due to weather conditions. If a replacement takes longer than  | 
30 days, filters provided by the owner of the potentially  | 
affected building must be replaced in accordance with the  | 
manufacturer's recommendations. Partial lead service line  | 
replacements by the owners of potentially affected buildings  | 
are otherwise prohibited. | 
 (hh) For municipalities with a population in excess of  | 
1,000,000 inhabitants, the requirements of subsection (gg)  | 
shall commence on January 1, 2023.  | 
 (ii) At least 45 days before conducting planned lead  | 
service line replacement, the owner or operator of a community  | 
water supply shall, by mail, attempt to contact the owner of  | 
the potentially affected building serviced by the lead service  | 
line to request access to the building and permission to  | 
replace the lead service line in accordance with the lead  | 
service line replacement plan. If the owner of the potentially  | 
affected building does not respond to the request within 15  | 
days after the request is sent, the owner or operator of the  | 
community water supply shall attempt to post the request on  | 
 | 
the entrance of the potentially affected building.  | 
 If the owner or operator of a community water supply is  | 
unable to obtain approval to access and replace a lead service  | 
line, the owner or operator of the community water supply  | 
shall request that the owner of the potentially affected  | 
building sign a waiver. The waiver shall be developed by the  | 
Department and should be made available in the owner's  | 
language. If the owner of the potentially affected building  | 
refuses to sign the waiver or fails to respond to the community  | 
water supply after the community water supply has complied  | 
with this subsection, then the community water supply shall  | 
notify the Department in writing within 15 working days.  | 
 (jj) When replacing a lead service line or repairing or  | 
replacing water mains with lead service lines or partial lead  | 
service lines attached to them, the owner or operator of a  | 
community water supply shall provide the owner of each  | 
potentially affected building that is serviced by the affected  | 
lead service lines or partial lead service lines, as well as  | 
the occupants of those buildings, with an individual written  | 
notice. The notice shall be delivered by mail or posted at the  | 
primary entranceway of the building. The notice must, in  | 
addition, be electronically mailed where an electronic mailing  | 
address is known or can be reasonably obtained. Written notice  | 
shall include, at a minimum, the following:  | 
  (1) a warning that the work may result in sediment,  | 
 possibly containing lead from the service line, in the  | 
 | 
 building's water; | 
  (2) information concerning the best practices for  | 
 preventing exposure to or risk of consumption of lead in  | 
 drinking water, including a recommendation to flush water  | 
 lines during and after the completion of the repair or  | 
 replacement work and to clean faucet aerator screens; and | 
  (3) information regarding the dangers of lead exposure  | 
 to young children and pregnant women.  | 
 When the individual written notice described in the first  | 
paragraph of this subsection is required as a result of  | 
planned work other than the repair or replacement of a water  | 
meter, the owner or operator of the community water supply  | 
shall provide the notice not less than 14 days before work  | 
begins. When the individual written notice described in the  | 
first paragraph of this subsection is required as a result of  | 
emergency repairs other than the repair or replacement of a  | 
water meter, the owner or operator of the community water  | 
supply shall provide the notice at the time the work is  | 
initiated. When the individual written notice described in the  | 
first paragraph of this subsection is required as a result of  | 
the repair or replacement of a water meter, the owner or  | 
operator of the community water supply shall provide the  | 
notice at the time the work is initiated.  | 
 The notifications required under this subsection must  | 
contain the following statement in Spanish, Polish, Chinese,  | 
Tagalog, Arabic, Korean, German, Urdu, and Gujarati: "This  | 
 | 
notice contains important information about your water service  | 
and may affect your rights. We encourage you to have this  | 
notice translated in full into a language you understand and  | 
before you make any decisions that may be required under this  | 
notice." | 
 An owner or operator of a community water supply that is  | 
required under this subsection to provide an individual  | 
written notice to the owner and occupant of a potentially  | 
affected building that is a multi-dwelling building may  | 
satisfy that requirement and the requirements of this  | 
subsection regarding notification to non-English speaking  | 
customers by posting the required notice on the primary  | 
entranceway of the building and at the location where the  | 
occupant's mail is delivered as reasonably as possible.  | 
 When this subsection would require the owner or operator  | 
of a community water supply to provide an individual written  | 
notice to the entire community served by the community water  | 
supply or would require the owner or operator of a community  | 
water supply to provide individual written notices as a result  | 
of emergency repairs or when the community water supply that  | 
is required to comply with this subsection is a small system,  | 
the owner or operator of the community water supply may  | 
provide the required notice through local media outlets,  | 
social media, or other similar means in lieu of providing the  | 
individual written notices otherwise required under this  | 
subsection.  | 
 | 
 No notifications are required under this subsection for  | 
work performed on water mains that are used to transmit  | 
treated water between community water supplies and properties  | 
that have no service connections.  | 
 (kk) No community water supply that sells water to any  | 
wholesale or retail consecutive community water supply may  | 
pass on any costs associated with compliance with this Section  | 
to consecutive systems. | 
 (ll) To the extent allowed by law, when a community water  | 
supply replaces or installs a lead service line in a public  | 
right-of-way or enters into an agreement with a private  | 
contractor for replacement or installation of a lead service  | 
line, the community water supply shall be held harmless for  | 
all damage to property when replacing or installing the lead  | 
service line. If dangers are encountered that prevent the  | 
replacement of the lead service line, the community water  | 
supply shall notify the Department within 15 working days of  | 
why the replacement of the lead service line could not be  | 
accomplished. | 
 (mm) The Agency may propose to the Board, and the Board may  | 
adopt, any rules necessary to implement and administer this  | 
Section. The Department may adopt rules necessary to address  | 
lead service lines attached to non-community water supplies. | 
 (nn) Notwithstanding any other provision in this Section,  | 
no requirement in this Section shall be construed as being  | 
less stringent than existing applicable federal requirements. | 
 | 
 (oo) All lead service line replacements financed in whole  | 
or in part with funds obtained under this Section shall be  | 
considered public works for purposes of the Prevailing Wage  | 
Act.  | 
 (pp) Beginning in 2023, each municipality with a  | 
population of more than 1,000,000 inhabitants shall publicly  | 
post on its website data describing progress the municipality  | 
has made toward replacing lead service lines within the  | 
municipality. The data required to be posted under this  | 
subsection shall be the same information required to be  | 
reported under paragraphs (1) through (4) of subsection (t-5)  | 
of this Section. Beginning in 2024, each municipality that is  | 
subject to this subsection shall annually update the data  | 
posted on its website under this subsection. A municipality's  | 
duty to post data under this subsection terminates only when  | 
all lead service lines within the municipality have been  | 
replaced. Nothing in this subsection (pp) shall be construed  | 
to replace, undermine, conflict with, or otherwise amend the  | 
responsibilities and requirements set forth in subsection  | 
(t-5) of this Section.  | 
(Source: P.A. 102-613, eff. 1-1-22; 102-813, eff. 5-13-22;  | 
103-167, eff. 6-30-23; revised 9-20-23.)
 | 
 (415 ILCS 5/22.15) | 
 Sec. 22.15. Solid Waste Management Fund; fees.  | 
 (a) There is hereby created within the State Treasury a  | 
 | 
special fund to be known as the Solid Waste Management Fund, to  | 
be constituted from the fees collected by the State pursuant  | 
to this Section, from repayments of loans made from the Fund  | 
for solid waste projects, from registration fees collected  | 
pursuant to the Consumer Electronics Recycling Act, from fees  | 
collected under the Paint Stewardship Act, and from amounts  | 
transferred into the Fund pursuant to Public Act 100-433.  | 
Moneys received by either the Agency or the Department of  | 
Commerce and Economic Opportunity in repayment of loans made  | 
pursuant to the Illinois Solid Waste Management Act shall be  | 
deposited into the General Revenue Fund. | 
 (b) The Agency shall assess and collect a fee in the amount  | 
set forth herein from the owner or operator of each sanitary  | 
landfill permitted or required to be permitted by the Agency  | 
to dispose of solid waste if the sanitary landfill is located  | 
off the site where such waste was produced and if such sanitary  | 
landfill is owned, controlled, and operated by a person other  | 
than the generator of such waste. The Agency shall deposit all  | 
fees collected into the Solid Waste Management Fund. If a site  | 
is contiguous to one or more landfills owned or operated by the  | 
same person, the volumes permanently disposed of by each  | 
landfill shall be combined for purposes of determining the fee  | 
under this subsection. Beginning on July 1, 2018, and on the  | 
first day of each month thereafter during fiscal years 2019  | 
through 2024, the State Comptroller shall direct and State  | 
Treasurer shall transfer an amount equal to 1/12 of $5,000,000  | 
 | 
per fiscal year from the Solid Waste Management Fund to the  | 
General Revenue Fund.  | 
  (1) If more than 150,000 cubic yards of non-hazardous  | 
 solid waste is permanently disposed of at a site in a  | 
 calendar year, the owner or operator shall either pay a  | 
 fee of 95 cents per cubic yard or, alternatively, the  | 
 owner or operator may weigh the quantity of the solid  | 
 waste permanently disposed of with a device for which  | 
 certification has been obtained under the Weights and  | 
 Measures Act and pay a fee of $2.00 per ton of solid waste  | 
 permanently disposed of. In no case shall the fee  | 
 collected or paid by the owner or operator under this  | 
 paragraph exceed $1.55 per cubic yard or $3.27 per ton. | 
  (2) If more than 100,000 cubic yards but not more than  | 
 150,000 cubic yards of non-hazardous waste is permanently  | 
 disposed of at a site in a calendar year, the owner or  | 
 operator shall pay a fee of $52,630. | 
  (3) If more than 50,000 cubic yards but not more than  | 
 100,000 cubic yards of non-hazardous solid waste is  | 
 permanently disposed of at a site in a calendar year, the  | 
 owner or operator shall pay a fee of $23,790. | 
  (4) If more than 10,000 cubic yards but not more than  | 
 50,000 cubic yards of non-hazardous solid waste is  | 
 permanently disposed of at a site in a calendar year, the  | 
 owner or operator shall pay a fee of $7,260. | 
  (5) If not more than 10,000 cubic yards of  | 
 | 
 non-hazardous solid waste is permanently disposed of at a  | 
 site in a calendar year, the owner or operator shall pay a  | 
 fee of $1050. | 
 (c) (Blank). | 
 (d) The Agency shall establish rules relating to the  | 
collection of the fees authorized by this Section. Such rules  | 
shall include, but not be limited to: | 
  (1) necessary records identifying the quantities of  | 
 solid waste received or disposed; | 
  (2) the form and submission of reports to accompany  | 
 the payment of fees to the Agency; | 
  (3) the time and manner of payment of fees to the  | 
 Agency, which payments shall not be more often than  | 
 quarterly; and | 
  (4) procedures setting forth criteria establishing  | 
 when an owner or operator may measure by weight or volume  | 
 during any given quarter or other fee payment period. | 
 (e) Pursuant to appropriation, all monies in the Solid  | 
Waste Management Fund shall be used by the Agency for the  | 
purposes set forth in this Section and in the Illinois Solid  | 
Waste Management Act, including for the costs of fee  | 
collection and administration, for administration of the Paint  | 
Stewardship Act, and for the administration of the Consumer  | 
Electronics Recycling Act, the Drug Take-Back Act, and the  | 
Statewide Recycling Needs Assessment Act. | 
 (f) The Agency is authorized to enter into such agreements  | 
 | 
and to promulgate such rules as are necessary to carry out its  | 
duties under this Section and the Illinois Solid Waste  | 
Management Act. | 
 (g) On the first day of January, April, July, and October  | 
of each year, beginning on July 1, 1996, the State Comptroller  | 
and Treasurer shall transfer $500,000 from the Solid Waste  | 
Management Fund to the Hazardous Waste Fund. Moneys  | 
transferred under this subsection (g) shall be used only for  | 
the purposes set forth in item (1) of subsection (d) of Section  | 
22.2. | 
 (h) The Agency is authorized to provide financial  | 
assistance to units of local government for the performance of  | 
inspecting, investigating, and enforcement activities pursuant  | 
to subsection (r) of Section 4 at nonhazardous solid waste  | 
disposal sites. | 
 (i) The Agency is authorized to conduct household waste  | 
collection and disposal programs. | 
 (j) A unit of local government, as defined in the Local  | 
Solid Waste Disposal Act, in which a solid waste disposal  | 
facility is located may establish a fee, tax, or surcharge  | 
with regard to the permanent disposal of solid waste. All  | 
fees, taxes, and surcharges collected under this subsection  | 
shall be utilized for solid waste management purposes,  | 
including long-term monitoring and maintenance of landfills,  | 
planning, implementation, inspection, enforcement and other  | 
activities consistent with the Solid Waste Management Act and  | 
 | 
the Local Solid Waste Disposal Act, or for any other  | 
environment-related purpose, including, but not limited to, an  | 
environment-related public works project, but not for the  | 
construction of a new pollution control facility other than a  | 
household hazardous waste facility. However, the total fee,  | 
tax or surcharge imposed by all units of local government  | 
under this subsection (j) upon the solid waste disposal  | 
facility shall not exceed: | 
  (1) 60¢ per cubic yard if more than 150,000 cubic  | 
 yards of non-hazardous solid waste is permanently disposed  | 
 of at the site in a calendar year, unless the owner or  | 
 operator weighs the quantity of the solid waste received  | 
 with a device for which certification has been obtained  | 
 under the Weights and Measures Act, in which case the fee  | 
 shall not exceed $1.27 per ton of solid waste permanently  | 
 disposed of. | 
  (2) $33,350 if more than 100,000 cubic yards, but not  | 
 more than 150,000 cubic yards, of non-hazardous waste is  | 
 permanently disposed of at the site in a calendar year. | 
  (3) $15,500 if more than 50,000 cubic yards, but not  | 
 more than 100,000 cubic yards, of non-hazardous solid  | 
 waste is permanently disposed of at the site in a calendar  | 
 year. | 
  (4) $4,650 if more than 10,000 cubic yards, but not  | 
 more than 50,000 cubic yards, of non-hazardous solid waste  | 
 is permanently disposed of at the site in a calendar year. | 
 | 
  (5) $650 if not more than 10,000 cubic yards of  | 
 non-hazardous solid waste is permanently disposed of at  | 
 the site in a calendar year. | 
 The corporate authorities of the unit of local government  | 
may use proceeds from the fee, tax, or surcharge to reimburse a  | 
highway commissioner whose road district lies wholly or  | 
partially within the corporate limits of the unit of local  | 
government for expenses incurred in the removal of  | 
nonhazardous, nonfluid municipal waste that has been dumped on  | 
public property in violation of a State law or local  | 
ordinance. | 
 For the disposal of solid waste from general construction  | 
or demolition debris recovery facilities as defined in  | 
subsection (a-1) of Section 3.160, the total fee, tax, or  | 
surcharge imposed by all units of local government under this  | 
subsection (j) upon the solid waste disposal facility shall  | 
not exceed 50% of the applicable amount set forth above. A unit  | 
of local government, as defined in the Local Solid Waste  | 
Disposal Act, in which a general construction or demolition  | 
debris recovery facility is located may establish a fee, tax,  | 
or surcharge on the general construction or demolition debris  | 
recovery facility with regard to the permanent disposal of  | 
solid waste by the general construction or demolition debris  | 
recovery facility at a solid waste disposal facility, provided  | 
that such fee, tax, or surcharge shall not exceed 50% of the  | 
applicable amount set forth above, based on the total amount  | 
 | 
of solid waste transported from the general construction or  | 
demolition debris recovery facility for disposal at solid  | 
waste disposal facilities, and the unit of local government  | 
and fee shall be subject to all other requirements of this  | 
subsection (j). | 
 A county or Municipal Joint Action Agency that imposes a  | 
fee, tax, or surcharge under this subsection may use the  | 
proceeds thereof to reimburse a municipality that lies wholly  | 
or partially within its boundaries for expenses incurred in  | 
the removal of nonhazardous, nonfluid municipal waste that has  | 
been dumped on public property in violation of a State law or  | 
local ordinance. | 
 If the fees are to be used to conduct a local sanitary  | 
landfill inspection or enforcement program, the unit of local  | 
government must enter into a written delegation agreement with  | 
the Agency pursuant to subsection (r) of Section 4. The unit of  | 
local government and the Agency shall enter into such a  | 
written delegation agreement within 60 days after the  | 
establishment of such fees. At least annually, the Agency  | 
shall conduct an audit of the expenditures made by units of  | 
local government from the funds granted by the Agency to the  | 
units of local government for purposes of local sanitary  | 
landfill inspection and enforcement programs, to ensure that  | 
the funds have been expended for the prescribed purposes under  | 
the grant. | 
 The fees, taxes or surcharges collected under this  | 
 | 
subsection (j) shall be placed by the unit of local government  | 
in a separate fund, and the interest received on the moneys in  | 
the fund shall be credited to the fund. The monies in the fund  | 
may be accumulated over a period of years to be expended in  | 
accordance with this subsection. | 
 A unit of local government, as defined in the Local Solid  | 
Waste Disposal Act, shall prepare and post on its website, in  | 
April of each year, a report that details spending plans for  | 
monies collected in accordance with this subsection. The  | 
report will at a minimum include the following: | 
  (1) The total monies collected pursuant to this  | 
 subsection. | 
  (2) The most current balance of monies collected  | 
 pursuant to this subsection. | 
  (3) An itemized accounting of all monies expended for  | 
 the previous year pursuant to this subsection. | 
  (4) An estimation of monies to be collected for the  | 
 following 3 years pursuant to this subsection. | 
  (5) A narrative detailing the general direction and  | 
 scope of future expenditures for one, 2 and 3 years. | 
 The exemptions granted under Sections 22.16 and 22.16a,  | 
and under subsection (k) of this Section, shall be applicable  | 
to any fee, tax or surcharge imposed under this subsection  | 
(j); except that the fee, tax or surcharge authorized to be  | 
imposed under this subsection (j) may be made applicable by a  | 
unit of local government to the permanent disposal of solid  | 
 | 
waste after December 31, 1986, under any contract lawfully  | 
executed before June 1, 1986 under which more than 150,000  | 
cubic yards (or 50,000 tons) of solid waste is to be  | 
permanently disposed of, even though the waste is exempt from  | 
the fee imposed by the State under subsection (b) of this  | 
Section pursuant to an exemption granted under Section 22.16. | 
 (k) In accordance with the findings and purposes of the  | 
Illinois Solid Waste Management Act, beginning January 1, 1989  | 
the fee under subsection (b) and the fee, tax or surcharge  | 
under subsection (j) shall not apply to: | 
  (1) waste which is hazardous waste; | 
  (2) waste which is pollution control waste; | 
  (3) waste from recycling, reclamation or reuse  | 
 processes which have been approved by the Agency as being  | 
 designed to remove any contaminant from wastes so as to  | 
 render such wastes reusable, provided that the process  | 
 renders at least 50% of the waste reusable; the exemption  | 
 set forth in this paragraph (3) of this subsection (k)  | 
 shall not apply to general construction or demolition  | 
 debris recovery facilities as defined in subsection (a-1)  | 
 of Section 3.160; | 
  (4) non-hazardous solid waste that is received at a  | 
 sanitary landfill and composted or recycled through a  | 
 process permitted by the Agency; or | 
  (5) any landfill which is permitted by the Agency to  | 
 receive only demolition or construction debris or  | 
 | 
 landscape waste. | 
(Source: P.A. 102-16, eff. 6-17-21; 102-310, eff. 8-6-21;  | 
102-444, eff. 8-20-21; 102-699, eff. 4-19-22; 102-813, eff.  | 
5-13-22; 102-1055, eff. 6-10-22; 103-8, eff. 6-7-23; 103-154,  | 
eff. 6-30-23; 103-372, eff. 1-1-24; 103-383, eff. 7-28-23;  | 
revised 12-15-23.)
 | 
 (415 ILCS 5/31) (from Ch. 111 1/2, par. 1031) | 
 Sec. 31. Notice; complaint; hearing.   | 
 (a)(1) Within 180 days after becoming aware of an alleged  | 
violation of this the Act, any rule adopted under this the Act,  | 
a permit granted by the Agency, or a condition of such a  | 
permit, the Agency shall issue and serve, by certified mail,  | 
upon the person complained against a written notice informing  | 
that person that the Agency has evidence of the alleged  | 
violation. At a minimum, the written notice shall contain: | 
  (A) a notification to the person complained against of  | 
 the requirement to submit a written response addressing  | 
 the violations alleged and the option to meet with  | 
 appropriate agency personnel to resolve any alleged  | 
 violations that could lead to the filing of a formal  | 
 complaint; | 
  (B) a detailed explanation by the Agency of the  | 
 violations alleged; | 
  (C) an explanation by the Agency of the actions that  | 
 the Agency believes may resolve the alleged violations,  | 
 | 
 including an estimate of a reasonable time period for the  | 
 person complained against to complete the suggested  | 
 resolution; and | 
  (D) an explanation of any alleged violation that the  | 
 Agency believes cannot be resolved without the involvement  | 
 of the Office of the Illinois Attorney General or the  | 
 State's Attorney of the county in which the alleged  | 
 violation occurred and the basis for the Agency's belief.  | 
 (2) A written response to the violations alleged shall be  | 
submitted to the Agency, by certified mail, within 45 days  | 
after receipt of notice by the person complained against, or  | 
within an extended time period as agreed to by the Agency and  | 
person complained against. The written response shall include: | 
  (A) information in rebuttal, explanation, or  | 
 justification of each alleged violation; | 
  (B) if the person complained against desires to enter  | 
 into a Compliance Commitment Agreement, proposed terms for  | 
 a Compliance Commitment Agreement that includes specified  | 
 times for achieving each commitment and which may consist  | 
 of a statement indicating that the person complained  | 
 against believes that compliance has been achieved; and | 
  (C) a request for a meeting with appropriate Agency  | 
 personnel if a meeting is desired by the person complained  | 
 against.  | 
 (3) If the person complained against fails to respond in  | 
accordance with the requirements of subdivision (2) of this  | 
 | 
subsection (a), the failure to respond shall be considered a  | 
waiver of the requirements of this subsection (a) and nothing  | 
in this Section shall preclude the Agency from proceeding  | 
pursuant to subsection (b) of this Section.  | 
 (4) A meeting requested pursuant to subdivision (2) of  | 
this subsection (a) shall be held without a representative of  | 
the Office of the Illinois Attorney General or the State's  | 
Attorney of the county in which the alleged violation  | 
occurred, within 60 days after receipt of notice by the person  | 
complained against, or within an extended time period as  | 
agreed to by the Agency and person complained against. At the  | 
meeting, the Agency shall provide an opportunity for the  | 
person complained against to respond to each alleged  | 
violation, suggested resolution, and suggested implementation  | 
time frame, and to suggest alternate resolutions.  | 
 (5) If a meeting requested pursuant to subdivision (2) of  | 
this subsection (a) is held, the person complained against  | 
shall, within 21 days following the meeting or within an  | 
extended time period as agreed to by the Agency and person  | 
complained against, submit by certified mail to the Agency a  | 
written response to the alleged violations. The written  | 
response shall include: | 
  (A) additional information in rebuttal, explanation,  | 
 or justification of each alleged violation; | 
  (B) if the person complained against desires to enter  | 
 into a Compliance Commitment Agreement, proposed terms for  | 
 | 
 a Compliance Commitment Agreement that includes specified  | 
 times for achieving each commitment and which may consist  | 
 of a statement indicating that the person complained  | 
 against believes that compliance has been achieved; and | 
  (C) a statement indicating that, should the person  | 
 complained against so wish, the person complained against  | 
 chooses to rely upon the initial written response  | 
 submitted pursuant to subdivision (2) of this subsection  | 
 (a).  | 
 (6) If the person complained against fails to respond in  | 
accordance with the requirements of subdivision (5) of this  | 
subsection (a), the failure to respond shall be considered a  | 
waiver of the requirements of this subsection (a) and nothing  | 
in this Section shall preclude the Agency from proceeding  | 
pursuant to subsection (b) of this Section.  | 
 (7) Within 30 days after the Agency's receipt of a written  | 
response submitted by the person complained against pursuant  | 
to subdivision (2) of this subsection (a) if a meeting is not  | 
requested or pursuant to subdivision (5) of this subsection  | 
(a) if a meeting is held, or within a later time period as  | 
agreed to by the Agency and the person complained against, the  | 
Agency shall issue and serve, by certified mail, upon the  | 
person complained against (i) a proposed Compliance Commitment  | 
Agreement or (ii) a notice that one or more violations cannot  | 
be resolved without the involvement of the Office of the  | 
Attorney General or the State's Attorney of the county in  | 
 | 
which the alleged violation occurred and that no proposed  | 
Compliance Commitment Agreement will be issued by the Agency  | 
for those violations. The Agency shall include terms and  | 
conditions in the proposed Compliance Commitment Agreement  | 
that are, in its discretion, necessary to bring the person  | 
complained against into compliance with the Act, any rule  | 
adopted under the Act, any permit granted by the Agency, or any  | 
condition of such a permit. The Agency shall take into  | 
consideration the proposed terms for the proposed Compliance  | 
Commitment Agreement that were provided under subdivision  | 
(a)(2)(B) or (a)(5)(B) of this Section by the person  | 
complained against. | 
 (7.5) Within 30 days after the receipt of the Agency's  | 
proposed Compliance Commitment Agreement by the person  | 
complained against, or within a later time period not to  | 
exceed an additional 30 days as agreed to by the Agency and the  | 
person complained against, the person shall either (i) agree  | 
to and sign the proposed Compliance Commitment Agreement  | 
provided by the Agency and submit the signed Compliance  | 
Commitment Agreement to the Agency by certified mail or (ii)  | 
notify the Agency in writing by certified mail of the person's  | 
rejection of the proposed Compliance Commitment Agreement. If  | 
the person complained against fails to respond to the proposed  | 
Compliance Commitment Agreement within 30 days as required  | 
under this paragraph, the proposed Compliance Commitment  | 
Agreement is deemed rejected by operation of law. Any  | 
 | 
Compliance Commitment Agreement entered into under item (i) of  | 
this paragraph may be amended subsequently in writing by  | 
mutual agreement between the Agency and the signatory to the  | 
Compliance Commitment Agreement, the signatory's legal  | 
representative, or the signatory's agent. | 
 (7.6) No person shall violate the terms or conditions of a  | 
Compliance Commitment Agreement entered into under subdivision  | 
(a)(7.5) of this Section. Successful completion of a  | 
Compliance Commitment Agreement or an amended Compliance  | 
Commitment Agreement shall be a factor to be weighed, in favor  | 
of the person completing the Agreement, by the Office of the  | 
Illinois Attorney General in determining whether to file a  | 
complaint for the violations that were the subject of the  | 
Agreement.  | 
 (7.7) Within 30 days after a Compliance Commitment  | 
Agreement takes effect or is amended in accordance with  | 
paragraph (7.5), the Agency shall publish a copy of the final  | 
executed Compliance Commitment Agreement on the Agency's  | 
website. The Agency shall maintain an Internet database of all  | 
Compliance Commitment Agreements entered on or after August  | 
24, 2018 (the effective date of Public Act 100-1080) this  | 
amendatory Act of the 100th General Assembly. At a minimum,  | 
the database shall be searchable by the following categories:  | 
the county in which the facility that is subject to the  | 
Compliance Commitment Agreement is located; the date of final  | 
execution of the Compliance Commitment Agreement; the name of  | 
 | 
the respondent; and the media involved, including air, water,  | 
land, or public water supply.   | 
 (8) Nothing in this subsection (a) is intended to require  | 
the Agency to enter into Compliance Commitment Agreements for  | 
any alleged violation that the Agency believes cannot be  | 
resolved without the involvement of the Office of the Attorney  | 
General or the State's Attorney of the county in which the  | 
alleged violation occurred, for, among other purposes, the  | 
imposition of statutory penalties.  | 
 (9) The Agency's failure to respond within 30 days of  | 
receipt to a written response submitted pursuant to  | 
subdivision (2) of this subsection (a) if a meeting is not  | 
requested or pursuant to subdivision (5) of this subsection  | 
(a) if a meeting is held, or within the time period otherwise  | 
agreed to in writing by the Agency and the person complained  | 
against, shall be deemed an acceptance by the Agency of the  | 
proposed terms of the Compliance Commitment Agreement for the  | 
violations alleged in the written notice issued under  | 
subdivision (1) of this subsection (a) as contained within the  | 
written response.  | 
 (10) If the person complained against complies with the  | 
terms of a Compliance Commitment Agreement accepted pursuant  | 
to this subsection (a), the Agency shall not refer the alleged  | 
violations which are the subject of the Compliance Commitment  | 
Agreement to the Office of the Illinois Attorney General or  | 
the State's Attorney of the county in which the alleged  | 
 | 
violation occurred. However, nothing in this subsection is  | 
intended to preclude the Agency from continuing negotiations  | 
with the person complained against or from proceeding pursuant  | 
to the provisions of subsection (b) of this Section for  | 
alleged violations that remain the subject of disagreement  | 
between the Agency and the person complained against following  | 
fulfillment of the requirements of this subsection (a).  | 
 (11) Nothing in this subsection (a) is intended to  | 
preclude the person complained against from submitting to the  | 
Agency, by certified mail, at any time, notification that the  | 
person complained against consents to waiver of the  | 
requirements of subsections (a) and (b) of this Section. | 
 (12) The Agency shall have the authority to adopt rules  | 
for the administration of this subsection (a) of this Section.  | 
The rules shall be adopted in accordance with the provisions  | 
of the Illinois Administrative Procedure Act.  | 
 (b) For alleged violations that remain the subject of  | 
disagreement between the Agency and the person complained  | 
against following fulfillment of the requirements of  | 
subsection (a) of this Section, and for alleged violations of  | 
the terms or conditions of a Compliance Commitment Agreement  | 
entered into under subdivision (a)(7.5) of this Section as  | 
well as the alleged violations that are the subject of the  | 
Compliance Commitment Agreement, and as a precondition to the  | 
Agency's referral or request to the Office of the Illinois  | 
Attorney General or the State's Attorney of the county in  | 
 | 
which the alleged violation occurred for legal representation  | 
regarding an alleged violation that may be addressed pursuant  | 
to subsection (c) or (d) of this Section or pursuant to Section  | 
42 of this Act, the Agency shall issue and serve, by certified  | 
mail, upon the person complained against a written notice  | 
informing that person that the Agency intends to pursue legal  | 
action. Such notice shall notify the person complained against  | 
of the violations to be alleged and offer the person an  | 
opportunity to meet with appropriate Agency personnel in an  | 
effort to resolve any alleged violations that could lead to  | 
the filing of a formal complaint. The meeting with Agency  | 
personnel shall be held within 30 days after receipt of notice  | 
served pursuant to this subsection upon the person complained  | 
against, unless the Agency agrees to a postponement or the  | 
person notifies the Agency that he or she will not appear at a  | 
meeting within the 30-day time period. Nothing in this  | 
subsection is intended to preclude the Agency from following  | 
the provisions of subsection (c) or (d) of this Section or from  | 
requesting the legal representation of the Office of the  | 
Illinois Attorney General or the State's Attorney of the  | 
county in which the alleged violations occurred for alleged  | 
violations which remain the subject of disagreement between  | 
the Agency and the person complained against after the  | 
provisions of this subsection are fulfilled.  | 
 (c)(1) For alleged violations which remain the subject of  | 
disagreement between the Agency and the person complained  | 
 | 
against following waiver pursuant to subdivision (10) of  | 
subsection (a) of this Section or fulfillment of the  | 
requirements of subsections (a) and (b) of this Section, the  | 
Office of the Illinois Attorney General or the State's  | 
Attorney of the county in which the alleged violation occurred  | 
shall issue and serve upon the person complained against a  | 
written notice, together with a formal complaint, which shall  | 
specify the provision of the Act, rule, regulation, permit, or  | 
term or condition thereof under which such person is said to be  | 
in violation and a statement of the manner in and the extent to  | 
which such person is said to violate the Act, rule,  | 
regulation, permit, or term or condition thereof and shall  | 
require the person so complained against to answer the charges  | 
of such formal complaint at a hearing before the Board at a  | 
time not less than 21 days after the date of notice by the  | 
Board, except as provided in Section 34 of this Act. Such  | 
complaint shall be accompanied by a notification to the  | 
defendant that financing may be available, through the  | 
Illinois Environmental Facilities Financing Act, to correct  | 
such violation. A copy of such notice of such hearings shall  | 
also be sent to any person who that has complained to the  | 
Agency respecting the respondent within the six months  | 
preceding the date of the complaint, and to any person in the  | 
county in which the offending activity occurred that has  | 
requested notice of enforcement proceedings; 21 days notice of  | 
such hearings shall also be published in a newspaper of  | 
 | 
general circulation in such county. The respondent may file a  | 
written answer, and at such hearing the rules prescribed in  | 
Sections 32 and 33 of this Act shall apply. In the case of  | 
actual or threatened acts outside Illinois contributing to  | 
environmental damage in Illinois, the extraterritorial  | 
service-of-process provisions of Sections 2-208 and 2-209 of  | 
the Code of Civil Procedure shall apply.  | 
 With respect to notices served pursuant to this subsection  | 
(c)(1) that involve hazardous material or wastes in any  | 
manner, the Agency shall annually publish a list of all such  | 
notices served. The list shall include the date the  | 
investigation commenced, the date notice was sent, the date  | 
the matter was referred to the Attorney General, if  | 
applicable, and the current status of the matter.  | 
 (2) Notwithstanding the provisions of subdivision (1) of  | 
this subsection (c), whenever a complaint has been filed on  | 
behalf of the Agency or by the People of the State of Illinois,  | 
the parties may file with the Board a stipulation and proposal  | 
for settlement accompanied by a request for relief from the  | 
requirement of a hearing pursuant to subdivision (1). Unless  | 
the Board, in its discretion, concludes that a hearing will be  | 
held, the Board shall cause notice of the stipulation,  | 
proposal and request for relief to be published and sent in the  | 
same manner as is required for hearing pursuant to subdivision  | 
(1) of this subsection. The notice shall include a statement  | 
that any person may file a written demand for hearing within 21  | 
 | 
days after receiving the notice. If any person files a timely  | 
written demand for hearing, the Board shall deny the request  | 
for relief from a hearing and shall hold a hearing in  | 
accordance with the provisions of subdivision (1).  | 
 (3) Notwithstanding the provisions of subdivision (1) of  | 
this subsection (c), if the Agency becomes aware of a  | 
violation of this Act arising from, or as a result of,  | 
voluntary pollution prevention activities, the Agency shall  | 
not proceed with the written notice required by subsection (a)  | 
of this Section unless: | 
  (A) the person fails to take corrective action or  | 
 eliminate the reported violation within a reasonable time;  | 
 or | 
  (B) the Agency believes that the violation poses a  | 
 substantial and imminent danger to the public health or  | 
 welfare or the environment. For the purposes of this item  | 
 (B), "substantial and imminent danger" means a danger with  | 
 a likelihood of serious or irreversible harm.  | 
 (d)(1) Any person may file with the Board a complaint,  | 
meeting the requirements of subsection (c) of this Section,  | 
against any person allegedly violating this Act, any rule or  | 
regulation adopted under this Act, any permit or term or  | 
condition of a permit, or any Board order. The complainant  | 
shall immediately serve a copy of such complaint upon the  | 
person or persons named therein. Unless the Board determines  | 
that such complaint is duplicative or frivolous, it shall  | 
 | 
schedule a hearing and serve written notice thereof upon the  | 
person or persons named therein, in accord with subsection (c)  | 
of this Section.  | 
 (2) Whenever a complaint has been filed by a person other  | 
than the Attorney General or the State's Attorney, the parties  | 
may file with the Board a stipulation and proposal for  | 
settlement accompanied by a request for relief from the  | 
hearing requirement of subdivision (c)(1) of this Section.  | 
Unless the Board, in its discretion, concludes that a hearing  | 
should be held, no hearing on the stipulation and proposal for  | 
settlement is required. | 
 (e) In hearings before the Board under this Title the  | 
burden shall be on the Agency or other complainant to show  | 
either that the respondent has caused or threatened to cause  | 
air or water pollution or that the respondent has violated or  | 
threatens to violate any provision of this Act or any rule or  | 
regulation of the Board or permit or term or condition  | 
thereof. If such proof has been made, the burden shall be on  | 
the respondent to show that compliance with the Board's  | 
regulations would impose an arbitrary or unreasonable  | 
hardship. | 
 (f) The provisions of this Section shall not apply to  | 
administrative citation actions commenced under Section 31.1  | 
of this Act. | 
(Source: P.A. 103-168, eff. 6-30-23; revised 9-20-23.)
 | 
 | 
 (415 ILCS 5/58.5) | 
 Sec. 58.5. Risk-based remediation objectives.  | 
 (a) Determination of remediation objectives. This Section  | 
establishes the procedures for determining risk-based  | 
remediation objectives. | 
 (b) Background area remediation objectives.  | 
  (1) Except as provided in subdivisions (b)(2) or  | 
 (b)(3) of this Section, remediation objectives established  | 
 under this Section shall not require remediation of  | 
 regulated substances to levels that are less than area  | 
 background levels.  | 
  (2) In the event that the concentration of a regulated  | 
 substance of concern on the site exceeds a remediation  | 
 objective adopted by the Board for residential land use,  | 
 the property may not be converted to residential use  | 
 unless such remediation objective or an alternate  | 
 risk-based remediation objective for that regulated  | 
 substance of concern is first achieved.  | 
  (3) In the event that the Agency has determined in  | 
 writing that the background level for a regulated  | 
 substance poses an acute threat to human health or the  | 
 environment at the site when considering the post-remedial  | 
 action land use, the RA shall develop appropriate  | 
 risk-based remediation objectives in accordance with this  | 
 Section. | 
 (c) Regulations establishing remediation objectives and  | 
 | 
methodologies for deriving remediation objectives for  | 
individual or classes of regulated substances shall be adopted  | 
by the Board in accordance with this Section and Section  | 
58.11.   | 
  (1) The regulations shall provide for the adoption of  | 
 a three-tiered process for an a RA to establish  | 
 remediation objectives protective of human health and the  | 
 environment based on identified risks and specific site  | 
 characteristics at and around the site.   | 
  (2) The regulations shall provide procedures for using  | 
 alternative tiers in developing remediation objectives for  | 
 multiple regulated substances.  | 
  (3) The regulations shall provide procedures for  | 
 determining area background contaminant levels.  | 
  (4) The methodologies adopted under this Section shall  | 
 ensure that the following factors are taken into account  | 
 in determining remediation objectives:  | 
   (A) potential risks posed by carcinogens and  | 
 noncarcinogens; and  | 
   (B) the presence of multiple substances of concern  | 
 and multiple exposure pathways. | 
 (d) In developing remediation objectives under subsection  | 
(c) of this Section, the methodology proposed and adopted  | 
shall establish tiers addressing manmade and natural pathways  | 
of exposure, including, but not limited to, human ingestion,  | 
human inhalation, and groundwater protection. For carcinogens,  | 
 | 
soil and groundwater remediation objectives shall be  | 
established at exposures that represent an excess upper-bound  | 
lifetime risk of between 1 in 10,000 and 1 in 1,000,000 as  | 
appropriate for the post-remedial action use, except that  | 
remediation objectives protecting residential use shall be  | 
based on exposures that represent an excess upper-bound  | 
lifetime risk of 1 in 1,000,000. No groundwater remediation  | 
objective adopted pursuant to this Section shall be more  | 
restrictive than the applicable Class I or Class III  | 
Groundwater Quality Standard adopted by the Board. At a  | 
minimum, the objectives shall include the following:  | 
  (1) Tier I remediation objectives expressed as a table  | 
 of numeric values for soil and groundwater. Such  | 
 objectives may be of different values dependent on  | 
 potential pathways at the site and different land uses,  | 
 including residential and nonresidential uses.   | 
  (2) Tier II remediation objectives shall include the  | 
 formulae and equations used to derive the Tier II  | 
 objectives and input variables for use in the formulae.  | 
 The RA may alter the input variables when it is  | 
 demonstrated that the specific circumstances at and around  | 
 the site including land uses warrant such alternate  | 
 variables.   | 
  (3) Tier III remediation objectives shall include  | 
 methodologies to allow for the development of  | 
 site-specific risk-based remediation objectives for soil  | 
 | 
 or groundwater, or both, for regulated substances. Such  | 
 methodology shall allow for different remediation  | 
 objectives for residential and various categories of  | 
 non-residential land uses. The Board's future adoption of  | 
 a methodology pursuant to this Section shall in no way  | 
 preclude the use of a nationally recognized methodology to  | 
 be used for the development of site-specific risk-based  | 
 objectives for regulated substances under this Section. In  | 
 determining Tier III remediation objectives under this  | 
 subsection, all of the following factors shall be  | 
 considered:  | 
   (A) The use of specific site characteristic data.  | 
   (B) The use of appropriate exposure factors for  | 
 the current and currently planned future land use of  | 
 the site and adjacent property and the effectiveness  | 
 of engineering, institutional, or legal controls  | 
 placed on the current or future use of the site.  | 
   (C) The use of appropriate statistical  | 
 methodologies to establish statistically valid  | 
 remediation objectives.  | 
   (D) The actual and potential impact of regulated  | 
 substances to receptors.  | 
  (4) For regulated substances that have a groundwater  | 
 quality standard established pursuant to the Illinois  | 
 Groundwater Protection Act and rules promulgated  | 
 thereunder, site specific groundwater remediation  | 
 | 
 objectives may be proposed under the methodology  | 
 established in subdivision (d)(3) of this Section at  | 
 values greater than the groundwater quality standards.  | 
   (A) The RA proposing any site specific groundwater  | 
 remediation objective at a value greater than the  | 
 applicable groundwater quality standard shall  | 
 demonstrate:  | 
    (i) To the extent practical, the exceedance of  | 
 the groundwater quality standard has been  | 
 minimized and beneficial use appropriate to the  | 
 groundwater that was impacted has been returned;  | 
 and  | 
    (ii) Any threat to human health or the  | 
 environment has been minimized.  | 
   (B) The rules proposed by the Agency and adopted  | 
 by the Board under this Section shall include criteria  | 
 required for the demonstration of the suitability of  | 
 groundwater objectives proposed under subdivision (b)  | 
 (4) (A) of this Section. | 
 (e) The rules proposed by the Agency and adopted by the  | 
Board under this Section shall include conditions for the  | 
establishment and duration of groundwater management zones by  | 
rule, as appropriate, at sites undergoing remedial action  | 
under this Title. | 
 (f) Until such time as the Board adopts remediation  | 
objectives under this Section, the remediation objectives  | 
 | 
adopted by the Board under Title XVI of this Act shall apply to  | 
all environmental assessments and soil or groundwater remedial  | 
action conducted under this Title. | 
(Source: P.A. 91-909, eff. 7-7-00; revised 9-20-23.)
 | 
 (415 ILCS 5/58.6) | 
 Sec. 58.6. Remedial investigations and reports.  | 
 (a) Any RA who proceeds under this Title may elect to seek  | 
review and approval for any of the remediation objectives  | 
provided in Section 58.5 for any or all regulated substances  | 
of concern. The RA shall conduct investigations and remedial  | 
activities for regulated substances of concern and prepare  | 
plans and reports in accordance with this Section and rules  | 
adopted hereunder. The RA shall submit the plans and reports  | 
for review and approval in accordance with Section 58.7. All  | 
investigations, plans, and reports conducted or prepared under  | 
this Section shall be under the supervision of a Licensed  | 
Professional Engineer (LPE) or, in the case of a site  | 
investigation only, a Licensed Professional Geologist in  | 
accordance with the requirements of this Title. | 
 (b) (1) Site investigation and Site Investigation Report. | 
  (1) The RA shall conduct a site investigation to  | 
 determine the significant physical features of the site  | 
 and vicinity that may affect contaminant transport and  | 
 risk to human health, safety, and the environment and to  | 
 determine the nature, concentration, direction and rate of  | 
 | 
 movement, and extent of the contamination at the site. | 
  (2) The RA shall compile the results of the  | 
 investigations into a Site Investigation Report. At a  | 
 minimum, the reports shall include the following, as  | 
 applicable: | 
   (A) Executive summary; | 
   (B) Site history; | 
   (C) Site-specific sampling methods and results; | 
   (D) Documentation of field activities, including  | 
 quality assurance project plan; | 
   (E) Interpretation of results; and | 
   (F) Conclusions. | 
 (c) Remediation Objectives Report. | 
  (1) If an a RA elects to determine remediation  | 
 objectives appropriate for the site using the Tier II or  | 
 Tier III procedures under subsection (d) of Section 58.5,  | 
 the RA shall develop such remediation objectives based on  | 
 site-specific information. In support of such remediation  | 
 objectives, the RA shall prepare a Remediation Objectives  | 
 Report demonstrating how the site-specific objectives were  | 
 calculated or otherwise determined. | 
  (2) If an a RA elects to determine remediation  | 
 objectives appropriate for the site using the area  | 
 background procedures under subsection (b) of Section  | 
 58.5, the RA shall develop such remediation objectives  | 
 based on site-specific literature review, sampling  | 
 | 
 protocol, or appropriate statistical methods in accordance  | 
 with Board rules. In support of such remediation  | 
 objectives, the RA shall prepare a Remediation Objectives  | 
 Report demonstrating how the area background remediation  | 
 objectives were determined. | 
 (d) Remedial Action Plan. If the approved remediation  | 
objectives for any regulated substance established under  | 
Section 58.5 are less than the levels existing at the site  | 
prior to any remedial action, the RA shall prepare a Remedial  | 
Action Plan. The Remedial Action Plan shall describe the  | 
selected remedy and evaluate its ability and effectiveness to  | 
achieve the remediation objectives approved for the site. At a  | 
minimum, the reports shall include the following, as  | 
applicable: | 
  (1) Executive summary; | 
  (2) Statement of remediation objectives; | 
  (3) Remedial technologies selected; | 
  (4) Confirmation sampling plan; | 
  (5) Current and projected future use of the property;  | 
 and | 
  (6) Applicable preventive, engineering, and  | 
 institutional controls including long-term reliability,  | 
 operating, and maintenance plans, and monitoring  | 
 procedures.  | 
 (e) Remedial Action Completion Report. | 
  (1) Upon completion of the Remedial Action Plan, the  | 
 | 
 RA shall prepare a Remedial Action Completion Report. The  | 
 report shall demonstrate whether the remedial action was  | 
 completed in accordance with the approved Remedial Action  | 
 Plan and whether the remediation objectives, as well as  | 
 any other requirements of the plan, have been attained. | 
  (2) If the approved remediation objectives for the  | 
 regulated substances of concern established under Section  | 
 58.5 are equal to or above the levels existing at the site  | 
 prior to any remedial action, notification and  | 
 documentation of such shall constitute the entire Remedial  | 
 Action Completion Report for purposes of this Title. | 
 (f) Ability to proceed. The RA may elect to prepare and  | 
submit for review and approval any and all reports or plans  | 
required under the provisions of this Section individually,  | 
following completion of each such activity; concurrently,  | 
following completion of all activities; or in any other  | 
combination. In any event, the review and approval process  | 
shall proceed in accordance with Section 58.7 and rules  | 
adopted thereunder. | 
 (g) Nothing in this Section shall prevent an RA from  | 
implementing or conducting an interim or any other remedial  | 
measure prior to election to proceed under Section 58.6. | 
 (h) In accordance with Section 58.11, the Agency shall  | 
propose and the Board shall adopt rules to carry out the  | 
purposes of this Section. | 
(Source: P.A. 92-735, eff. 7-25-02; revised 9-20-23.)
 | 
 | 
 (415 ILCS 5/58.7) | 
 Sec. 58.7. Review and approvals.  | 
 (a) Requirements. All plans and reports that are submitted  | 
pursuant to this Title shall be submitted for review or  | 
approval in accordance with this Section. | 
 (b) Review and evaluation by the Agency. | 
  (1) Except for sites excluded under subdivision (a)(2)  | 
 of Section 58.1, the Agency shall, subject to available  | 
 resources, agree to provide review and evaluation services  | 
 for activities carried out pursuant to this Title for  | 
 which the RA requested the services in writing. As a  | 
 condition for providing such services, the Agency may  | 
 require that the RA for a site: | 
   (A) Conform with the procedures of this Title; | 
   (B) Allow for or otherwise arrange site visits or  | 
 other site evaluation by the Agency when so requested; | 
   (C) Agree to perform the Remedial Action Plan as  | 
 approved under this Title; | 
   (D) Agree to pay any reasonable costs incurred and  | 
 documented by the Agency in providing such services; | 
   (E) Make an advance partial payment to the Agency  | 
 for such anticipated services in the amount of $2,500;  | 
 and | 
   (F) Demonstrate, if necessary, authority to act on  | 
 behalf of or in lieu of the owner or operator. | 
 | 
  (2) Any moneys received by the State for costs  | 
 incurred by the Agency in performing review or evaluation  | 
 services for actions conducted pursuant to this Title  | 
 shall be deposited in the Hazardous Waste Fund. | 
  (3) An RA requesting services under subdivision (b)  | 
 (1) of this Section may, at any time, notify the Agency, in  | 
 writing, that Agency services previously requested are no  | 
 longer wanted. Within 180 days after receipt of the  | 
 notice, the Agency shall provide the RA with a final  | 
 invoice for services provided until the date of such  | 
 notifications. | 
  (4) The Agency may invoice or otherwise request or  | 
 demand payment from an a RA for costs incurred by the  | 
 Agency in performing review or evaluation services for  | 
 actions by the RA at sites only if: | 
   (A) The Agency has incurred costs in performing  | 
 response actions, other than review or evaluation  | 
 services, due to the failure of the RA to take response  | 
 action in accordance with a notice issued pursuant to  | 
 this Act; | 
   (B) The RA has agreed in writing to the payment of  | 
 such costs; | 
   (C) The RA has been ordered to pay such costs by  | 
 the Board or a court of competent jurisdiction  | 
 pursuant to this Act; or | 
   (D) The RA has requested or has consented to  | 
 | 
 Agency review or evaluation services under subdivision  | 
 (b)(1) of this Section. | 
  (5) The Agency may, subject to available resources,  | 
 agree to provide review and evaluation services for  | 
 response actions if there is a written agreement among  | 
 parties to a legal action or if a notice to perform a  | 
 response action has been issued by the Agency. | 
 (c) Review and evaluation by a RELPEG. An A RA may elect to  | 
contract with a Licensed Professional Engineer or, in the case  | 
of a site investigation report only, a Licensed Professional  | 
Geologist, who will perform review and evaluation services on  | 
behalf of and under the direction of the Agency relative to the  | 
site activities. | 
  (1) Prior to entering into the contract with the  | 
 RELPEG, the RA shall notify the Agency of the RELPEG to be  | 
 selected. The Agency and the RA shall discuss the  | 
 potential terms of the contract. | 
  (2) At a minimum, the contract with the RELPEG shall  | 
 provide that the RELPEG will submit any reports directly  | 
 to the Agency, will take his or her directions for work  | 
 assignments from the Agency, and will perform the assigned  | 
 work on behalf of the Agency. | 
  (3) Reasonable costs incurred by the Agency shall be  | 
 paid by the RA directly to the Agency in accordance with  | 
 the terms of the review and evaluation services agreement  | 
 entered into under subdivision (b)(1) of Section 58.7. | 
 | 
  (4) In no event shall the RELPEG acting on behalf of  | 
 the Agency be an employee of the RA or the owner or  | 
 operator of the site or be an employee of any other person  | 
 the RA has contracted to provide services relative to the  | 
 site. | 
 (d) Review and approval. All reviews required under this  | 
Title shall be carried out by the Agency or a RELPEG contracted  | 
by the RA pursuant to subsection (c). | 
  (1) All review activities conducted by the Agency or a  | 
 RELPEG shall be carried out in conformance with this Title  | 
 and rules promulgated under Section 58.11. | 
  (2) Subject to the limitations in subsection (c) and  | 
 this subsection (d), the specific plans, reports, and  | 
 activities that the Agency or a RELPEG may review include: | 
   (A) Site Investigation Reports and related  | 
 activities; | 
   (B) Remediation Objectives Reports; | 
   (C) Remedial Action Plans and related activities;  | 
 and | 
   (D) Remedial Action Completion Reports and related  | 
 activities. | 
  (3) Only the Agency shall have the authority to  | 
 approve, disapprove, or approve with conditions a plan or  | 
 report as a result of the review process including those  | 
 plans and reports reviewed by a RELPEG. If the Agency  | 
 disapproves a plan or report or approves a plan or report  | 
 | 
 with conditions, the written notification required by  | 
 subdivision (d)(4) of this Section shall contain the  | 
 following information, as applicable: | 
   (A) An explanation of the Sections of this Title  | 
 that may be violated if the plan or report was  | 
 approved; | 
   (B) An explanation of the provisions of the rules  | 
 promulgated under this Title that may be violated if  | 
 the plan or report was approved; | 
   (C) An explanation of the specific type of  | 
 information, if any, that the Agency deems the  | 
 applicant did not provide the Agency; | 
   (D) A statement of specific reasons why the Title  | 
 and regulations might not be met if the plan or report  | 
 were approved; and | 
   (E) An explanation of the reasons for conditions  | 
 if conditions are required. | 
  (4) Upon approving, disapproving, or approving with  | 
 conditions a plan or report, the Agency shall notify the  | 
 RA in writing of its decision. In the case of approval or  | 
 approval with conditions of a Remedial Action Completion  | 
 Report, the Agency shall prepare a No Further Remediation  | 
 Letter that meets the requirements of Section 58.10 and  | 
 send a copy of the letter to the RA. | 
  (5) All reviews undertaken by the Agency or a RELPEG  | 
 shall be completed and the decisions communicated to the  | 
 | 
 RA within 60 days of the request for review or approval of  | 
 a single plan or report and within 90 days after the  | 
 request for review or approval of 2 or more plans or  | 
 reports submitted concurrently. The RA may waive the  | 
 deadline upon a request from the Agency. If the Agency  | 
 disapproves or approves with conditions a plan or report  | 
 or fails to issue a final decision within the applicable  | 
 60-day or 90-day period and the RA has not agreed to a  | 
 waiver of the deadline, the RA may, within 35 days, file an  | 
 appeal to the Board. Appeals to the Board shall be in the  | 
 manner provided for the review of permit decisions in  | 
 Section 40 of this Act. | 
 (e) Standard of review. In making determinations, the  | 
following factors, and additional factors as may be adopted by  | 
the Board in accordance with Section 58.11, shall be  | 
considered by the Agency when reviewing or approving plans,  | 
reports, and related activities, or the RELPEG, when reviewing  | 
plans, reports, and related activities:  | 
  (1) Site Investigation Reports and related activities:  | 
 Whether investigations have been conducted and the results  | 
 compiled in accordance with the appropriate procedures and  | 
 whether the interpretations and conclusions reached are  | 
 supported by the information gathered. In making the  | 
 determination, the following factors shall be considered:  | 
   (A) The adequacy of the description of the site  | 
 and site characteristics that were used to evaluate  | 
 | 
 the site; | 
   (B) The adequacy of the investigation of potential  | 
 pathways and risks to receptors identified at the  | 
 site; and | 
   (C) The appropriateness of the sampling and  | 
 analysis used. | 
  (2) Remediation Objectives Reports: Whether the  | 
 remediation objectives are consistent with the  | 
 requirements of the applicable method for selecting or  | 
 determining remediation objectives under Section 58.5. In  | 
 making the determination, the following factors shall be  | 
 considered: | 
   (A) If the objectives were based on the  | 
 determination of area background levels under  | 
 subsection (b) of Section 58.5, whether the review of  | 
 current and historic conditions at or in the immediate  | 
 vicinity of the site has been thorough and whether the  | 
 site sampling and analysis has been performed in a  | 
 manner resulting in accurate determinations; | 
   (B) If the objectives were calculated on the basis  | 
 of predetermined equations using site specific data,  | 
 whether the calculations were accurately performed and  | 
 whether the site specific data reflect actual site  | 
 conditions; and | 
   (C) If the objectives were determined using a site  | 
 specific risk assessment procedure, whether the  | 
 | 
 procedure used is nationally recognized and accepted,  | 
 whether the calculations were accurately performed,  | 
 and whether the site specific data reflect actual site  | 
 conditions. | 
  (3) Remedial Action Plans and related activities:  | 
 Whether the plan will result in compliance with this  | 
 Title, and rules adopted under it and attainment of the  | 
 applicable remediation objectives. In making the  | 
 determination, the following factors shall be considered: | 
   (A) The likelihood that the plan will result in  | 
 the attainment of the applicable remediation  | 
 objectives; | 
   (B) Whether the activities proposed are consistent  | 
 with generally accepted engineering practices; and | 
   (C) The management of risk relative to any  | 
 remaining contamination, including, but not limited  | 
 to, provisions for the long-term enforcement,  | 
 operation, and maintenance of institutional and  | 
 engineering controls, if relied on. | 
  (4) Remedial Action Completion Reports and related  | 
 activities: Whether the remedial activities have been  | 
 completed in accordance with the approved Remedial Action  | 
 Plan and whether the applicable remediation objectives  | 
 have been attained.  | 
 (f) All plans and reports submitted for review shall  | 
include a Licensed Professional Engineer's certification that  | 
 | 
all investigations and remedial activities were carried out  | 
under his or her direction and, to the best of his or her  | 
knowledge and belief, the work described in the plan or report  | 
has been completed in accordance with generally accepted  | 
engineering practices, and the information presented is  | 
accurate and complete. In the case of a site investigation  | 
report prepared or supervised by a Licensed Professional  | 
Geologist, the required certification may be made by the  | 
Licensed Professional Geologist (rather than a Licensed  | 
Professional Engineer) and based upon generally accepted  | 
principles of professional geology. | 
 (g) In accordance with Section 58.11, the Agency shall  | 
propose and the Board shall adopt rules to carry out the  | 
purposes of this Section. At a minimum, the rules shall detail  | 
the types of services the Agency may provide in response to  | 
requests under subdivision (b)(1) of this Section and the  | 
recordkeeping it will utilize in documenting to the RA the  | 
costs incurred by the Agency in providing such services. | 
 (h) Public participation. | 
  (1) The Agency shall develop guidance to assist RAs  | 
 RA's in the implementation of a community relations plan  | 
 to address activity at sites undergoing remedial action  | 
 pursuant to this Title. | 
  (2) The RA may elect to enter into a services  | 
 agreement with the Agency for Agency assistance in  | 
 community outreach efforts. | 
 | 
  (3) The Agency shall maintain a registry listing those  | 
 sites undergoing remedial action pursuant to this Title. | 
  (4) Notwithstanding any provisions of this Section,  | 
 the RA of a site undergoing remedial activity pursuant to  | 
 this Title may elect to initiate a community outreach  | 
 effort for the site. | 
 (i) Notwithstanding any other provision of this Title, the  | 
Agency is not required to take action on any submission under  | 
this Title from or on behalf of an RA if the RA has failed to  | 
pay all fees due pursuant to an invoice or other request or  | 
demand for payment under this Title. Any deadline for Agency  | 
action on such a submission shall be tolled until the fees due  | 
are paid in full.  | 
(Source: P.A. 103-172, eff. 1-1-24; revised 1-2-24.)
 | 
 Section 505. The Illinois Pesticide Act is amended by  | 
changing Section 24.1 as follows:
 | 
 (415 ILCS 60/24.1) (from Ch. 5, par. 824.1) | 
 Sec. 24.1. Administrative actions and penalties.  | 
 (1) The Director is authorized after an opportunity for an  | 
administrative hearing to suspend, revoke, or modify any  | 
license, permit, special order, registration, or certification  | 
issued under this Act. This action may be taken in addition to  | 
or in lieu of monetary penalties assessed as set forth in this  | 
Section. When it is in the interest of the people of the State  | 
 | 
of Illinois, the Director may, upon good and sufficient  | 
evidence, suspend the registration, license, or permit until a  | 
hearing has been held. In such cases, the Director shall issue  | 
an order in writing setting forth the reasons for the  | 
suspension. Such order shall be served personally on the  | 
person or by registered or certified mail sent to the person's  | 
business address as shown in the latest notification to the  | 
Department. When such an order has been issued by the  | 
Director, the person may request an immediate hearing. | 
 (2) Before initiating hearing proceedings, the Director  | 
may issue an advisory letter to a violator of this Act or its  | 
rules and regulations when the violation points total 6 or  | 
less, as determined by the Department by the Use and Violation  | 
Criteria established in this Section. When the Department  | 
determines that the violation points total more than 6 but not  | 
more than 13, the Director shall issue a warning letter to the  | 
violator. | 
 (3) The hearing officer upon determination of a violation  | 
or violations shall assess one or more of the following  | 
penalties: | 
  (A) For any person applying pesticides without a  | 
 license or misrepresenting certification or failing to  | 
 comply with conditions of an agrichemical facility permit  | 
 or failing to comply with the conditions of a written  | 
 authorization for land application of agrichemical  | 
 contaminated soils or groundwater, a penalty of $500 shall  | 
 | 
 be assessed for the first offense and $1,000 for the  | 
 second and subsequent offenses. | 
  (B) For violations of a stop use order imposed by the  | 
 Director, the penalty shall be $2500. | 
  (C) For violations of a stop sale order imposed by the  | 
 Director, the penalty shall be $1500 for each individual  | 
 item of the product found in violation of the order. | 
  (D) For selling restricted use pesticides to a  | 
 non-certified applicator the penalty shall be $1000. | 
  (E) For selling restricted use pesticides without a  | 
 dealer's license the penalty shall be $1,000. | 
  (F) For constructing or operating without an  | 
 agrichemical facility permit after receiving written  | 
 notification, the penalty shall be $500 for the first  | 
 offense and $1,000 for the second and subsequent offenses. | 
  (F-5) For any person found by the Department to have  | 
 committed a use inconsistent with the label, as defined in  | 
 subsection 40 of Section 4, that results in human exposure  | 
 to a pesticide, the penalty shall be assessed in  | 
 accordance with this paragraph (F-5). The Department shall  | 
 impose a penalty under this paragraph (F-5) only if it  | 
 represents an amount greater than the penalty assessed  | 
 under paragraph subparagraph (G). The amount of the  | 
 penalty under this paragraph (F-5) is calculated as  | 
 follows: | 
   (a) If fewer than 3 humans are exposed, then the  | 
 | 
 penalty shall be $500 for each human exposed. | 
   (b) If 3 or more humans but fewer than 5 humans are  | 
 exposed, then the penalty shall be $750 for each human  | 
 exposed. | 
   (c) If 5 or more humans are exposed, then the  | 
 penalty shall be $1,250 for each human exposed. | 
  If a penalty is imposed under this paragraph (F-5),  | 
 the Department shall redetermine the total violation  | 
 points under subsection (4), less any points under  | 
 subsection (4) stemming from human exposure, and impose  | 
 any additional penalty under paragraph subparagraph (G)  | 
 based on the new total. The reassessed total shall not  | 
 affect any determination under subsection (2); any  | 
 determination under subsection (2) shall be determined by  | 
 the full application of points under subsection (4).  | 
  (G) For violations of the Act and rules and  | 
 regulations, administrative penalties will be based upon  | 
 the total violation points as determined by the Use and  | 
 Violation Criteria as set forth in subsection paragraph  | 
 (4) of this Section. The monetary penalties shall be as  | 
 follows: | 
|
 Total Violation Points | Monetary Penalties |  |
 14-16 | $750 |  |
 17-19 |  $1000 |  |
 20-21 |  $2500 |  |
 22-25 |  $5000 |  |
 
  | 
 | 
26-29 |  $7500 |  |
 30 and above | $10,000 |  
  | 
 (4) Subject to paragraph (F-5), the following Use and  | 
Violation Criteria establishes the point value which shall be  | 
compiled to determine the total violation points and  | 
administrative actions or monetary penalties to be imposed as  | 
set forth in paragraph (3)(G) of this Section: | 
  (A) Point values shall be assessed upon the harm or  | 
 loss incurred. | 
   (1) A point value of 1 shall be assessed for the  | 
 following: | 
    (a) Exposure to a pesticide by plants, animals  | 
 or humans with no symptoms or damage noted. | 
    (b) Fraudulent sales practices or  | 
 representations with no apparent monetary losses  | 
 involved. | 
   (2) A point value of 2 shall be assessed for  | 
 exposure the following: (a) Exposure to a pesticide  | 
 which resulted in: | 
    (a) (1) Plants or property showing signs of  | 
 damage, including, but not limited to, leaf curl,  | 
 burning, wilting, spotting, discoloration, or  | 
 dying. | 
    (b) (2) Garden produce or an agricultural crop  | 
 not being harvested on schedule. | 
    (c) (3) Fraudulent sales practices or  | 
 | 
 representations resulting in losses under $500. | 
   (3) A point value of 4 shall be assessed for the  | 
 following: | 
    (a) Exposure to a pesticide resulting in a  | 
 human experiencing headaches, nausea, eye  | 
 irritation, and such other symptoms which  | 
 persisted less than 3 days. | 
    (b) Plant or property damage resulting in a  | 
 loss below $1000. | 
    (c) Animals exhibiting symptoms of pesticide  | 
 poisoning, including, but not limited to, eye or  | 
 skin irritations or lack of coordination. | 
    (d) Death to less than 5 animals. | 
    (e) Fraudulent sales practices or  | 
 representations resulting in losses from $500 to  | 
 $2000. | 
   (4) A point value of 6 shall be assessed for the  | 
 following: | 
    (a) Exposure to a pesticide resulting in a  | 
 human experiencing headaches, nausea, eye  | 
 irritation, and such other symptoms which  | 
 persisted 3 or more days. | 
    (b) Plant or property damage resulting in a  | 
 loss of $1000 or more. | 
    (c) Death to 5 or more animals. | 
    (d) Fraudulent sales practices or  | 
 | 
 Section 510. The Electric Vehicle Rebate Act is amended by  | 
changing Section 40 as follows:
 | 
 (415 ILCS 120/40) | 
 Sec. 40. Appropriations from the Electric Vehicle Rebate  | 
Fund.   | 
 (a) The Agency shall estimate the amount of user fees  | 
expected to be collected under Section 35 of this Act for each  | 
fiscal year. User fee funds shall be deposited into and  | 
distributed from the Electric Vehicle Rebate Fund in the  | 
following manner:  | 
  (1) Through fiscal year 2023, an An annual amount not  | 
 to exceed $225,000 may be appropriated to the Agency from  | 
 the Electric Vehicle Rebate Fund to pay its costs of  | 
 administering the programs authorized by Section 27 of  | 
 this Act. Beginning in fiscal year 2024 and in each fiscal  | 
 year thereafter, an annual amount not to exceed $600,000  | 
 may be appropriated to the Agency from the Electric  | 
 Vehicle Rebate Fund to pay its costs of administering the  | 
 programs authorized by Section 27 of this Act. An amount  | 
 not to exceed $225,000 may be appropriated to the  | 
 Secretary of State from the Electric Vehicle Rebate Fund  | 
 to pay the Secretary of State's costs of administering the  | 
 programs authorized under this Act.  | 
  (2) In fiscal year 2022 and each fiscal year  | 
 thereafter, after appropriation of the amounts authorized  | 
 | 
 by item (1) of subsection (a) of this Section, the  | 
 remaining moneys estimated to be collected during each  | 
 fiscal year shall be appropriated.  | 
  (3) (Blank).  | 
  (4) Moneys appropriated to fund the programs  | 
 authorized in Sections 25 and 30 shall be expended only  | 
 after they have been collected and deposited into the  | 
 Electric Vehicle Rebate Fund. | 
 (b) General Revenue Fund amounts appropriated to and  | 
deposited into the Electric Vehicle Rebate Fund shall be  | 
distributed from the Electric Vehicle Rebate Fund to fund the  | 
program authorized in Section 27. | 
(Source: P.A. 102-662, eff. 9-15-21; 103-8, eff. 6-7-23;  | 
103-363, eff. 7-28-23; revised 9-6-23.)
 | 
 Section 515. The Radiation Protection Act of 1990 is  | 
amended by changing Section 6 as follows:
 | 
 (420 ILCS 40/6) (from Ch. 111 1/2, par. 210-6) | 
 (Section scheduled to be repealed on January 1, 2027) | 
 Sec. 6. Accreditation of administrators of radiation;  | 
limited scope accreditation; rules and regulations; education. | 
 (a) The Agency shall promulgate such rules and regulations  | 
as are necessary to establish accreditation standards and  | 
procedures, including a minimum course of education and  | 
continuing education requirements in the administration of  | 
 | 
radiation to human beings, which are appropriate to the  | 
classification of accreditation and which are to be met by all  | 
physician assistants, advanced practice registered nurses,  | 
nurses, technicians, or other assistants who administer  | 
radiation to human beings under the supervision of a person  | 
licensed under the Medical Practice Act of 1987. Such rules  | 
and regulations may provide for different classes of  | 
accreditation based on evidence of national certification,  | 
clinical experience or community hardship as conditions of  | 
initial and continuing accreditation. The rules and  | 
regulations of the Agency shall be consistent with national  | 
standards in regard to the protection of the health and safety  | 
of the general public. | 
 (b) The rules and regulations shall also provide that  | 
persons who have been accredited by the Agency, in accordance  | 
with the Radiation Protection Act of 1990, without passing an  | 
examination, will remain accredited as provided in Section 43  | 
of this Act and that those persons may be accredited, without  | 
passing an examination, to use other equipment, procedures, or  | 
supervision within the original category of accreditation if  | 
the Agency receives written assurances from a person licensed  | 
under the Medical Practice Act of 1987, that the person  | 
accredited has the necessary skill and qualifications for such  | 
additional equipment procedures or supervision. The Agency  | 
shall, in accordance with subsection (c) of this Section,  | 
provide for the accreditation of nurses, technicians, or other  | 
 | 
assistants, unless exempted elsewhere in this Act, to perform  | 
a limited scope of diagnostic radiography procedures of the  | 
chest, the extremities, skull and sinuses, or the spine, while  | 
under the supervision of a person licensed under the Medical  | 
Practice Act of 1987. | 
 (c) The rules or regulations promulgated by the Agency  | 
pursuant to subsection (a) shall establish standards and  | 
procedures for accrediting persons to perform a limited scope  | 
of diagnostic radiography procedures. The rules or regulations  | 
shall specify that an individual seeking accreditation for  | 
limited diagnostic radiography shall not apply ionizing  | 
radiation to human beings until the individual has passed an  | 
Agency-approved examination and is accredited by the Agency. | 
 For an individual to be accredited to perform a limited  | 
scope of diagnostic radiography procedures, he or she must  | 
pass an examination approved by the Agency. The examination  | 
shall be consistent with national standards in regard to  | 
protection of public health and safety. The examination shall  | 
consist of a standardized component covering general  | 
principles applicable to diagnostic radiography procedures and  | 
a clinical component specific to the types of procedures for  | 
which accreditation is being sought. The Agency may assess a  | 
reasonable fee for such examinations to cover any costs  | 
incurred by the Agency in conjunction with the examinations. | 
 (d) The Agency shall by rule or regulation exempt from  | 
accreditation physician assistants, advanced practice  | 
 | 
registered nurses, nurses, technicians, or other assistants  | 
who administer radiation to human beings under supervision of  | 
a person licensed to practice under the Medical Practice Act  | 
of 1987 when the services are performed on employees of a  | 
business at a medical facility owned and operated by the  | 
business. Such exemption shall only apply to the equipment,  | 
procedures, and supervision specific to the medical facility  | 
owned and operated by the business. | 
(Source: P.A. 103-155, eff. 1-1-24; revised 1-2-24.)
 | 
 Section 520. The Firearm Owners Identification Card Act is  | 
amended by changing Section 10 as follows:
 | 
 (430 ILCS 65/10) (from Ch. 38, par. 83-10) | 
 Sec. 10. Appeals; hearing; relief from firearm  | 
prohibitions.   | 
 (a) Whenever an application for a Firearm Owner's  | 
Identification Card is denied or whenever such a Card is  | 
revoked or seized as provided for in Section 8 of this Act, the  | 
aggrieved party may (1) file a record challenge with the  | 
Director regarding the record upon which the decision to deny  | 
or revoke the Firearm Owner's Identification Card was based  | 
under subsection (a-5); or (2) appeal to the Director of the  | 
Illinois State Police through December 31, 2022, or beginning  | 
January 1, 2023, the Firearm Owner's Identification Card  | 
Review Board for a hearing seeking relief from such denial or  | 
 | 
revocation unless the denial or revocation was based upon a  | 
forcible felony, stalking, aggravated stalking, domestic  | 
battery, any violation of the Illinois Controlled Substances  | 
Act, the Methamphetamine Control and Community Protection Act,  | 
or the Cannabis Control Act that is classified as a Class 2 or  | 
greater felony, any felony violation of Article 24 of the  | 
Criminal Code of 1961 or the Criminal Code of 2012, or any  | 
adjudication as a delinquent minor for the commission of an  | 
offense that if committed by an adult would be a felony, in  | 
which case the aggrieved party may petition the circuit court  | 
in writing in the county of his or her residence for a hearing  | 
seeking relief from such denial or revocation. | 
 (a-5) There is created a Firearm Owner's Identification  | 
Card Review Board to consider any appeal under subsection (a)  | 
beginning January 1, 2023, other than an appeal directed to  | 
the circuit court and except when the applicant is challenging  | 
the record upon which the decision to deny or revoke was based  | 
as provided in subsection (a-10). | 
  (0.05) In furtherance of the policy of this Act that  | 
 the Board shall exercise its powers and duties in an  | 
 independent manner, subject to the provisions of this Act  | 
 but free from the direction, control, or influence of any  | 
 other agency or department of State government. All  | 
 expenses and liabilities incurred by the Board in the  | 
 performance of its responsibilities hereunder shall be  | 
 paid from funds which shall be appropriated to the Board  | 
 | 
 by the General Assembly for the ordinary and contingent  | 
 expenses of the Board.  | 
  (1) The Board shall consist of 7 members appointed by  | 
 the Governor, with the advice and consent of the Senate,  | 
 with 3 members residing within the First Judicial District  | 
 and one member residing within each of the 4 remaining  | 
 Judicial Districts. No more than 4 members shall be  | 
 members of the same political party. The Governor shall  | 
 designate one member as the chairperson. The members shall  | 
 have actual experience in law, education, social work,  | 
 behavioral sciences, law enforcement, or community affairs  | 
 or in a combination of those areas.  | 
  (2) The terms of the members initially appointed after  | 
 January 1, 2022 (the effective date of Public Act 102-237)  | 
 shall be as follows: one of the initial members shall be  | 
 appointed for a term of one year, 3 shall be appointed for  | 
 terms of 2 years, and 3 shall be appointed for terms of 4  | 
 years. Thereafter, members shall hold office for 4 years,  | 
 with terms expiring on the second Monday in January  | 
 immediately following the expiration of their terms and  | 
 every 4 years thereafter. Members may be reappointed.  | 
 Vacancies in the office of member shall be filled in the  | 
 same manner as the original appointment, for the remainder  | 
 of the unexpired term. The Governor may remove a member  | 
 for incompetence, neglect of duty, malfeasance, or  | 
 inability to serve. Members shall receive compensation in  | 
 | 
 an amount equal to the compensation of members of the  | 
 Executive Ethics Commission and, beginning July 1, 2023,  | 
 shall be compensated from appropriations provided to the  | 
 Comptroller for this purpose. Members may be reimbursed,  | 
 from funds appropriated for such a purpose, for reasonable  | 
 expenses actually incurred in the performance of their  | 
 Board duties. The Illinois State Police shall designate an  | 
 employee to serve as Executive Director of the Board and  | 
 provide logistical and administrative assistance to the  | 
 Board.  | 
  (3) The Board shall meet at least quarterly each year  | 
 and at the call of the chairperson as often as necessary to  | 
 consider appeals of decisions made with respect to  | 
 applications for a Firearm Owner's Identification Card  | 
 under this Act. If necessary to ensure the participation  | 
 of a member, the Board shall allow a member to participate  | 
 in a Board meeting by electronic communication. Any member  | 
 participating electronically shall be deemed present for  | 
 purposes of establishing a quorum and voting. | 
  (4) The Board shall adopt rules for the review of  | 
 appeals and the conduct of hearings. The Board shall  | 
 maintain a record of its decisions and all materials  | 
 considered in making its decisions. All Board decisions  | 
 and voting records shall be kept confidential and all  | 
 materials considered by the Board shall be exempt from  | 
 inspection except upon order of a court. | 
 | 
  (5) In considering an appeal, the Board shall review  | 
 the materials received concerning the denial or revocation  | 
 by the Illinois State Police. By a vote of at least 4  | 
 members, the Board may request additional information from  | 
 the Illinois State Police or the applicant or the  | 
 testimony of the Illinois State Police or the applicant.  | 
 The Board may require that the applicant submit electronic  | 
 fingerprints to the Illinois State Police for an updated  | 
 background check if the Board determines it lacks  | 
 sufficient information to determine eligibility. The Board  | 
 may consider information submitted by the Illinois State  | 
 Police, a law enforcement agency, or the applicant. The  | 
 Board shall review each denial or revocation and determine  | 
 by a majority of members whether an applicant should be  | 
 granted relief under subsection (c). | 
  (6) The Board shall by order issue summary decisions.  | 
 The Board shall issue a decision within 45 days of  | 
 receiving all completed appeal documents from the Illinois  | 
 State Police and the applicant. However, the Board need  | 
 not issue a decision within 45 days if: | 
   (A) the Board requests information from the  | 
 applicant, including, but not limited to, electronic  | 
 fingerprints to be submitted to the Illinois State  | 
 Police, in accordance with paragraph (5) of this  | 
 subsection, in which case the Board shall make a  | 
 decision within 30 days of receipt of the required  | 
 | 
 information from the applicant; | 
   (B) the applicant agrees, in writing, to allow the  | 
 Board additional time to consider an appeal; or | 
   (C) the Board notifies the applicant and the  | 
 Illinois State Police that the Board needs an  | 
 additional 30 days to issue a decision. The Board may  | 
 only issue 2 extensions under this subparagraph (C).  | 
 The Board's notification to the applicant and the  | 
 Illinois State Police shall include an explanation for  | 
 the extension. | 
  (7) If the Board determines that the applicant is  | 
 eligible for relief under subsection (c), the Board shall  | 
 notify the applicant and the Illinois State Police that  | 
 relief has been granted and the Illinois State Police  | 
 shall issue the Card. | 
  (8) Meetings of the Board shall not be subject to the  | 
 Open Meetings Act and records of the Board shall not be  | 
 subject to the Freedom of Information Act. | 
  (9) The Board shall report monthly to the Governor and  | 
 the General Assembly on the number of appeals received and  | 
 provide details of the circumstances in which the Board  | 
 has determined to deny Firearm Owner's Identification  | 
 Cards under this subsection (a-5). The report shall not  | 
 contain any identifying information about the applicants.  | 
 (a-10) Whenever an applicant or cardholder is not seeking  | 
relief from a firearms prohibition under subsection (c) but  | 
 | 
rather does not believe the applicant is appropriately denied  | 
or revoked and is challenging the record upon which the  | 
decision to deny or revoke the Firearm Owner's Identification  | 
Card was based, or whenever the Illinois State Police fails to  | 
act on an application within 30 days of its receipt, the  | 
applicant shall file such challenge with the Director. The  | 
Director shall render a decision within 60 business days of  | 
receipt of all information supporting the challenge. The  | 
Illinois State Police shall adopt rules for the review of a  | 
record challenge.  | 
 (b) At least 30 days before any hearing in the circuit  | 
court, the petitioner shall serve the relevant State's  | 
Attorney with a copy of the petition. The State's Attorney may  | 
object to the petition and present evidence. At the hearing,  | 
the court shall determine whether substantial justice has been  | 
done. Should the court determine that substantial justice has  | 
not been done, the court shall issue an order directing the  | 
Illinois State Police to issue a Card. However, the court  | 
shall not issue the order if the petitioner is otherwise  | 
prohibited from obtaining, possessing, or using a firearm  | 
under federal law.  | 
 (c) Any person prohibited from possessing a firearm under  | 
Sections 24-1.1 or 24-3.1 of the Criminal Code of 2012 or  | 
acquiring a Firearm Owner's Identification Card under Section  | 
8 of this Act may apply to the Firearm Owner's Identification  | 
Card Review Board or petition the circuit court in the county  | 
 | 
where the petitioner resides, whichever is applicable in  | 
accordance with subsection (a) of this Section, requesting  | 
relief from such prohibition and the Board or court may grant  | 
such relief if it is established by the applicant to the  | 
court's or the Board's satisfaction that: | 
  (0.05) when in the circuit court, the State's Attorney  | 
 has been served with a written copy of the petition at  | 
 least 30 days before any such hearing in the circuit court  | 
 and at the hearing the State's Attorney was afforded an  | 
 opportunity to present evidence and object to the  | 
 petition; | 
  (1) the applicant has not been convicted of a forcible  | 
 felony under the laws of this State or any other  | 
 jurisdiction within 20 years of the applicant's  | 
 application for a Firearm Owner's Identification Card, or  | 
 at least 20 years have passed since the end of any period  | 
 of imprisonment imposed in relation to that conviction; | 
  (2) the circumstances regarding a criminal conviction,  | 
 where applicable, the applicant's criminal history and his  | 
 reputation are such that the applicant will not be likely  | 
 to act in a manner dangerous to public safety; | 
  (3) granting relief would not be contrary to the  | 
 public interest; and | 
  (4) granting relief would not be contrary to federal  | 
 law. | 
 (c-5) (1) An active law enforcement officer employed by a  | 
 | 
unit of government or a Department of Corrections employee  | 
authorized to possess firearms who is denied, revoked, or has  | 
his or her Firearm Owner's Identification Card seized under  | 
subsection (e) of Section 8 of this Act may apply to the  | 
Firearm Owner's Identification Card Review Board requesting  | 
relief if the officer or employee did not act in a manner  | 
threatening to the officer or employee, another person, or the  | 
public as determined by the treating clinical psychologist or  | 
physician, and as a result of his or her work is referred by  | 
the employer for or voluntarily seeks mental health evaluation  | 
or treatment by a licensed clinical psychologist,  | 
psychiatrist, or qualified examiner, and: | 
  (A) the officer or employee has not received treatment  | 
 involuntarily at a mental health facility, regardless of  | 
 the length of admission; or has not been voluntarily  | 
 admitted to a mental health facility for more than 30 days  | 
 and not for more than one incident within the past 5 years;  | 
 and | 
  (B) the officer or employee has not left the mental  | 
 institution against medical advice. | 
 (2) The Firearm Owner's Identification Card Review Board  | 
shall grant expedited relief to active law enforcement  | 
officers and employees described in paragraph (1) of this  | 
subsection (c-5) upon a determination by the Board that the  | 
officer's or employee's possession of a firearm does not  | 
present a threat to themselves, others, or public safety. The  | 
 | 
Board shall act on the request for relief within 30 business  | 
days of receipt of: | 
  (A) a notarized statement from the officer or employee  | 
 in the form prescribed by the Board detailing the  | 
 circumstances that led to the hospitalization; | 
  (B) all documentation regarding the admission,  | 
 evaluation, treatment and discharge from the treating  | 
 licensed clinical psychologist or psychiatrist of the  | 
 officer; | 
  (C) a psychological fitness for duty evaluation of the  | 
 person completed after the time of discharge; and | 
  (D) written confirmation in the form prescribed by the  | 
 Board from the treating licensed clinical psychologist or  | 
 psychiatrist that the provisions set forth in paragraph  | 
 (1) of this subsection (c-5) have been met, the person  | 
 successfully completed treatment, and their professional  | 
 opinion regarding the person's ability to possess  | 
 firearms. | 
 (3) Officers and employees eligible for the expedited  | 
relief in paragraph (2) of this subsection (c-5) have the  | 
burden of proof on eligibility and must provide all  | 
information required. The Board may not consider granting  | 
expedited relief until the proof and information is received. | 
 (4) "Clinical psychologist", "psychiatrist", and  | 
"qualified examiner" shall have the same meaning as provided  | 
in Chapter I of the Mental Health and Developmental  | 
 | 
Disabilities Code.  | 
 (c-10) (1) An applicant, who is denied, revoked, or has  | 
his or her Firearm Owner's Identification Card seized under  | 
subsection (e) of Section 8 of this Act based upon a  | 
determination of a developmental disability or an intellectual  | 
disability may apply to the Firearm Owner's Identification  | 
Card Review Board requesting relief. | 
 (2) The Board shall act on the request for relief within 60  | 
business days of receipt of written certification, in the form  | 
prescribed by the Board, from a physician or clinical  | 
psychologist, or qualified examiner, that the aggrieved  | 
party's developmental disability or intellectual disability  | 
condition is determined by a physician, clinical psychologist,  | 
or qualified to be mild. If a fact-finding conference is  | 
scheduled to obtain additional information concerning the  | 
circumstances of the denial or revocation, the 60 business  | 
days the Director has to act shall be tolled until the  | 
completion of the fact-finding conference. | 
 (3) The Board may grant relief if the aggrieved party's  | 
developmental disability or intellectual disability is mild as  | 
determined by a physician, clinical psychologist, or qualified  | 
examiner and it is established by the applicant to the Board's  | 
satisfaction that: | 
  (A) granting relief would not be contrary to the  | 
 public interest; and | 
  (B) granting relief would not be contrary to federal  | 
 | 
 law. | 
 (4) The Board may not grant relief if the condition is  | 
determined by a physician, clinical psychologist, or qualified  | 
examiner to be moderate, severe, or profound. | 
 (5) The changes made to this Section by Public Act 99-29  | 
apply to requests for relief pending on or before July 10, 2015  | 
(the effective date of Public Act 99-29), except that the  | 
60-day period for the Director to act on requests pending  | 
before the effective date shall begin on July 10, 2015 (the  | 
effective date of Public Act 99-29). All appeals as provided  | 
in subsection (a-5) pending on January 1, 2023 shall be  | 
considered by the Board.  | 
 (d) When a minor is adjudicated delinquent for an offense  | 
which if committed by an adult would be a felony, the court  | 
shall notify the Illinois State Police. | 
 (e) The court shall review the denial of an application or  | 
the revocation of a Firearm Owner's Identification Card of a  | 
person who has been adjudicated delinquent for an offense that  | 
if committed by an adult would be a felony if an application  | 
for relief has been filed at least 10 years after the  | 
adjudication of delinquency and the court determines that the  | 
applicant should be granted relief from disability to obtain a  | 
Firearm Owner's Identification Card. If the court grants  | 
relief, the court shall notify the Illinois State Police that  | 
the disability has been removed and that the applicant is  | 
eligible to obtain a Firearm Owner's Identification Card. | 
 | 
 (f) Any person who is subject to the disabilities of 18  | 
U.S.C. 922(d)(4) and 922(g)(4) of the federal Gun Control Act  | 
of 1968 because of an adjudication or commitment that occurred  | 
under the laws of this State or who was determined to be  | 
subject to the provisions of subsections (e), (f), or (g) of  | 
Section 8 of this Act may apply to the Illinois State Police  | 
requesting relief from that prohibition. The Board shall grant  | 
the relief if it is established by a preponderance of the  | 
evidence that the person will not be likely to act in a manner  | 
dangerous to public safety and that granting relief would not  | 
be contrary to the public interest. In making this  | 
determination, the Board shall receive evidence concerning (i)  | 
the circumstances regarding the firearms disabilities from  | 
which relief is sought; (ii) the petitioner's mental health  | 
and criminal history records, if any; (iii) the petitioner's  | 
reputation, developed at a minimum through character witness  | 
statements, testimony, or other character evidence; and (iv)  | 
changes in the petitioner's condition or circumstances since  | 
the disqualifying events relevant to the relief sought. If  | 
relief is granted under this subsection or by order of a court  | 
under this Section, the Director shall as soon as practicable  | 
but in no case later than 15 business days, update, correct,  | 
modify, or remove the person's record in any database that the  | 
Illinois State Police makes available to the National Instant  | 
Criminal Background Check System and notify the United States  | 
Attorney General that the basis for the record being made  | 
 | 
available no longer applies. The Illinois State Police shall  | 
adopt rules for the administration of this Section. | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
102-645, eff. 1-1-22; 102-813, eff. 5-13-22; 102-1115, eff.  | 
1-9-23; 102-1129, eff. 2-10-23; revised 2-28-23.)
 | 
 Section 525. The Children's Product Safety Act is amended  | 
by changing Section 10 as follows:
 | 
 (430 ILCS 125/10) | 
 Sec. 10. Definitions. In this Act: | 
 (a) "Children's product" means a product, including, but  | 
not limited to, a full-size crib, non-full-size crib, toddler  | 
bed, bed, car seat, chair, high chair, booster chair, hook-on  | 
chair, bath seat, gate or other enclosure for confining a  | 
child, play yard, stationary activity center, carrier,  | 
stroller, walker, swing, or toy or play equipment, that meets  | 
the following criteria: | 
  (i) the product is designed or intended for the care  | 
 of, or use by, any child under age 12; and | 
  (ii) the product is designed or intended to come into  | 
 contact with the child while the product is used. | 
 Notwithstanding any other provision of this Section, a  | 
product is not a "children's product" for purposes of this Act  | 
if: | 
  (I) it may be used by or for the care of a child under  | 
 | 
 age 9, but it is designed or intended for use by the  | 
 general population or segments of the general population  | 
 and not solely or primarily for use by or the care of a  | 
 child; or | 
  (II) it is a medication, drug, or food or is intended  | 
 to be ingested.  | 
 (b) "Commercial dealer" means any person who deals in  | 
children's products or who otherwise by one's occupation holds  | 
oneself out as having knowledge or skill peculiar to  | 
children's products, or any person who is in the business of  | 
remanufacturing, retrofitting, selling, leasing, subletting,  | 
or otherwise placing in the stream of commerce children's  | 
products. | 
 (b-5) "Manufacturer" means any person who makes and places  | 
into the stream of commerce a children's product as defined by  | 
this Act. | 
 (b-10) "Importer" means any person who brings into this  | 
country and places into the stream of commerce a children's  | 
product. | 
 (b-15) "Distributor" and "wholesaler" means any person,  | 
other than a manufacturer or retailer, who sells or resells or  | 
otherwise places into the stream of commerce a children's  | 
product. | 
 (b-20) "Retailer" means any person other than a  | 
manufacturer, distributor, or wholesaler who sells, leases, or  | 
sublets children's products. | 
 | 
 (b-25) "First seller" means any retailer selling a  | 
children's product that has not been used or has not  | 
previously been owned. A first seller does not include an  | 
entity such as a second-hand or resale store.  | 
 (c) "Person" means a natural person, firm, corporation,  | 
limited liability company, or association, or an employee or  | 
agent of a natural person or an entity included in this  | 
definition. | 
 (d) "Infant" means any person less than 35 inches tall and  | 
less than 3 years of age. | 
 (e) "Crib" means a bed or containment designed to  | 
accommodate an infant. | 
 (f) "Full-size crib" means a full-size crib as defined in  | 
Section 1508.3 of Title 16 of the Code of Federal Regulations  | 
regarding the requirements for full-size cribs. | 
 (g) "Non-full-size crib" means a non-full-size crib as  | 
defined in Section 1509.2 of Title 16 of the Code of Federal  | 
Regulations regarding the requirements for non-full-size  | 
cribs. | 
 (h) "End consumer" means a person who purchases a  | 
children's product for any purpose other than resale.  | 
(Source: P.A. 103-44, eff. 1-1-24; revised 1-2-24.)
 | 
 Section 530. The Wildlife Code is amended by changing  | 
Sections 2.36, 2.37, and 3.5 as follows:
 | 
 | 
 (520 ILCS 5/2.36) (from Ch. 61, par. 2.36) | 
 Sec. 2.36. It shall be unlawful to buy, sell, or barter, or  | 
offer to buy, sell, or barter, and for a commercial  | 
institution, other than a regularly operated refrigerated  | 
storage establishment, to have in its possession any of the  | 
wild birds, or any part thereof (and their eggs), or wild  | 
mammals or any parts thereof, protected by this Act unless  | 
done as hereinafter provided: | 
 Game birds or any parts thereof (and their eggs), may be  | 
held, possessed, raised and sold, or otherwise dealt with, as  | 
provided in Section 3.23 of this Act or when legally produced  | 
under similar special permit in another state or country and  | 
legally transported into the State of Illinois; provided that  | 
such imported game birds or any parts thereof, shall be marked  | 
with permanent irremovable tags, or similar devices, to  | 
establish and retain their origin and identity; | 
 Rabbits may be legally taken and possessed as provided in  | 
Sections 3.23, 3.24, and 3.26 of this Act; | 
 Deer, or any parts thereof, may be held, possessed, sold  | 
or otherwise dealt with as provided in this Section and  | 
Sections 3.23 and 3.24 of this Act; | 
 If a properly tagged deer is processed at a licensed meat  | 
processing facility, the meat processor at the facility is an  | 
active member of the Illinois Sportsmen Against Hunger  | 
program, and the owner of the deer (i) fails to claim the  | 
processed deer within a reasonable time or (ii) notifies the  | 
 | 
licensed meat processing facility that the owner no longer  | 
wants the processed deer, then the deer meat may be given away  | 
by the licensed meat processor to another person or donated to  | 
any other charitable organization or community food bank that  | 
receives wild game meat. The licensed meat processing facility  | 
may charge the person receiving the deer meat a reasonable and  | 
customary processing fee;  | 
 Meat processors who are active members of the Illinois  | 
Sportsmen Against Hunger program shall keep written records of  | 
all deer received. Records shall include the following  | 
information:  | 
  (1) the date the deer was received; | 
  (2) the name, address, and telephone number of the  | 
 person from whom the deer was received; | 
  (3) whether the deer was received as a whole carcass  | 
 or as deboned meat; if the deer was brought to the meat  | 
 processor as deboned meat, the processor shall include the  | 
 weight of the meat; | 
  (4) the number and state of issuance of the permit of  | 
 the person from whom the deer was received; in the absence  | 
 of a permit number, the meat processor may rely on the  | 
 written certification of the person from whom the deer was  | 
 received that the deer was legally taken or obtained; and | 
  (5) if the person who originally delivered the deer to  | 
 the meat processor fails to collect or make arrangements  | 
 for the packaged deer meat to be collected and the meat  | 
 | 
 processor gives all or part of the unclaimed deer meat to  | 
 another person, the meat processor shall maintain a record  | 
 of the exchange; the meat processor's records shall  | 
 include the customer's name, physical address, telephone  | 
 number, as well as the quantity and type of deer meat given  | 
 to the customer. The meat processor shall also include the  | 
 amount of compensation received for the deer meat in his  | 
 or her records. | 
 Meat processor records for unclaimed deer meat shall be  | 
open for inspection by any peace officer at any reasonable  | 
hour. Meat processors shall maintain records for a period of 2  | 
years after the date of receipt of the wild game or for as long  | 
as the specimen or meat remains in the meat processors  | 
possession, whichever is longer; | 
 No meat processor shall have in his or her possession any  | 
deer that is not listed in his or her written records and  | 
properly tagged or labeled; | 
 All licensed meat processors who ship any deer or parts of  | 
deer that have been held, possessed, or otherwise dealt with  | 
shall tag or label the shipment, and the tag or label shall  | 
state the name of the meat processor; | 
 Nothing in this Section removes meat processors from  | 
responsibility for the observance of any State or federal  | 
laws, rules, or regulations that may apply to the meat  | 
processing business;  | 
 Fur-bearing mammals, or any parts thereof, may be held,  | 
 | 
possessed, sold or otherwise dealt with as provided in  | 
Sections 3.16, 3.24, and 3.26 of this Act or when legally taken  | 
and possessed in Illinois or legally taken and possessed in  | 
and transported from other states or countries; | 
 It is unlawful for any person to act as a nuisance wildlife  | 
control operator for fee or compensation without a permit as  | 
provided in subsection subsection (b) of Section 2.37 of this  | 
Act unless such trapping is in compliance with Section 2.30.  | 
 The inedible parts of game mammals may be held, possessed,  | 
sold, or otherwise dealt with when legally taken, in Illinois  | 
or legally taken and possessed in and transported from other  | 
states or countries. | 
 Failure to establish proof of the legality of possession  | 
in another state or country and importation into the State of  | 
Illinois, shall be prima facie evidence that such game birds  | 
or any parts thereof, and their eggs, game mammals and  | 
fur-bearing mammals, or any parts thereof, were taken within  | 
the State of Illinois. | 
(Source: P.A. 103-37, eff. 6-9-23; revised 9-20-23.)
 | 
 (520 ILCS 5/2.37) (from Ch. 61, par. 2.37) | 
 Sec. 2.37. Authority to kill wildlife responsible for  | 
damage.  | 
 (a) Subject to federal regulations and Section 3 of the  | 
Illinois Endangered Species Protection Act, the Department may  | 
authorize owners and tenants of lands or their agents, who are  | 
 | 
performing the service without fee or compensation, to remove  | 
or destroy any wild bird or wild mammal when the wild bird or  | 
wild mammal is known to be destroying property or causing a  | 
risk to human health or safety upon his or her land. | 
 Upon receipt by the Department of information from the  | 
owner, tenant, or sharecropper that any one or more species of  | 
wildlife is damaging dams, levees, ditches, cattle pastures,  | 
or other property on the land on which he resides or controls,  | 
together with a statement regarding location of the property  | 
damages, the nature and extent of the damage, and the  | 
particular species of wildlife committing the damage, the  | 
Department shall make an investigation. | 
 If, after investigation, the Department finds that damage  | 
does exist and can be abated only by removing or destroying  | 
that wildlife, a permit shall be issued by the Department to  | 
remove or destroy the species responsible for causing the  | 
damage. | 
 A permit to control the damage shall be for a period of up  | 
to 90 days, shall specify the means and methods by which and  | 
the person or persons by whom the wildlife may be removed or  | 
destroyed, without fee or compensation, and shall set forth  | 
the disposition procedure to be made of all wildlife taken and  | 
other restrictions the Director considers necessary and  | 
appropriate in the circumstances of the particular case.  | 
Whenever possible, the specimens destroyed shall be given to a  | 
bona fide bona-fide public or State scientific, educational,  | 
 | 
or zoological institution. | 
 The permittee shall advise the Department in writing,  | 
within 10 days after the expiration date of the permit, of the  | 
number of individual species of wildlife taken, disposition  | 
made of them, and any other information which the Department  | 
may consider necessary. | 
 (b) Subject to federal regulations and Section 3 of the  | 
Illinois Endangered Species Protection Act, the Department may  | 
grant the authority to control species protected by this Code  | 
pursuant to the issuance of a Nuisance Wildlife Control Permit  | 
to: | 
  (1) any person who is providing such service for a fee  | 
 or compensation;  | 
  (2) a governmental body; or | 
  (3) a nonprofit or other charitable organization. | 
 The Department shall set forth applicable regulations in  | 
an Administrative Order and may require periodic reports  | 
listing species taken, numbers of each species taken, dates  | 
when taken, and other pertinent information. | 
 Any person operating under a Nuisance Wildlife Control  | 
Permit who subcontracts the operation of nuisance wildlife  | 
control to another shall ensure that such subcontractor  | 
possesses a valid Nuisance Wildlife Control Permit issued by  | 
the Department. The person must maintain a record of the  | 
subcontractor including the subcontractor's name, address, and  | 
phone number, and type of work to be performed, for a period of  | 
 | 
not less than 2 years from the date the subcontractor is no  | 
longer performing services on behalf of the person. The  | 
records shall be presented to an authorized employee of the  | 
Department or law enforcement officer upon request for  | 
inspection.  | 
 Any person operating without the required permit as  | 
outlined under this subsection (b) or in violation of this  | 
subsection (b) is deemed to be taking, attempting to take,  | 
disturbing, or harassing wildlife contrary to the provisions  | 
of this Code, including the taking or attempting to take such  | 
species for commercial purposes as outlined in Sections 2.36  | 
and 2.36a of this Code. Any devices and equipment, including  | 
vehicles, used in violation of this subsection (b) may be  | 
subject to the provisions of Section 1.25 of this Code.  | 
 (c) Except when operating under subsection (b) of this  | 
Section, drainage districts district fur trapping unless  | 
otherwise instructed by the Department district This authority  | 
only extends to control of beavers. Any other protected  | 
species must be controlled pursuant to subsection (b) or (c).  | 
 (c) The location of traps or snares authorized under this  | 
Section, either by the Department or any other governmental  | 
body with the authority to control species protected by this  | 
Code, shall be exempt from the provisions of the Freedom of  | 
Information Act.  | 
 (d) A drainage district or road district or the designee  | 
of a drainage district or road district shall be exempt from  | 
 | 
the requirement to obtain a permit to control nuisance  | 
muskrats or beavers if all applicable provisions for licenses  | 
are complied with and any trap types and sizes used are in  | 
compliance with this Code Act, including marking or  | 
identification. The designee of a drainage district or road  | 
district must have a signed and dated written authorization  | 
from the drainage district or road district in possession at  | 
all times when conducting activities under this Section. This  | 
exemption from obtaining a permit shall be valid only upon  | 
property owned, leased, or controlled by the drainage district  | 
or road district. For the purposes of this Section, "road  | 
district" includes a township road district.  | 
(Source: P.A. 102-524, eff. 8-20-21; 103-37, eff. 6-9-23;  | 
103-225, eff. 6-30-23; revised 8-28-23.)
 | 
 (520 ILCS 5/3.5) (from Ch. 61, par. 3.5) | 
 Sec. 3.5. Penalties; probation.  | 
 (a) Any person who violates any of the provisions of  | 
Section 2.36a, including administrative rules, shall be guilty  | 
of a Class 3 felony, except as otherwise provided in  | 
subsection (b) of this Section and subsection (a) of Section  | 
2.36a. | 
 (b) Whenever any person who has not previously been  | 
convicted of, or placed on probation or court supervision for,  | 
any offense under Section 1.22, 2.36, or 2.36a, operating  | 
without a permit as prescribed in subsection (b) of Section  | 
 | 
2.37, or an offense under subsection (i) or (cc) of Section  | 
2.33, the court may, without entering a judgment and with the  | 
person's consent, sentence the person to probation for a  | 
violation of Section 2.36a. | 
  (1) When a person is placed on probation, the court  | 
 shall enter an order specifying a period of probation of  | 
 24 months and shall defer further proceedings in the case  | 
 until the conclusion of the period or until the filing of a  | 
 petition alleging violation of a term or condition of  | 
 probation. | 
  (2) The conditions of probation shall be that the  | 
 person: | 
   (A) Not violate any criminal statute of any  | 
 jurisdiction. | 
   (B) Perform no less than 30 hours of community  | 
 service, provided community service is available in  | 
 the jurisdiction and is funded and approved by the  | 
 county board. | 
  (3) The court may, in addition to other conditions: | 
   (A) Require that the person make a report to and  | 
 appear in person before or participate with the court  | 
 or courts, person, or social service agency as  | 
 directed by the court in the order of probation. | 
   (B) Require that the person pay a fine and costs. | 
   (C) Require that the person refrain from  | 
 possessing a firearm or other dangerous weapon. | 
 | 
   (D) Prohibit the person from associating with any  | 
 person who is actively engaged in any of the  | 
 activities regulated by the permits issued or  | 
 privileges granted by the Department of Natural  | 
 Resources. | 
  (4) Upon violation of a term or condition of  | 
 probation, the court may enter a judgment on its original  | 
 finding of guilt and proceed as otherwise provided. | 
  (5) Upon fulfillment of the terms and conditions of  | 
 probation, the court shall discharge the person and  | 
 dismiss the proceedings against the person. | 
  (6) A disposition of probation is considered to be a  | 
 conviction for the purposes of imposing the conditions of  | 
 probation, for appeal, and for administrative revocation  | 
 and suspension of licenses and privileges; however,  | 
 discharge and dismissal under this Section is not a  | 
 conviction for purposes of disqualification or  | 
 disabilities imposed by law upon conviction of a crime. | 
  (7) Discharge and dismissal under this Section may  | 
 occur only once with respect to any person. | 
  (8) If a person is convicted of an offense under this  | 
 Act within 5 years subsequent to a discharge and dismissal  | 
 under this Section, the discharge and dismissal under this  | 
 Section shall be admissible in the sentencing proceeding  | 
 for that conviction as a factor in aggravation. | 
  (9) The Circuit Clerk shall notify the Illinois State  | 
 | 
 Police of all persons convicted of or placed under  | 
 probation for violations of Section 2.36a. | 
 (c) Any person who violates any of the provisions of  | 
Sections 2.9, 2.11, 2.16, 2.18, 2.24, 2.25, 2.26, 2.29, 2.30,  | 
2.31, 2.32, 2.33 (except subsections (g), (i), (o), (p), (y),  | 
and (cc)), 2.33-1, 2.33a, 3.3, 3.4, 3.11 through 3.16, 3.19,  | 
3.20, 3.21 (except subsections (b), (c), (d), (e), (f), (f.5),  | 
(g), (h), and (i)), 3.24, 3.25, and 3.26 (except subsection  | 
(f)), including administrative rules, shall be guilty of a  | 
Class B misdemeanor. | 
 A person who violates Section 2.33b by using any computer  | 
software or service to remotely control a weapon that takes  | 
wildlife by remote operation is guilty of a Class B  | 
misdemeanor. A person who violates Section 2.33b by  | 
facilitating a violation of Section 2.33b, including an owner  | 
of land in which remote control hunting occurs, a computer  | 
programmer who designs a program or software to facilitate  | 
remote control hunting, or a person who provides weapons or  | 
equipment to facilitate remote control hunting, is guilty of a  | 
Class A misdemeanor. | 
 Any person who violates any of the provisions of Sections  | 
1.22, 2.2a, 2.3, 2.4, 2.36, and 2.38, including administrative  | 
rules, shall be guilty of a Class A misdemeanor. Any second or  | 
subsequent violations of Sections 2.4 and 2.36 shall be a  | 
Class 4 felony. | 
 Any person who violates any of the provisions of this Act,  | 
 | 
including administrative rules, during such period when his  | 
license, privileges, or permit is revoked or denied by virtue  | 
of Section 3.36, shall be guilty of a Class A misdemeanor. | 
 Any person who violates subsection (g), (i), (o), (p),  | 
(y), or (cc) of Section 2.33 shall be guilty of a Class A  | 
misdemeanor and subject to a fine of no less than $500 and no  | 
more than $5,000 in addition to other statutory penalties. In  | 
addition, the Department shall suspend the privileges, under  | 
this Act, of any person found guilty of violating subsection  | 
(cc) of Section 2.33(cc) for a period of not less than one  | 
year. | 
 Any person who operates without a permit in violation of  | 
subsection (b) of Section 2.37 is guilty of a Class A  | 
misdemeanor and subject to a fine of not less than $500. Any  | 
other violation of subsection (b) of Section 2.37, including  | 
administrative rules, is a Class B misdemeanor.  | 
 Any person who violates any other of the provisions of  | 
this Act including administrative rules, unless otherwise  | 
stated, shall be guilty of a petty offense. Offenses committed  | 
by minors under the direct control or with the consent of a  | 
parent or guardian may subject the parent or guardian to the  | 
penalties prescribed in this Section. | 
 In addition to any fines imposed pursuant to the  | 
provisions of this Section or as otherwise provided in this  | 
Act, any person found guilty of unlawfully taking or  | 
possessing any species protected by this Act, shall be  | 
 | 
assessed a civil penalty for such species in accordance with  | 
the values prescribed in Section 2.36a of this Act. This civil  | 
penalty shall be imposed by the Circuit Court for the county  | 
within which the offense was committed at the time of the  | 
conviction. Any person found guilty of violating subsection  | 
(b) of Section 2.37 is subject to an additional civil penalty  | 
of up to $1,500. All penalties provided for in this Section  | 
shall be remitted to the Department in accordance with the  | 
same provisions provided for in Section 1.18 of this Act,  | 
except that civil penalties collected for violation of  | 
subsection Subsection (b) of Section 2.37 shall be remitted to  | 
the Department and allocated as follows: | 
  (1) 60% to the Conservation Police Operations  | 
 Assistance Fund; and | 
  (2) 40% to the Illinois Habitat Fund.  | 
(Source: P.A. 102-538, eff. 8-20-21; 103-37, eff. 6-9-23;  | 
revised 9-26-23.)
 | 
 Section 535. The Illinois Highway Code is amended by  | 
changing Section 6-901 as follows:
 | 
 (605 ILCS 5/6-901) (from Ch. 121, par. 6-901) | 
 Sec. 6-901. Annually, the General Assembly shall  | 
appropriate to the Department of Transportation from the Road  | 
Fund road fund, the General Revenue Fund general revenue fund,  | 
any other State funds, or a combination of those funds,  | 
 | 
$60,000,000 for apportionment to counties for the use of road  | 
districts for the construction of bridges 20 feet or more in  | 
length, as provided in Sections 6-902 through 6-905. | 
 The Department of Transportation shall apportion among the  | 
several counties of this State for the use of road districts  | 
the amounts appropriated under this Section. The amount  | 
apportioned to a county shall be in the proportion which the  | 
total mileage of township or district roads in the county  | 
bears to the total mileage of all township and district roads  | 
in the State. Each county shall allocate to the several road  | 
districts in the county the funds so apportioned to the  | 
county. The allocation to road districts shall be made in the  | 
same manner and be subject to the same conditions and  | 
qualifications as are provided by Section 8 of the "Motor Fuel  | 
Tax Law", approved March 25, 1929, as amended, with respect to  | 
the allocation to road districts of the amount allotted from  | 
the Motor Fuel Tax Fund for apportionment to counties for the  | 
use of road districts, but no allocation shall be made to any  | 
road district that has not levied taxes for road and bridge  | 
purposes and for bridge construction purposes at the maximum  | 
rates permitted by Sections 6-501, 6-508, and 6-512 of this  | 
Act, without referendum. "Road district" and "township or  | 
district road" have the meanings ascribed to those terms in  | 
this Act. | 
 Road districts in counties in which a property tax  | 
extension limitation is imposed under the Property Tax  | 
 | 
Extension Limitation Law that are made ineligible for receipt  | 
of this appropriation due to the imposition of a property tax  | 
extension limitation may become eligible if, at the time the  | 
property tax extension limitation was imposed, the road  | 
district was levying at the required rate and continues to  | 
levy the maximum allowable amount after the imposition of the  | 
property tax extension limitation. The road district also  | 
becomes eligible if it levies at or above the rate required for  | 
eligibility by Section 8 of the Motor Fuel Tax Law. | 
 The amounts apportioned under this Section for allocation  | 
to road districts may be used only for bridge construction as  | 
provided in this Division. So much of those amounts as are not  | 
obligated under Sections 6-902 through 6-904 and for which  | 
local funds have not been committed under Section 6-905 within  | 
48 months of the date when such apportionment is made lapses  | 
and shall not be paid to the county treasurer for distribution  | 
to road districts. | 
(Source: P.A. 103-8, eff. 6-7-23; revised 9-25-23.)
 | 
 Section 540. The Illinois Vehicle Code is amended by  | 
changing Sections 2-119, 3-699.14, 6-103, 6-106.1, 6-118,  | 
6-508.5, 7-315, 11-208.6, and 11-305 as follows:
 | 
 (625 ILCS 5/2-119) (from Ch. 95 1/2, par. 2-119) | 
 Sec. 2-119. Disposition of fees and taxes.  | 
 (a) All moneys received from Salvage Certificates shall be  | 
 | 
deposited in the Common School Fund in the State treasury  | 
Treasury. | 
 (b) Of the money collected for each certificate of title,  | 
duplicate certificate of title, and corrected certificate of  | 
title: | 
  (1) $2.60 shall be deposited in the Park and  | 
 Conservation Fund; | 
  (2) $0.65 shall be deposited in the Illinois Fisheries  | 
 Management Fund; | 
  (3) $48 shall be disbursed under subsection (g) of  | 
 this Section; | 
  (4) $4 shall be deposited into the Motor Vehicle  | 
 License Plate Fund; | 
  (5) $30 shall be deposited into the Capital Projects  | 
 Fund; and | 
  (6) $10 shall be deposited into the Secretary of State  | 
 Special Services Fund.  | 
 All remaining moneys collected for certificates of title,  | 
and all moneys collected for filing of security interests,  | 
shall be deposited in the General Revenue Fund. | 
 The $20 collected for each delinquent vehicle registration  | 
renewal fee shall be deposited into the General Revenue Fund. | 
 The moneys deposited in the Park and Conservation Fund  | 
under this Section shall be used for the acquisition and  | 
development of bike paths as provided for in Section 805-420  | 
of the Department of Natural Resources (Conservation) Law of  | 
 | 
the Civil Administrative Code of Illinois. The moneys  | 
deposited into the Park and Conservation Fund under this  | 
subsection shall not be subject to administrative charges or  | 
chargebacks, unless otherwise authorized by this Code. | 
 If the balance in the Motor Vehicle License Plate Fund  | 
exceeds $40,000,000 on the last day of a calendar month, then  | 
during the next calendar month, the $4 that otherwise would be  | 
deposited in that fund shall instead be deposited into the  | 
Road Fund.  | 
 (c) All moneys collected for that portion of a driver's  | 
license fee designated for driver education under Section  | 
6-118 shall be placed in the Drivers Education Fund in the  | 
State treasury Treasury. | 
 (d) Of the moneys collected as a registration fee for each  | 
motorcycle, motor driven cycle, and moped, 27% shall be  | 
deposited in the Cycle Rider Safety Training Fund. | 
 (e) (Blank). | 
 (f) Of the total money collected for a commercial  | 
learner's permit (CLP) or original or renewal issuance of a  | 
commercial driver's license (CDL) pursuant to the Uniform  | 
Commercial Driver's License Act (UCDLA): (i) $6 of the total  | 
fee for an original or renewal CDL, and $6 of the total CLP fee  | 
when such permit is issued to any person holding a valid  | 
Illinois driver's license, shall be paid into the  | 
CDLIS/AAMVAnet/NMVTIS Trust Fund (Commercial Driver's License  | 
Information System/American Association of Motor Vehicle  | 
 | 
Administrators network/National Motor Vehicle Title  | 
Information Service Trust Fund) and shall be used for the  | 
purposes provided in Section 6z-23 of the State Finance Act  | 
and (ii) $20 of the total fee for an original or renewal CDL or  | 
CLP shall be paid into the Motor Carrier Safety Inspection  | 
Fund, which is hereby created as a special fund in the State  | 
treasury Treasury, to be used by the Illinois State Police,  | 
subject to appropriation, to hire additional officers to  | 
conduct motor carrier safety inspections pursuant to Chapter  | 
18b of this Code. | 
 (g) Of the moneys received by the Secretary of State as  | 
registration fees or taxes, certificates of title, duplicate  | 
certificates of title, corrected certificates of title, or as  | 
payment of any other fee under this Code, when those moneys are  | 
not otherwise distributed by this Code, 37% shall be deposited  | 
into the State Construction Account Fund, and 63% shall be  | 
deposited in the Road Fund. Moneys in the Road Fund shall be  | 
used for the purposes provided in Section 8.3 of the State  | 
Finance Act. | 
 (h) (Blank). | 
 (i) (Blank). | 
 (j) (Blank). | 
 (k) There is created in the State treasury Treasury a  | 
special fund to be known as the Secretary of State Special  | 
License Plate Fund. Money deposited into the Fund shall,  | 
subject to appropriation, be used by the Office of the  | 
 | 
Secretary of State (i) to help defray plate manufacturing and  | 
plate processing costs for the issuance and, when applicable,  | 
renewal of any new or existing registration plates authorized  | 
under this Code and (ii) for grants made by the Secretary of  | 
State to benefit Illinois Veterans Home libraries. | 
 (l) The Motor Vehicle Review Board Fund is created as a  | 
special fund in the State treasury Treasury. Moneys deposited  | 
into the Fund under paragraph (7) of subsection (b) of Section  | 
5-101 and Section 5-109 shall, subject to appropriation, be  | 
used by the Office of the Secretary of State to administer the  | 
Motor Vehicle Review Board, including, without limitation,  | 
payment of compensation and all necessary expenses incurred in  | 
administering the Motor Vehicle Review Board under the Motor  | 
Vehicle Franchise Act. | 
 (m) Effective July 1, 1996, there is created in the State  | 
treasury Treasury a special fund to be known as the Family  | 
Responsibility Fund. Moneys deposited into the Fund shall,  | 
subject to appropriation, be used by the Office of the  | 
Secretary of State for the purpose of enforcing the Illinois  | 
Safety and Family Financial Responsibility Law. | 
 (n) The Illinois Fire Fighters' Memorial Fund is created  | 
as a special fund in the State treasury Treasury. Moneys  | 
deposited into the Fund shall, subject to appropriation, be  | 
used by the Office of the State Fire Marshal for construction  | 
of the Illinois Fire Fighters' Memorial to be located at the  | 
State Capitol grounds in Springfield, Illinois. Upon the  | 
 | 
completion of the Memorial, moneys in the Fund shall be used in  | 
accordance with Section 3-634. | 
 (o) Of the money collected for each certificate of title  | 
for all-terrain vehicles and off-highway motorcycles, $17  | 
shall be deposited into the Off-Highway Vehicle Trails Fund. | 
 (p) For audits conducted on or after July 1, 2003 pursuant  | 
to Section 2-124(d) of this Code, 50% of the money collected as  | 
audit fees shall be deposited into the General Revenue Fund. | 
 (q) Beginning July 1, 2023, the additional fees imposed by  | 
Public Act 103-8 this amendatory Act of the 103rd General  | 
Assembly in Sections 2-123, 3-821, and 6-118 shall be  | 
deposited into the Secretary of State Special Services Fund.  | 
(Source: P.A. 102-538, eff. 8-20-21; 103-8, eff. 7-1-23;  | 
revised 9-25-23.)
 | 
 (625 ILCS 5/3-699.14) | 
 Sec. 3-699.14. Universal special license plates. | 
 (a) In addition to any other special license plate, the  | 
Secretary, upon receipt of all applicable fees and  | 
applications made in the form prescribed by the Secretary, may  | 
issue Universal special license plates to residents of  | 
Illinois on behalf of organizations that have been authorized  | 
by the General Assembly to issue decals for Universal special  | 
license plates. Appropriate documentation, as determined by  | 
the Secretary, shall accompany each application. Authorized  | 
organizations shall be designated by amendment to this  | 
 | 
Section. When applying for a Universal special license plate  | 
the applicant shall inform the Secretary of the name of the  | 
authorized organization from which the applicant will obtain a  | 
decal to place on the plate. The Secretary shall make a record  | 
of that organization and that organization shall remain  | 
affiliated with that plate until the plate is surrendered,  | 
revoked, or otherwise cancelled. The authorized organization  | 
may charge a fee to offset the cost of producing and  | 
distributing the decal, but that fee shall be retained by the  | 
authorized organization and shall be separate and distinct  | 
from any registration fees charged by the Secretary. No decal,  | 
sticker, or other material may be affixed to a Universal  | 
special license plate other than a decal authorized by the  | 
General Assembly in this Section or a registration renewal  | 
sticker. The special plates issued under this Section shall be  | 
affixed only to passenger vehicles of the first division,  | 
including motorcycles and autocycles, or motor vehicles of the  | 
second division weighing not more than 8,000 pounds. Plates  | 
issued under this Section shall expire according to the  | 
multi-year procedure under Section 3-414.1 of this Code. | 
 (b) The design, color, and format of the Universal special  | 
license plate shall be wholly within the discretion of the  | 
Secretary. Universal special license plates are not required  | 
to designate "Land of Lincoln", as prescribed in subsection  | 
(b) of Section 3-412 of this Code. The design shall allow for  | 
the application of a decal to the plate. Organizations  | 
 | 
authorized by the General Assembly to issue decals for  | 
Universal special license plates shall comply with rules  | 
adopted by the Secretary governing the requirements for and  | 
approval of Universal special license plate decals. The  | 
Secretary may, in his or her discretion, allow Universal  | 
special license plates to be issued as vanity or personalized  | 
plates in accordance with Section 3-405.1 of this Code. The  | 
Secretary of State must make a version of the special  | 
registration plates authorized under this Section in a form  | 
appropriate for motorcycles and autocycles. | 
 (c) When authorizing a Universal special license plate,  | 
the General Assembly shall set forth whether an additional fee  | 
is to be charged for the plate and, if a fee is to be charged,  | 
the amount of the fee and how the fee is to be distributed.  | 
When necessary, the authorizing language shall create a  | 
special fund in the State treasury into which fees may be  | 
deposited for an authorized Universal special license plate.  | 
Additional fees may only be charged if the fee is to be paid  | 
over to a State agency or to a charitable entity that is in  | 
compliance with the registration and reporting requirements of  | 
the Charitable Trust Act and the Solicitation for Charity Act.  | 
Any charitable entity receiving fees for the sale of Universal  | 
special license plates shall annually provide the Secretary of  | 
State a letter of compliance issued by the Attorney General  | 
verifying that the entity is in compliance with the Charitable  | 
Trust Act and the Solicitation for Charity Act. | 
 | 
 (d) Upon original issuance and for each registration  | 
renewal period, in addition to the appropriate registration  | 
fee, if applicable, the Secretary shall collect any additional  | 
fees, if required, for issuance of Universal special license  | 
plates. The fees shall be collected on behalf of the  | 
organization designated by the applicant when applying for the  | 
plate. All fees collected shall be transferred to the State  | 
agency on whose behalf the fees were collected, or paid into  | 
the special fund designated in the law authorizing the  | 
organization to issue decals for Universal special license  | 
plates. All money in the designated fund shall be distributed  | 
by the Secretary subject to appropriation by the General  | 
Assembly. | 
 (e) The following organizations may issue decals for  | 
Universal special license plates with the original and renewal  | 
fees and fee distribution as follows:  | 
  (1) The Illinois Department of Natural Resources.  | 
   (A) Original issuance: $25; with $10 to the  | 
 Roadside Monarch Habitat Fund and $15 to the Secretary  | 
 of State Special License Plate Fund.  | 
   (B) Renewal: $25; with $23 to the Roadside Monarch  | 
 Habitat Fund and $2 to the Secretary of State Special  | 
 License Plate Fund.  | 
  (2) Illinois Veterans' Homes. | 
   (A) Original issuance: $26, which shall be  | 
 deposited into the Illinois Veterans' Homes Fund. | 
 | 
   (B) Renewal: $26, which shall be deposited into  | 
 the Illinois Veterans' Homes Fund. | 
  (3) The Illinois Department of Human Services for  | 
 volunteerism decals. | 
   (A) Original issuance: $25, which shall be  | 
 deposited into the Secretary of State Special License  | 
 Plate Fund. | 
   (B) Renewal: $25, which shall be deposited into  | 
 the Secretary of State Special License Plate Fund.  | 
  (4) The Illinois Department of Public Health. | 
   (A) Original issuance: $25; with $10 to the  | 
 Prostate Cancer Awareness Fund and $15 to the  | 
 Secretary of State Special License Plate Fund. | 
   (B) Renewal: $25; with $23 to the Prostate Cancer  | 
 Awareness Fund and $2 to the Secretary of State  | 
 Special License Plate Fund.  | 
  (5) Horsemen's Council of Illinois. | 
   (A) Original issuance: $25; with $10 to the  | 
 Horsemen's Council of Illinois Fund and $15 to the  | 
 Secretary of State Special License Plate Fund. | 
   (B) Renewal: $25; with $23 to the Horsemen's  | 
 Council of Illinois Fund and $2 to the Secretary of  | 
 State Special License Plate Fund. | 
  (6) K9s for Veterans, NFP. | 
   (A) Original issuance: $25; with $10 to the  | 
 Post-Traumatic Stress Disorder Awareness Fund and $15  | 
 | 
 to the Secretary of State Special License Plate Fund. | 
   (B) Renewal: $25; with $23 to the Post-Traumatic  | 
 Stress Disorder Awareness Fund and $2 to the Secretary  | 
 of State Special License Plate Fund.  | 
  (7) The International Association of Machinists and  | 
 Aerospace Workers.  | 
   (A) Original issuance: $35; with $20 to the Guide  | 
 Dogs of America Fund and $15 to the Secretary of State  | 
 Special License Plate Fund. | 
   (B) Renewal: $25; with $23 going to the Guide Dogs  | 
 of America Fund and $2 to the Secretary of State  | 
 Special License Plate Fund. | 
  (8) Local Lodge 701 of the International Association  | 
 of Machinists and Aerospace Workers.  | 
   (A) Original issuance: $35; with $10 to the Guide  | 
 Dogs of America Fund, $10 to the Mechanics Training  | 
 Fund, and $15 to the Secretary of State Special  | 
 License Plate Fund. | 
   (B) Renewal: $30; with $13 to the Guide Dogs of  | 
 America Fund, $15 to the Mechanics Training Fund, and  | 
 $2 to the Secretary of State Special License Plate  | 
 Fund. | 
  (9) Illinois Department of Human Services. | 
   (A) Original issuance: $25; with $10 to the  | 
 Theresa Tracy Trot - Illinois CancerCare Foundation  | 
 Fund and $15 to the Secretary of State Special License  | 
 | 
 Plate Fund. | 
   (B) Renewal: $25; with $23 to the Theresa Tracy  | 
 Trot - Illinois CancerCare Foundation Fund and $2 to  | 
 the Secretary of State Special License Plate Fund. | 
  (10) The Illinois Department of Human Services for  | 
 developmental disabilities awareness decals. | 
   (A) Original issuance: $25; with $10 to the  | 
 Developmental Disabilities Awareness Fund and $15 to  | 
 the Secretary of State Special License Plate Fund. | 
   (B) Renewal: $25; with $23 to the Developmental  | 
 Disabilities Awareness Fund and $2 to the Secretary of  | 
 State Special License Plate Fund. | 
  (11) The Illinois Department of Human Services for  | 
 pediatric cancer awareness decals. | 
   (A) Original issuance: $25; with $10 to the  | 
 Pediatric Cancer Awareness Fund and $15 to the  | 
 Secretary of State Special License Plate Fund. | 
   (B) Renewal: $25; with $23 to the Pediatric Cancer  | 
 Awareness Fund and $2 to the Secretary of State  | 
 Special License Plate Fund. | 
  (12) The Department of Veterans' Affairs for Fold of  | 
 Honor decals.  | 
   (A) Original issuance: $25; with $10 to the Folds  | 
 of Honor Foundation Fund and $15 to the Secretary of  | 
 State Special License Plate Fund.  | 
   (B) Renewal: $25; with $23 to the Folds of Honor  | 
 | 
 Foundation Fund and $2 to the Secretary of State  | 
 Special License Plate Fund. | 
  (13) The Illinois chapters of the Experimental  | 
 Aircraft Association for aviation enthusiast decals. | 
   (A) Original issuance: $25; with $10 to the  | 
 Experimental Aircraft Association Fund and $15 to the  | 
 Secretary of State Special License Plate Fund. | 
   (B) Renewal: $25; with $23 to the Experimental  | 
 Aircraft Association Fund and $2 to the Secretary of  | 
 State Special License Plate Fund.  | 
  (14) The Illinois Department of Human Services for  | 
 Child Abuse Council of the Quad Cities decals.  | 
   (A) Original issuance: $25; with $10 to the Child  | 
 Abuse Council of the Quad Cities Fund and $15 to the  | 
 Secretary of State Special License Plate Fund.  | 
   (B) Renewal: $25; with $23 to the Child Abuse  | 
 Council of the Quad Cities Fund and $2 to the Secretary  | 
 of State Special License Plate Fund. | 
  (15) The Illinois Department of Public Health for  | 
 health care worker decals. | 
   (A) Original issuance: $25; with $10 to the  | 
 Illinois Health Care Workers Benefit Fund, and $15 to  | 
 the Secretary of State Special License Plate Fund. | 
   (B) Renewal: $25; with $23 to the Illinois Health  | 
 Care Workers Benefit Fund and $2 to the Secretary of  | 
 State Special License Plate Fund.  | 
 | 
  (16) The Department of Agriculture for Future Farmers  | 
 of America decals. | 
   (A) Original issuance: $25; with $10 to the Future  | 
 Farmers of America Fund and $15 to the Secretary of  | 
 State Special License Plate Fund. | 
   (B) Renewal: $25; with $23 to the Future Farmers  | 
 of America Fund and $2 to the Secretary of State  | 
 Special License Plate Fund.  | 
  (17) The Illinois Department of Public Health for  | 
 autism awareness decals that are designed with input from  | 
 autism advocacy organizations. | 
   (A) Original issuance: $25; with $10 to the Autism  | 
 Awareness Fund and $15 to the Secretary of State  | 
 Special License Plate Fund. | 
   (B) Renewal: $25; with $23 to the Autism Awareness  | 
 Fund and $2 to the Secretary of State Special License  | 
 Plate Fund.  | 
  (18) (17) The Department of Natural Resources for Lyme  | 
 disease research decals.  | 
   (A) Original issuance: $25; with $10 to the Tick  | 
 Research, Education, and Evaluation Fund and $15 to  | 
 the Secretary of State Special License Plate Fund. | 
   (B) Renewal: $25; with $23 to the Tick Research,  | 
 Education, and Evaluation Fund and $2 to the Secretary  | 
 of State Special License Plate Fund. | 
  (19) (17) The IBEW Thank a Line Worker decal.  | 
 | 
   (A) Original issuance: $15, which shall be  | 
 deposited into the Secretary of State Special License  | 
 Plate Fund. | 
   (B) Renewal: $2, which shall be deposited into the  | 
 Secretary of State Special License Plate Fund.  | 
 (f) The following funds are created as special funds in  | 
the State treasury:  | 
  (1) The Roadside Monarch Habitat Fund. All money in  | 
 the Roadside Monarch Habitat Fund shall be paid as grants  | 
 to the Illinois Department of Natural Resources to fund  | 
 roadside monarch and other pollinator habitat development,  | 
 enhancement, and restoration projects in this State.  | 
  (2) The Prostate Cancer Awareness Fund. All money in  | 
 the Prostate Cancer Awareness Fund shall be paid as grants  | 
 to the Prostate Cancer Foundation of Chicago.  | 
  (3) The Horsemen's Council of Illinois Fund. All money  | 
 in the Horsemen's Council of Illinois Fund shall be paid  | 
 as grants to the Horsemen's Council of Illinois.  | 
  (4) The Post-Traumatic Stress Disorder Awareness Fund.  | 
 All money in the Post-Traumatic Stress Disorder Awareness  | 
 Fund shall be paid as grants to K9s for Veterans, NFP for  | 
 support, education, and awareness of veterans with  | 
 post-traumatic stress disorder. | 
  (5) The Guide Dogs of America Fund. All money in the  | 
 Guide Dogs of America Fund shall be paid as grants to the  | 
 International Guiding Eyes, Inc., doing business as Guide  | 
 | 
 Dogs of America. | 
  (6) The Mechanics Training Fund. All money in the  | 
 Mechanics Training Fund shall be paid as grants to the  | 
 Mechanics Local 701 Training Fund. | 
  (7) The Theresa Tracy Trot - Illinois CancerCare  | 
 Foundation Fund. All money in the Theresa Tracy Trot -  | 
 Illinois CancerCare Foundation Fund shall be paid to the  | 
 Illinois CancerCare Foundation for the purpose of  | 
 furthering pancreatic cancer research. | 
  (8) The Developmental Disabilities Awareness Fund. All  | 
 money in the Developmental Disabilities Awareness Fund  | 
 shall be paid as grants to the Illinois Department of  | 
 Human Services to fund legal aid groups to assist with  | 
 guardianship fees for private citizens willing to become  | 
 guardians for individuals with developmental disabilities  | 
 but who are unable to pay the legal fees associated with  | 
 becoming a guardian. | 
  (9) The Pediatric Cancer Awareness Fund. All money in  | 
 the Pediatric Cancer Awareness Fund shall be paid as  | 
 grants to the Cancer Center at Illinois for pediatric  | 
 cancer treatment and research. | 
  (10) The Folds of Honor Foundation Fund. All money in  | 
 the Folds of Honor Foundation Fund shall be paid as grants  | 
 to the Folds of Honor Foundation to aid in providing  | 
 educational scholarships to military families.  | 
  (11) The Experimental Aircraft Association Fund. All  | 
 | 
 money in the Experimental Aircraft Association Fund shall  | 
 be paid, subject to appropriation by the General Assembly  | 
 and distribution by the Secretary, as grants to promote  | 
 recreational aviation.  | 
  (12) The Child Abuse Council of the Quad Cities Fund.  | 
 All money in the Child Abuse Council of the Quad Cities  | 
 Fund shall be paid as grants to benefit the Child Abuse  | 
 Council of the Quad Cities.  | 
  (13) The Illinois Health Care Workers Benefit Fund.  | 
 All money in the Illinois Health Care Workers Benefit Fund  | 
 shall be paid as grants to the Trinity Health Foundation  | 
 for the benefit of health care workers, doctors, nurses,  | 
 and others who work in the health care industry in this  | 
 State.  | 
  (14) The Future Farmers of America Fund. All money in  | 
 the Future Farmers of America Fund shall be paid as grants  | 
 to the Illinois Association of Future Farmers of America.  | 
  (15) The Tick Research, Education, and Evaluation  | 
 Fund. All money in the Tick Research, Education, and  | 
 Evaluation Fund shall be paid as grants to the Illinois  | 
 Lyme Association. | 
(Source: P.A. 102-383, eff. 1-1-22; 102-422, eff. 8-20-21;  | 
102-423, eff. 8-20-21; 102-515, eff. 1-1-22; 102-558, eff.  | 
8-20-21; 102-809, eff. 1-1-23; 102-813, eff. 5-13-22; 103-112,  | 
eff. 1-1-24; 103-163, eff. 1-1-24; 103-349, eff. 1-1-24;  | 
revised 12-15-23.)
 | 
 | 
 (625 ILCS 5/6-103) (from Ch. 95 1/2, par. 6-103) | 
 Sec. 6-103. What persons shall not be licensed as drivers  | 
or granted permits. The Secretary of State shall not issue,  | 
renew, or allow the retention of any driver's license nor  | 
issue any permit under this Code: | 
  1. To any person, as a driver, who is under the age of  | 
 18 years except as provided in Section 6-107, and except  | 
 that an instruction permit may be issued under Section  | 
 6-107.1 to a child who is not less than 15 years of age if  | 
 the child is enrolled in an approved driver education  | 
 course as defined in Section 1-103 of this Code and  | 
 requires an instruction permit to participate therein,  | 
 except that an instruction permit may be issued under the  | 
 provisions of Section 6-107.1 to a child who is 17 years  | 
 and 3 months of age without the child having enrolled in an  | 
 approved driver education course and except that an  | 
 instruction permit may be issued to a child who is at least  | 
 15 years and 3 months of age, is enrolled in school, meets  | 
 the educational requirements of the Driver Education Act,  | 
 and has passed examinations the Secretary of State in his  | 
 or her discretion may prescribe; | 
  1.5. To any person at least 18 years of age but less  | 
 than 21 years of age unless the person has, in addition to  | 
 any other requirements of this Code, successfully  | 
 completed an adult driver education course as provided in  | 
 | 
 Section 6-107.5 of this Code;  | 
  2. To any person who is under the age of 18 as an  | 
 operator of a motorcycle other than a motor driven cycle  | 
 unless the person has, in addition to meeting the  | 
 provisions of Section 6-107 of this Code, successfully  | 
 completed a motorcycle training course approved by the  | 
 Illinois Department of Transportation; | 
  3. To any person, as a driver, whose driver's license  | 
 or permit has been suspended, during the suspension, nor  | 
 to any person whose driver's license or permit has been  | 
 revoked, except as provided in Sections 6-205, 6-206, and  | 
 6-208; | 
  4. To any person, as a driver, who is a user of alcohol  | 
 or any other drug to a degree that renders the person  | 
 incapable of safely driving a motor vehicle; | 
  5. To any person, as a driver, who has previously been  | 
 adjudged to be afflicted with or suffering from any mental  | 
 or physical disability or disease and who has not at the  | 
 time of application been restored to competency by the  | 
 methods provided by law; | 
  6. To any person, as a driver, who is required by the  | 
 Secretary of State to submit an alcohol and drug  | 
 evaluation or take an examination provided for in this  | 
 Code unless the person has successfully passed the  | 
 examination and submitted any required evaluation; | 
  7. To any person who is required under the provisions  | 
 | 
 of the laws of this State to deposit security or proof of  | 
 financial responsibility and who has not deposited the  | 
 security or proof; | 
  8. To any person when the Secretary of State has good  | 
 cause to believe that the person by reason of physical or  | 
 mental disability would not be able to safely operate a  | 
 motor vehicle upon the highways, unless the person shall  | 
 furnish to the Secretary of State a verified written  | 
 statement, acceptable to the Secretary of State, from a  | 
 competent medical specialist, a licensed physician  | 
 assistant, or a licensed advanced practice registered  | 
 nurse, to the effect that the operation of a motor vehicle  | 
 by the person would not be inimical to the public safety; | 
  9. To any person, as a driver, who is 69 years of age  | 
 or older, unless the person has successfully complied with  | 
 the provisions of Section 6-109; | 
  10. To any person convicted, within 12 months of  | 
 application for a license, of any of the sexual offenses  | 
 enumerated in paragraph 2 of subsection (b) of Section  | 
 6-205; | 
  11. To any person who is under the age of 21 years with  | 
 a classification prohibited in paragraph (b) of Section  | 
 6-104 and to any person who is under the age of 18 years  | 
 with a classification prohibited in paragraph (c) of  | 
 Section 6-104; | 
  12. To any person who has been either convicted of or  | 
 | 
 adjudicated under the Juvenile Court Act of 1987 based  | 
 upon a violation of the Cannabis Control Act, the Illinois  | 
 Controlled Substances Act, or the Methamphetamine Control  | 
 and Community Protection Act while that person was in  | 
 actual physical control of a motor vehicle. For purposes  | 
 of this Section, any person placed on probation under  | 
 Section 10 of the Cannabis Control Act, Section 410 of the  | 
 Illinois Controlled Substances Act, or Section 70 of the  | 
 Methamphetamine Control and Community Protection Act shall  | 
 not be considered convicted. Any person found guilty of  | 
 this offense, while in actual physical control of a motor  | 
 vehicle, shall have an entry made in the court record by  | 
 the judge that this offense did occur while the person was  | 
 in actual physical control of a motor vehicle and order  | 
 the clerk of the court to report the violation to the  | 
 Secretary of State as such. The Secretary of State shall  | 
 not issue a new license or permit for a period of one year; | 
  13. To any person who is under the age of 18 years and  | 
 who has committed the offense of operating a motor vehicle  | 
 without a valid license or permit in violation of Section  | 
 6-101 or a similar out-of-state out of state offense; | 
  14. To any person who is 90 days or more delinquent in  | 
 court ordered child support payments or has been  | 
 adjudicated in arrears in an amount equal to 90 days'  | 
 obligation or more and who has been found in contempt of  | 
 court for failure to pay the support, subject to the  | 
 | 
 requirements and procedures of Article VII of Chapter 7 of  | 
 the Illinois Vehicle Code; | 
  14.5. To any person certified by the Illinois  | 
 Department of Healthcare and Family Services as being 90  | 
 days or more delinquent in payment of support under an  | 
 order of support entered by a court or administrative body  | 
 of this or any other State, subject to the requirements  | 
 and procedures of Article VII of Chapter 7 of this Code  | 
 regarding those certifications;  | 
  15. To any person released from a term of imprisonment  | 
 for violating Section 9-3 of the Criminal Code of 1961 or  | 
 the Criminal Code of 2012, or a similar provision of a law  | 
 of another state relating to reckless homicide or for  | 
 violating subparagraph (F) of paragraph (1) of subsection  | 
 (d) of Section 11-501 of this Code relating to aggravated  | 
 driving under the influence of alcohol, other drug or  | 
 drugs, intoxicating compound or compounds, or any  | 
 combination thereof, if the violation was the proximate  | 
 cause of a death, within 24 months of release from a term  | 
 of imprisonment;  | 
  16. To any person who, with intent to influence any  | 
 act related to the issuance of any driver's license or  | 
 permit, by an employee of the Secretary of State's Office,  | 
 or the owner or employee of any commercial driver training  | 
 school licensed by the Secretary of State, or any other  | 
 individual authorized by the laws of this State to give  | 
 | 
 driving instructions or administer all or part of a  | 
 driver's license examination, promises or tenders to that  | 
 person any property or personal advantage which that  | 
 person is not authorized by law to accept. Any persons  | 
 promising or tendering such property or personal advantage  | 
 shall be disqualified from holding any class of driver's  | 
 license or permit for 120 consecutive days. The Secretary  | 
 of State shall establish by rule the procedures for  | 
 implementing this period of disqualification and the  | 
 procedures by which persons so disqualified may obtain  | 
 administrative review of the decision to disqualify; | 
  17. To any person for whom the Secretary of State  | 
 cannot verify the accuracy of any information or  | 
 documentation submitted in application for a driver's  | 
 license; | 
  18. To any person who has been adjudicated under the  | 
 Juvenile Court Act of 1987 based upon an offense that is  | 
 determined by the court to have been committed in  | 
 furtherance of the criminal activities of an organized  | 
 gang, as provided in Section 5-710 of that Act, and that  | 
 involved the operation or use of a motor vehicle or the use  | 
 of a driver's license or permit. The person shall be  | 
 denied a license or permit for the period determined by  | 
 the court; or  | 
  19. To any person who holds a REAL ID compliant  | 
 identification card or REAL ID compliant Person with a  | 
 | 
 Disability Identification Card issued under the Illinois  | 
 Identification Card Act. Any such person may, at his or  | 
 her discretion, surrender the REAL ID compliant  | 
 identification card or REAL ID compliant Person with a  | 
 Disability Identification Card in order to become eligible  | 
 to obtain a REAL ID compliant driver's license.  | 
 The Secretary of State shall retain all conviction  | 
information, if the information is required to be held  | 
confidential under the Juvenile Court Act of 1987. | 
(Source: P.A. 103-162, eff. 1-1-24; revised 1-2-24.)
 | 
 (625 ILCS 5/6-106.1) | 
 Sec. 6-106.1. School bus driver permit.  | 
 (a) The Secretary of State shall issue a school bus driver  | 
permit for the operation of first or second division vehicles  | 
being operated as school buses or a permit valid only for the  | 
operation of first division vehicles being operated as school  | 
buses to those applicants who have met all the requirements of  | 
the application and screening process under this Section to  | 
insure the welfare and safety of children who are transported  | 
on school buses throughout the State of Illinois. Applicants  | 
shall obtain the proper application required by the Secretary  | 
of State from their prospective or current employer and submit  | 
the completed application to the prospective or current  | 
employer along with the necessary fingerprint submission as  | 
required by the Illinois State Police to conduct  | 
 | 
fingerprint-based fingerprint based criminal background checks  | 
on current and future information available in the State state  | 
system and current information available through the Federal  | 
Bureau of Investigation's system. Applicants who have  | 
completed the fingerprinting requirements shall not be  | 
subjected to the fingerprinting process when applying for  | 
subsequent permits or submitting proof of successful  | 
completion of the annual refresher course. Individuals who on  | 
July 1, 1995 (the effective date of Public Act 88-612) possess  | 
a valid school bus driver permit that has been previously  | 
issued by the appropriate Regional School Superintendent are  | 
not subject to the fingerprinting provisions of this Section  | 
as long as the permit remains valid and does not lapse. The  | 
applicant shall be required to pay all related application and  | 
fingerprinting fees as established by rule, including, but not  | 
limited to, the amounts established by the Illinois State  | 
Police and the Federal Bureau of Investigation to process  | 
fingerprint-based fingerprint based criminal background  | 
investigations. All fees paid for fingerprint processing  | 
services under this Section shall be deposited into the State  | 
Police Services Fund for the cost incurred in processing the  | 
fingerprint-based fingerprint based criminal background  | 
investigations. All other fees paid under this Section shall  | 
be deposited into the Road Fund for the purpose of defraying  | 
the costs of the Secretary of State in administering this  | 
Section. All applicants must:  | 
 | 
  1. be 21 years of age or older;  | 
  2. possess a valid and properly classified driver's  | 
 license issued by the Secretary of State;  | 
  3. possess a valid driver's license, which has not  | 
 been revoked, suspended, or canceled for 3 years  | 
 immediately prior to the date of application, or have not  | 
 had his or her commercial motor vehicle driving privileges  | 
 disqualified within the 3 years immediately prior to the  | 
 date of application;  | 
  4. successfully pass a first division or second  | 
 division written test, administered by the Secretary of  | 
 State, on school bus operation, school bus safety, and  | 
 special traffic laws relating to school buses and submit  | 
 to a review of the applicant's driving habits by the  | 
 Secretary of State at the time the written test is given;  | 
  5. demonstrate ability to exercise reasonable care in  | 
 the operation of school buses in accordance with rules  | 
 promulgated by the Secretary of State;  | 
  6. demonstrate physical fitness to operate school  | 
 buses by submitting the results of a medical examination,  | 
 including tests for drug use for each applicant not  | 
 subject to such testing pursuant to federal law, conducted  | 
 by a licensed physician, a licensed advanced practice  | 
 registered nurse, or a licensed physician assistant within  | 
 90 days of the date of application according to standards  | 
 promulgated by the Secretary of State;  | 
 | 
  7. affirm under penalties of perjury that he or she  | 
 has not made a false statement or knowingly concealed a  | 
 material fact in any application for permit;  | 
  8. have completed an initial classroom course,  | 
 including first aid procedures, in school bus driver  | 
 safety as promulgated by the Secretary of State; and,  | 
 after satisfactory completion of said initial course, an  | 
 annual refresher course; such courses and the agency or  | 
 organization conducting such courses shall be approved by  | 
 the Secretary of State; failure to complete the annual  | 
 refresher course, shall result in cancellation of the  | 
 permit until such course is completed;  | 
  9. not have been under an order of court supervision  | 
 for or convicted of 2 or more serious traffic offenses, as  | 
 defined by rule, within one year prior to the date of  | 
 application that may endanger the life or safety of any of  | 
 the driver's passengers within the duration of the permit  | 
 period;  | 
  10. not have been under an order of court supervision  | 
 for or convicted of reckless driving, aggravated reckless  | 
 driving, driving while under the influence of alcohol,  | 
 other drug or drugs, intoxicating compound or compounds or  | 
 any combination thereof, or reckless homicide resulting  | 
 from the operation of a motor vehicle within 3 years of the  | 
 date of application;  | 
  11. not have been convicted of committing or  | 
 | 
 attempting to commit any one or more of the following  | 
 offenses: (i) those offenses defined in Sections 8-1,  | 
 8-1.2, 9-1, 9-1.2, 9-2, 9-2.1, 9-3, 9-3.2, 9-3.3, 10-1,  | 
 10-2, 10-3.1, 10-4, 10-5, 10-5.1, 10-6, 10-7, 10-9,  | 
 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-6.5,  | 
 11-6.6, 11-9, 11-9.1, 11-9.1A, 11-9.3, 11-9.4, 11-9.4-1,  | 
 11-14, 11-14.1, 11-14.3, 11-14.4, 11-15, 11-15.1, 11-16,  | 
 11-17, 11-17.1, 11-18, 11-18.1, 11-19, 11-19.1, 11-19.2,  | 
 11-20, 11-20.1, 11-20.1B, 11-20.3, 11-21, 11-22, 11-23,  | 
 11-24, 11-25, 11-26, 11-30, 12-2.6, 12-3.05, 12-3.1,  | 
 12-3.3, 12-4, 12-4.1, 12-4.2, 12-4.2-5, 12-4.3, 12-4.4,  | 
 12-4.5, 12-4.6, 12-4.7, 12-4.9, 12-5.3, 12-6, 12-6.2,  | 
 12-7.1, 12-7.3, 12-7.4, 12-7.5, 12-11, 12-13, 12-14,  | 
 12-14.1, 12-15, 12-16, 12-21.5, 12-21.6, 12-33, 12C-5,  | 
 12C-10, 12C-20, 12C-30, 12C-45, 16-16, 16-16.1, 18-1,  | 
 18-2, 18-3, 18-4, 18-5, 19-6, 20-1, 20-1.1, 20-1.2,  | 
 20-1.3, 20-2, 24-1, 24-1.1, 24-1.2, 24-1.2-5, 24-1.6,  | 
 24-1.7, 24-2.1, 24-3.3, 24-3.5, 24-3.8, 24-3.9, 31A-1.1,  | 
 33A-2, and 33D-1, in subsection (A), clauses (a) and (b),  | 
 of Section 24-3, and those offenses contained in Article  | 
 29D of the Criminal Code of 1961 or the Criminal Code of  | 
 2012; (ii) those offenses defined in the Cannabis Control  | 
 Act except those offenses defined in subsections (a) and  | 
 (b) of Section 4, and subsection (a) of Section 5 of the  | 
 Cannabis Control Act; (iii) those offenses defined in the  | 
 Illinois Controlled Substances Act; (iv) those offenses  | 
 | 
 defined in the Methamphetamine Control and Community  | 
 Protection Act; (v) any offense committed or attempted in  | 
 any other state or against the laws of the United States,  | 
 which if committed or attempted in this State would be  | 
 punishable as one or more of the foregoing offenses; (vi)  | 
 the offenses defined in Section 4.1 and 5.1 of the Wrongs  | 
 to Children Act or Section 11-9.1A of the Criminal Code of  | 
 1961 or the Criminal Code of 2012; (vii) those offenses  | 
 defined in Section 6-16 of the Liquor Control Act of 1934;  | 
 and (viii) those offenses defined in the Methamphetamine  | 
 Precursor Control Act; | 
  12. not have been repeatedly involved as a driver in  | 
 motor vehicle collisions or been repeatedly convicted of  | 
 offenses against laws and ordinances regulating the  | 
 movement of traffic, to a degree which indicates lack of  | 
 ability to exercise ordinary and reasonable care in the  | 
 safe operation of a motor vehicle or disrespect for the  | 
 traffic laws and the safety of other persons upon the  | 
 highway;  | 
  13. not have, through the unlawful operation of a  | 
 motor vehicle, caused a crash resulting in the death of  | 
 any person;  | 
  14. not have, within the last 5 years, been adjudged  | 
 to be afflicted with or suffering from any mental  | 
 disability or disease;  | 
  15. consent, in writing, to the release of results of  | 
 | 
 reasonable suspicion drug and alcohol testing under  | 
 Section 6-106.1c of this Code by the employer of the  | 
 applicant to the Secretary of State; and | 
  16. not have been convicted of committing or  | 
 attempting to commit within the last 20 years: (i) an  | 
 offense defined in subsection (c) of Section 4, subsection  | 
 (b) of Section 5, and subsection (a) of Section 8 of the  | 
 Cannabis Control Act; or (ii) any offenses in any other  | 
 state or against the laws of the United States that, if  | 
 committed or attempted in this State, would be punishable  | 
 as one or more of the foregoing offenses.  | 
 (a-5) If an applicant's driver's license has been  | 
suspended within the 3 years immediately prior to the date of  | 
application for the sole reason of failure to pay child  | 
support, that suspension shall not bar the applicant from  | 
receiving a school bus driver permit.  | 
 (a-10) (a-5) By January 1, 2024, the Secretary of State,  | 
in conjunction with the Illinois State Board of Education,  | 
shall develop a separate classroom course and refresher course  | 
for operation of vehicles of the first division being operated  | 
as school buses. Regional superintendents of schools, working  | 
with the Illinois State Board of Education, shall offer the  | 
course.  | 
 (b) A school bus driver permit shall be valid for a period  | 
specified by the Secretary of State as set forth by rule. It  | 
shall be renewable upon compliance with subsection (a) of this  | 
 | 
Section.  | 
 (c) A school bus driver permit shall contain the holder's  | 
driver's license number, legal name, residence address, zip  | 
code, and date of birth, a brief description of the holder, and  | 
a space for signature. The Secretary of State may require a  | 
suitable photograph of the holder.  | 
 (d) The employer shall be responsible for conducting a  | 
pre-employment interview with prospective school bus driver  | 
candidates, distributing school bus driver applications and  | 
medical forms to be completed by the applicant, and submitting  | 
the applicant's fingerprint cards to the Illinois State Police  | 
that are required for the criminal background investigations.  | 
The employer shall certify in writing to the Secretary of  | 
State that all pre-employment conditions have been  | 
successfully completed including the successful completion of  | 
an Illinois specific criminal background investigation through  | 
the Illinois State Police and the submission of necessary  | 
fingerprints to the Federal Bureau of Investigation for  | 
criminal history information available through the Federal  | 
Bureau of Investigation system. The applicant shall present  | 
the certification to the Secretary of State at the time of  | 
submitting the school bus driver permit application.  | 
 (e) Permits shall initially be provisional upon receiving  | 
certification from the employer that all pre-employment  | 
conditions have been successfully completed, and upon  | 
successful completion of all training and examination  | 
 | 
requirements for the classification of the vehicle to be  | 
operated, the Secretary of State shall provisionally issue a  | 
School Bus Driver Permit. The permit shall remain in a  | 
provisional status pending the completion of the Federal  | 
Bureau of Investigation's criminal background investigation  | 
based upon fingerprinting specimens submitted to the Federal  | 
Bureau of Investigation by the Illinois State Police. The  | 
Federal Bureau of Investigation shall report the findings  | 
directly to the Secretary of State. The Secretary of State  | 
shall remove the bus driver permit from provisional status  | 
upon the applicant's successful completion of the Federal  | 
Bureau of Investigation's criminal background investigation.  | 
 (f) A school bus driver permit holder shall notify the  | 
employer and the Secretary of State if he or she is issued an  | 
order of court supervision for or convicted in another state  | 
of an offense that would make him or her ineligible for a  | 
permit under subsection (a) of this Section. The written  | 
notification shall be made within 5 days of the entry of the  | 
order of court supervision or conviction. Failure of the  | 
permit holder to provide the notification is punishable as a  | 
petty offense for a first violation and a Class B misdemeanor  | 
for a second or subsequent violation.  | 
 (g) Cancellation; suspension; notice and procedure.  | 
  (1) The Secretary of State shall cancel a school bus  | 
 driver permit of an applicant whose criminal background  | 
 investigation discloses that he or she is not in  | 
 | 
 compliance with the provisions of subsection (a) of this  | 
 Section.  | 
  (2) The Secretary of State shall cancel a school bus  | 
 driver permit when he or she receives notice that the  | 
 permit holder fails to comply with any provision of this  | 
 Section or any rule promulgated for the administration of  | 
 this Section.  | 
  (3) The Secretary of State shall cancel a school bus  | 
 driver permit if the permit holder's restricted commercial  | 
 or commercial driving privileges are withdrawn or  | 
 otherwise invalidated.  | 
  (4) The Secretary of State may not issue a school bus  | 
 driver permit for a period of 3 years to an applicant who  | 
 fails to obtain a negative result on a drug test as  | 
 required in item 6 of subsection (a) of this Section or  | 
 under federal law.  | 
  (5) The Secretary of State shall forthwith suspend a  | 
 school bus driver permit for a period of 3 years upon  | 
 receiving notice that the holder has failed to obtain a  | 
 negative result on a drug test as required in item 6 of  | 
 subsection (a) of this Section or under federal law.  | 
  (6) The Secretary of State shall suspend a school bus  | 
 driver permit for a period of 3 years upon receiving  | 
 notice from the employer that the holder failed to perform  | 
 the inspection procedure set forth in subsection (a) or  | 
 (b) of Section 12-816 of this Code.  | 
 | 
  (7) The Secretary of State shall suspend a school bus  | 
 driver permit for a period of 3 years upon receiving  | 
 notice from the employer that the holder refused to submit  | 
 to an alcohol or drug test as required by Section 6-106.1c  | 
 or has submitted to a test required by that Section which  | 
 disclosed an alcohol concentration of more than 0.00 or  | 
 disclosed a positive result on a National Institute on  | 
 Drug Abuse five-drug panel, utilizing federal standards  | 
 set forth in 49 CFR 40.87.  | 
 The Secretary of State shall notify the State  | 
Superintendent of Education and the permit holder's  | 
prospective or current employer that the applicant has (1) has  | 
failed a criminal background investigation or (2) is no longer  | 
eligible for a school bus driver permit; and of the related  | 
cancellation of the applicant's provisional school bus driver  | 
permit. The cancellation shall remain in effect pending the  | 
outcome of a hearing pursuant to Section 2-118 of this Code.  | 
The scope of the hearing shall be limited to the issuance  | 
criteria contained in subsection (a) of this Section. A  | 
petition requesting a hearing shall be submitted to the  | 
Secretary of State and shall contain the reason the individual  | 
feels he or she is entitled to a school bus driver permit. The  | 
permit holder's employer shall notify in writing to the  | 
Secretary of State that the employer has certified the removal  | 
of the offending school bus driver from service prior to the  | 
start of that school bus driver's next work shift workshift.  | 
 | 
An employing school board that fails to remove the offending  | 
school bus driver from service is subject to the penalties  | 
defined in Section 3-14.23 of the School Code. A school bus  | 
contractor who violates a provision of this Section is subject  | 
to the penalties defined in Section 6-106.11.  | 
 All valid school bus driver permits issued under this  | 
Section prior to January 1, 1995, shall remain effective until  | 
their expiration date unless otherwise invalidated.  | 
 (h) When a school bus driver permit holder who is a service  | 
member is called to active duty, the employer of the permit  | 
holder shall notify the Secretary of State, within 30 days of  | 
notification from the permit holder, that the permit holder  | 
has been called to active duty. Upon notification pursuant to  | 
this subsection, (i) the Secretary of State shall characterize  | 
the permit as inactive until a permit holder renews the permit  | 
as provided in subsection (i) of this Section, and (ii) if a  | 
permit holder fails to comply with the requirements of this  | 
Section while called to active duty, the Secretary of State  | 
shall not characterize the permit as invalid.  | 
 (i) A school bus driver permit holder who is a service  | 
member returning from active duty must, within 90 days, renew  | 
a permit characterized as inactive pursuant to subsection (h)  | 
of this Section by complying with the renewal requirements of  | 
subsection (b) of this Section.  | 
 (j) For purposes of subsections (h) and (i) of this  | 
Section:  | 
 | 
 "Active duty" means active duty pursuant to an executive  | 
order of the President of the United States, an act of the  | 
Congress of the United States, or an order of the Governor.  | 
 "Service member" means a member of the Armed Services or  | 
reserve forces of the United States or a member of the Illinois  | 
National Guard.  | 
 (k) A private carrier employer of a school bus driver  | 
permit holder, having satisfied the employer requirements of  | 
this Section, shall be held to a standard of ordinary care for  | 
intentional acts committed in the course of employment by the  | 
bus driver permit holder. This subsection (k) shall in no way  | 
limit the liability of the private carrier employer for  | 
violation of any provision of this Section or for the  | 
negligent hiring or retention of a school bus driver permit  | 
holder.  | 
(Source: P.A. 101-458, eff. 1-1-20; 102-168, eff. 7-27-21;  | 
102-299, eff. 8-6-21; 102-538, eff. 8-20-21; 102-726, eff.  | 
1-1-23; 102-813, eff. 5-13-22; 102-982, eff. 7-1-23; 102-1130,  | 
eff. 7-1-23; revised 9-19-23.)
 | 
 (625 ILCS 5/6-118) | 
 Sec. 6-118. Fees.  | 
 (a) The fees for licenses and permits under this Article  | 
are as follows: | 
 Original driver's license.............................$30 | 
 Original or renewal driver's license | 
 | 
  issued to 18, 19, and 20 year olds................. $5 | 
 All driver's licenses for persons | 
  age 69 through age 80.............................. $5 | 
 All driver's licenses for persons | 
  age 81 through age 86.............................. $2 | 
 All driver's licenses for persons | 
  age 87 or older....................................$0 | 
 Renewal driver's license (except for | 
  applicants ages 18, 19, and 20 or | 
  age 69 and older).................................$30 | 
 Original instruction permit issued to | 
  persons (except those age 69 and older) | 
  who do not hold or have not previously | 
  held an Illinois instruction permit or | 
  driver's license.................................. $20 | 
 Instruction permit issued to any person | 
  holding an Illinois driver's license | 
  who wishes a change in classifications, | 
  other than at the time of renewal.................. $5 | 
 Any instruction permit issued to a person | 
  age 69 and older................................... $5 | 
 Instruction permit issued to any person, | 
  under age 69, not currently holding a | 
  valid Illinois driver's license or | 
  instruction permit but who has | 
  previously been issued either document | 
 | 
  in Illinois....................................... $10 | 
 Restricted driving permit.............................. $8 | 
 Monitoring device driving permit...................... $8  | 
 Duplicate or corrected driver's license | 
  or permit.......................................... $5 | 
 Duplicate or corrected restricted | 
  driving permit..................................... $5 | 
 Duplicate or corrected monitoring | 
 device driving permit.................................. $5 | 
 Duplicate driver's license or permit issued to | 
  an active-duty member of the | 
  United States Armed Forces, | 
  the member's spouse, or | 
  the dependent children living | 
  with the member................................... $0  | 
 Original or renewal M or L endorsement................. $5 | 
SPECIAL FEES FOR COMMERCIAL DRIVER'S LICENSE | 
  The fees for commercial driver licenses and permits  | 
 under Article V shall be as follows: | 
 Commercial driver's license: | 
  $6 for the CDLIS/AAMVAnet/NMVTIS Trust Fund | 
  (Commercial Driver's License Information | 
  System/American Association of Motor Vehicle | 
  Administrators network/National Motor Vehicle  | 
  Title Information Service Trust Fund); | 
  $20 for the Motor Carrier Safety Inspection Fund; | 
 | 
  $10 for the driver's license; | 
  and $24 for the CDL:............................. $60 | 
 Renewal commercial driver's license: | 
  $6 for the CDLIS/AAMVAnet/NMVTIS Trust Fund; | 
  $20 for the Motor Carrier Safety Inspection Fund; | 
  $10 for the driver's license; and | 
  $24 for the CDL:................................. $60 | 
 Commercial learner's permit | 
  issued to any person holding a valid | 
  Illinois driver's license for the | 
  purpose of changing to a | 
  CDL classification:  | 
  $6 for the CDLIS/AAMVAnet/NMVTIS Trust Fund; | 
  $20 for the Motor Carrier Safety Inspection Fund; and | 
  $24 for the CDL classification................... $50 | 
 Commercial learner's permit | 
  issued to any person holding a valid | 
  Illinois CDL for the purpose of | 
  making a change in a classification, | 
  endorsement or restriction........................ $5 | 
 CDL duplicate or corrected license.................... $5 | 
 In order to ensure the proper implementation of the  | 
Uniform Commercial Driver License Act, Article V of this  | 
Chapter, the Secretary of State is empowered to prorate the  | 
$24 fee for the commercial driver's license proportionate to  | 
the expiration date of the applicant's Illinois driver's  | 
 | 
license. | 
 The fee for any duplicate license or permit shall be  | 
waived for any person who presents the Secretary of State's  | 
office with a police report showing that his license or permit  | 
was stolen. | 
 The fee for any duplicate license or permit shall be  | 
waived for any person age 60 or older whose driver's license or  | 
permit has been lost or stolen.  | 
 No additional fee shall be charged for a driver's license,  | 
or for a commercial driver's license, when issued to the  | 
holder of an instruction permit for the same classification or  | 
type of license who becomes eligible for such license. | 
 The fee for a restricted driving permit under this  | 
subsection (a) shall be imposed annually until the expiration  | 
of the permit. | 
 (a-5) The fee for a driver's record or data contained  | 
therein is $20 and shall be disbursed as set forth in  | 
subsection (k) of Section 2-123 of this Code. | 
 (b) Any person whose license or privilege to operate a  | 
motor vehicle in this State has been suspended or revoked  | 
under Section 3-707, any provision of Chapter 6, Chapter 11,  | 
or Section 7-205, 7-303, or 7-702 of the Illinois Safety and  | 
Family Financial Responsibility Law of this Code, shall in  | 
addition to any other fees required by this Code, pay a  | 
reinstatement fee as follows: | 
 Suspension under Section 3-707..................... $100  | 
 | 
 Suspension under Section 11-1431....................$100  | 
 Summary suspension under Section 11-501.1...........$250  | 
 Suspension under Section 11-501.9...................$250  | 
 Summary revocation under Section 11-501.1............$500 | 
 Other suspension......................................$70 | 
 Revocation...........................................$500 | 
 However, any person whose license or privilege to operate  | 
a motor vehicle in this State has been suspended or revoked for  | 
a second or subsequent time for a violation of Section 11-501,  | 
11-501.1, or 11-501.9 of this Code or a similar provision of a  | 
local ordinance or a similar out-of-state offense or Section  | 
9-3 of the Criminal Code of 1961 or the Criminal Code of 2012  | 
and each suspension or revocation was for a violation of  | 
Section 11-501, 11-501.1, or 11-501.9 of this Code or a  | 
similar provision of a local ordinance or a similar  | 
out-of-state offense or Section 9-3 of the Criminal Code of  | 
1961 or the Criminal Code of 2012 shall pay, in addition to any  | 
other fees required by this Code, a reinstatement fee as  | 
follows: | 
 Summary suspension under Section 11-501.1............$500 | 
 Suspension under Section 11-501.9...................$500  | 
 Summary revocation under Section 11-501.1............$500 | 
 Revocation...........................................$500 | 
 (c) All fees collected under the provisions of this  | 
Chapter 6 shall be disbursed under subsection (g) of Section  | 
2-119 of this Code, except as follows: | 
 | 
  1. The following amounts shall be paid into the  | 
 Drivers Education Fund: | 
   (A) $16 of the $20 fee for an original driver's  | 
 instruction permit; | 
   (B) $5 of the $30 fee for an original driver's  | 
 license; | 
   (C) $5 of the $30 fee for a 4 year renewal driver's  | 
 license;  | 
   (D) $4 of the $8 fee for a restricted driving  | 
 permit; and | 
   (E) $4 of the $8 fee for a monitoring device  | 
 driving permit.  | 
  2. $30 of the $250 fee for reinstatement of a license  | 
 summarily suspended under Section 11-501.1 or suspended  | 
 under Section 11-501.9 shall be deposited into the Drunk  | 
 and Drugged Driving Prevention Fund. However, for a person  | 
 whose license or privilege to operate a motor vehicle in  | 
 this State has been suspended or revoked for a second or  | 
 subsequent time for a violation of Section 11-501,  | 
 11-501.1, or 11-501.9 of this Code or Section 9-3 of the  | 
 Criminal Code of 1961 or the Criminal Code of 2012, $190 of  | 
 the $500 fee for reinstatement of a license summarily  | 
 suspended under Section 11-501.1 or suspended under  | 
 Section 11-501.9, and $190 of the $500 fee for  | 
 reinstatement of a revoked license shall be deposited into  | 
 the Drunk and Drugged Driving Prevention Fund. $190 of the  | 
 | 
 $500 fee for reinstatement of a license summarily revoked  | 
 pursuant to Section 11-501.1 shall be deposited into the  | 
 Drunk and Drugged Driving Prevention Fund. | 
  3. $6 of the original or renewal fee for a commercial  | 
 driver's license and $6 of the commercial learner's permit  | 
 fee when the permit is issued to any person holding a valid  | 
 Illinois driver's license, shall be paid into the  | 
 CDLIS/AAMVAnet/NMVTIS Trust Fund. | 
  4. $30 of the $70 fee for reinstatement of a license  | 
 suspended under the Illinois Safety and Family Financial  | 
 Responsibility Law shall be paid into the Family  | 
 Responsibility Fund. | 
  5. The $5 fee for each original or renewal M or L  | 
 endorsement shall be deposited into the Cycle Rider Safety  | 
 Training Fund. | 
  6. $20 of any original or renewal fee for a commercial  | 
 driver's license or commercial learner's permit shall be  | 
 paid into the Motor Carrier Safety Inspection Fund. | 
  7. The following amounts shall be paid into the  | 
 General Revenue Fund: | 
   (A) $190 of the $250 reinstatement fee for a  | 
 summary suspension under Section 11-501.1 or a  | 
 suspension under Section 11-501.9; | 
   (B) $40 of the $70 reinstatement fee for any other  | 
 suspension provided in subsection (b) of this Section;  | 
 and | 
 | 
   (C) $440 of the $500 reinstatement fee for a first  | 
 offense revocation and $310 of the $500 reinstatement  | 
 fee for a second or subsequent revocation. | 
  8. Fees collected under paragraph (4) of subsection  | 
 (d) and subsection (h) of Section 6-205 of this Code;  | 
 subparagraph (C) of paragraph 3 of subsection (c) of  | 
 Section 6-206 of this Code; and paragraph (4) of  | 
 subsection (a) of Section 6-206.1 of this Code, shall be  | 
 paid into the funds set forth in those Sections.  | 
 (d) All of the proceeds of the additional fees imposed by  | 
this amendatory Act of the 96th General Assembly shall be  | 
deposited into the Capital Projects Fund.  | 
 (e) The additional fees imposed by this amendatory Act of  | 
the 96th General Assembly shall become effective 90 days after  | 
becoming law. The additional fees imposed by this amendatory  | 
Act of the 103rd General Assembly shall become effective July  | 
1, 2023 and shall be paid into the Secretary of State Special  | 
Services Fund.  | 
 (f) As used in this Section, "active-duty member of the  | 
United States Armed Forces" means a member of the Armed  | 
Services or Reserve Forces of the United States or a member of  | 
the Illinois National Guard who is called to active duty  | 
pursuant to an executive order of the President of the United  | 
States, an act of the Congress of the United States, or an  | 
order of the Governor.  | 
(Source: P.A. 103-8, eff. 7-1-23; revised 9-26-23.)
 | 
 | 
 (625 ILCS 5/6-508.5) | 
 Sec. 6-508.5. Drug and alcohol clearinghouse. | 
 (a) No driver who has engaged in conduct prohibited by  | 
subpart B of 49 CFR 382 shall perform safety-sensitive  | 
functions, including driving a commercial motor vehicle,  | 
unless the driver has met the return-to-duty return to duty  | 
requirements of subpart O of 49 CFR 40 and, if the driver's CDL  | 
or CLP was canceled, has had the CDL or CLP reinstated. | 
 (b) By applying for a CDL or CLP, a driver is deemed to  | 
have consented to the release of information from the drug and  | 
alcohol clearinghouse to the Secretary of State. | 
 (c) No later than November 18, 2024, the Secretary shall  | 
request information from the drug and alcohol clearinghouse  | 
for all applicants applying for an initial, renewal, transfer,  | 
or upgraded CDL or CLP. If the Secretary receives notification  | 
that pursuant to 49 CFR 382.503 the applicant is prohibited  | 
from operating a commercial motor vehicle, the Secretary shall  | 
not issue, renew, transfer, or upgrade a CDL or CLP. | 
 (d) No later than November 18, 2024, the Secretary must,  | 
upon receiving notification from the drug and alcohol  | 
clearinghouse that a holder of a CDL or CLP is prohibited from  | 
operating a commercial motor vehicle, cancel the CDL or CLP.  | 
The cancellation must be completed and recorded on the CDLIS  | 
driver record within 60 days after the State's receipt of such  | 
a notification. Upon notification from the Federal Motor  | 
 | 
Carrier Safety Administration that a driver has completed the  | 
return-to-duty process, the Secretary may reinstate the  | 
driver's CDL or CLP privileges. | 
 (e) Upon notification from the Federal Motor Carrier  | 
Safety Administration that a violation was entered into the  | 
drug and alcohol clearinghouse erroneously, the Secretary  | 
shall reinstate the driver's CDL or CLP privileges and remove  | 
the cancellation from the driving record. | 
(Source: P.A. 103-179, eff. 6-30-23; revised 9-26-23.)
 | 
 (625 ILCS 5/7-315) (from Ch. 95 1/2, par. 7-315) | 
 Sec. 7-315. Certificate A certificate of insurance proof.  | 
 (a) Proof of financial responsibility may be made by  | 
filing with the Secretary of State the electronic certificate  | 
of any insurance carrier duly authorized to do business in  | 
this State, certifying that it has issued to or for the benefit  | 
of the person furnishing such proof and named as the insured in  | 
a motor vehicle liability policy, a motor vehicle liability  | 
policy or policies or in certain events an operator's policy  | 
meeting the requirements of this Code and that said policy or  | 
policies are then in full force and effect. All electronic  | 
certificates must be submitted in a manner satisfactory to the  | 
Secretary of State.  | 
 (b) Such certificate or certificates shall give the dates  | 
of issuance and expiration of such policy or policies and  | 
certify that the same shall not be canceled unless 15 days'  | 
 | 
prior electronic notice thereof be given to the Secretary of  | 
State and shall explicitly describe all motor vehicles covered  | 
thereby unless the policy or policies are issued to a person  | 
who is not the owner of a motor vehicle. | 
 (c) The Secretary of State shall not accept any  | 
certificate or certificates unless the same shall cover all  | 
motor vehicles then registered in this State in the name of the  | 
person furnishing such proof as owner and an additional  | 
certificate or certificates shall be required as a condition  | 
precedent to the subsequent registration of any motor vehicle  | 
or motor vehicles in the name of the person giving such proof  | 
as owner. | 
(Source: P.A. 103-179, eff. 6-30-23; revised 9-26-23.)
 | 
 (625 ILCS 5/11-208.6) | 
 Sec. 11-208.6. Automated traffic law enforcement system. | 
 (a) As used in this Section, "automated traffic law  | 
enforcement system" means a device with one or more motor  | 
vehicle sensors working in conjunction with a red light signal  | 
to produce recorded images of motor vehicles entering an  | 
intersection against a red signal indication in violation of  | 
Section 11-306 of this Code or a similar provision of a local  | 
ordinance. | 
 An automated traffic law enforcement system is a system,  | 
in a municipality or county operated by a governmental agency,  | 
that produces a recorded image of a motor vehicle's violation  | 
 | 
of a provision of this Code or a local ordinance and is  | 
designed to obtain a clear recorded image of the vehicle and  | 
the vehicle's license plate. The recorded image must also  | 
display the time, date, and location of the violation. | 
 (b) As used in this Section, "recorded images" means  | 
images recorded by an automated traffic law enforcement system  | 
on: | 
  (1) 2 or more photographs; | 
  (2) 2 or more microphotographs; | 
  (3) 2 or more electronic images; or | 
  (4) a video recording showing the motor vehicle and,  | 
 on at least one image or portion of the recording, clearly  | 
 identifying the registration plate or digital registration  | 
 plate number of the motor vehicle. | 
 (b-5) A municipality or county that produces a recorded  | 
image of a motor vehicle's violation of a provision of this  | 
Code or a local ordinance must make the recorded images of a  | 
violation accessible to the alleged violator by providing the  | 
alleged violator with a website address, accessible through  | 
the Internet.  | 
 (c) Except as provided under Section 11-208.8 of this  | 
Code, a county or municipality, including a home rule county  | 
or municipality, may not use an automated traffic law  | 
enforcement system to provide recorded images of a motor  | 
vehicle for the purpose of recording its speed. Except as  | 
provided under Section 11-208.8 of this Code, the regulation  | 
 | 
of the use of automated traffic law enforcement systems to  | 
record vehicle speeds is an exclusive power and function of  | 
the State. This subsection (c) is a denial and limitation of  | 
home rule powers and functions under subsection (h) of Section  | 
6 of Article VII of the Illinois Constitution.  | 
 (c-5) A county or municipality, including a home rule  | 
county or municipality, may not use an automated traffic law  | 
enforcement system to issue violations in instances where the  | 
motor vehicle comes to a complete stop and does not enter the  | 
intersection, as defined by Section 1-132 of this Code, during  | 
the cycle of the red signal indication unless one or more  | 
pedestrians or bicyclists are present, even if the motor  | 
vehicle stops at a point past a stop line or crosswalk where a  | 
driver is required to stop, as specified in subsection (c) of  | 
Section 11-306 of this Code or a similar provision of a local  | 
ordinance.  | 
 (c-6) A county, or a municipality with less than 2,000,000  | 
inhabitants, including a home rule county or municipality, may  | 
not use an automated traffic law enforcement system to issue  | 
violations in instances where a motorcyclist enters an  | 
intersection against a red signal indication when the red  | 
signal fails to change to a green signal within a reasonable  | 
period of time not less than 120 seconds because of a signal  | 
malfunction or because the signal has failed to detect the  | 
arrival of the motorcycle due to the motorcycle's size or  | 
weight. | 
 | 
 (d) For each violation of a provision of this Code or a  | 
local ordinance recorded by an automatic traffic law  | 
enforcement system, the county or municipality having  | 
jurisdiction shall issue a written notice of the violation to  | 
the registered owner of the vehicle as the alleged violator.  | 
The notice shall be delivered to the registered owner of the  | 
vehicle, by mail, within 30 days after the Secretary of State  | 
notifies the municipality or county of the identity of the  | 
owner of the vehicle, but in no event later than 90 days after  | 
the violation. | 
 The notice shall include: | 
  (1) the name and address of the registered owner of  | 
 the vehicle; | 
  (2) the registration number of the motor vehicle  | 
 involved in the violation; | 
  (3) the violation charged; | 
  (4) the location where the violation occurred; | 
  (5) the date and time of the violation; | 
  (6) a copy of the recorded images; | 
  (7) the amount of the civil penalty imposed and the  | 
 requirements of any traffic education program imposed and  | 
 the date by which the civil penalty should be paid and the  | 
 traffic education program should be completed; | 
  (8) a statement that recorded images are evidence of a  | 
 violation of a red light signal; | 
  (9) a warning that failure to pay the civil penalty,  | 
 | 
 to complete a required traffic education program, or to  | 
 contest liability in a timely manner is an admission of  | 
 liability; | 
  (10) a statement that the person may elect to proceed  | 
 by: | 
   (A) paying the fine, completing a required traffic  | 
 education program, or both; or | 
   (B) challenging the charge in court, by mail, or  | 
 by administrative hearing; and | 
  (11) a website address, accessible through the  | 
 Internet, where the person may view the recorded images of  | 
 the violation.  | 
 (e) (Blank). | 
 (f) Based on inspection of recorded images produced by an  | 
automated traffic law enforcement system, a notice alleging  | 
that the violation occurred shall be evidence of the facts  | 
contained in the notice and admissible in any proceeding  | 
alleging a violation under this Section. | 
 (g) Recorded images made by an automatic traffic law  | 
enforcement system are confidential and shall be made  | 
available only to the alleged violator and governmental and  | 
law enforcement agencies for purposes of adjudicating a  | 
violation of this Section, for statistical purposes, or for  | 
other governmental purposes. Any recorded image evidencing a  | 
violation of this Section, however, may be admissible in any  | 
proceeding resulting from the issuance of the citation. | 
 | 
 (h) The court or hearing officer may consider in defense  | 
of a violation: | 
  (1) that the motor vehicle or registration plates or  | 
 digital registration plates of the motor vehicle were  | 
 stolen before the violation occurred and not under the  | 
 control of or in the possession of the owner or lessee at  | 
 the time of the violation; | 
  (1.5) that the motor vehicle was hijacked before the  | 
 violation occurred and not under the control of or in the  | 
 possession of the owner or lessee at the time of the  | 
 violation; | 
  (2) that the driver of the vehicle passed through the  | 
 intersection when the light was red either (i) in order to  | 
 yield the right-of-way to an emergency vehicle or (ii) as  | 
 part of a funeral procession; and | 
  (3) any other evidence or issues provided by municipal  | 
 or county ordinance. | 
 (i) To demonstrate that the motor vehicle was hijacked or  | 
the motor vehicle or registration plates or digital  | 
registration plates were stolen before the violation occurred  | 
and were not under the control or possession of the owner or  | 
lessee at the time of the violation, the owner or lessee must  | 
submit proof that a report concerning the motor vehicle or  | 
registration plates was filed with a law enforcement agency in  | 
a timely manner. | 
 (j) Unless the driver of the motor vehicle received a  | 
 | 
Uniform Traffic Citation from a police officer at the time of  | 
the violation, the motor vehicle owner is subject to a civil  | 
penalty not exceeding $100 or the completion of a traffic  | 
education program, or both, plus an additional penalty of not  | 
more than $100 for failure to pay the original penalty or to  | 
complete a required traffic education program, or both, in a  | 
timely manner, if the motor vehicle is recorded by an  | 
automated traffic law enforcement system. A violation for  | 
which a civil penalty is imposed under this Section is not a  | 
violation of a traffic regulation governing the movement of  | 
vehicles and may not be recorded on the driving record of the  | 
owner of the vehicle. | 
 (j-3) A registered owner who is a holder of a valid  | 
commercial driver's license is not required to complete a  | 
traffic education program.  | 
 (j-5) For purposes of the required traffic education  | 
program only, a registered owner may submit an affidavit to  | 
the court or hearing officer swearing that at the time of the  | 
alleged violation, the vehicle was in the custody and control  | 
of another person. The affidavit must identify the person in  | 
custody and control of the vehicle, including the person's  | 
name and current address. The person in custody and control of  | 
the vehicle at the time of the violation is required to  | 
complete the required traffic education program. If the person  | 
in custody and control of the vehicle at the time of the  | 
violation completes the required traffic education program,  | 
 | 
the registered owner of the vehicle is not required to  | 
complete a traffic education program.  | 
 (k) An intersection equipped with an automated traffic law  | 
enforcement system must be posted with a sign visible to  | 
approaching traffic indicating that the intersection is being  | 
monitored by an automated traffic law enforcement system and  | 
informing drivers whether, following a stop, a right turn at  | 
the intersection is permitted or prohibited. | 
 (k-3) A municipality or county that has one or more  | 
intersections equipped with an automated traffic law  | 
enforcement system must provide notice to drivers by posting  | 
the locations of automated traffic law systems on the  | 
municipality or county website.  | 
 (k-5) An intersection equipped with an automated traffic  | 
law enforcement system must have a yellow change interval that  | 
conforms with the Illinois Manual on Uniform Traffic Control  | 
Devices (IMUTCD) published by the Illinois Department of  | 
Transportation. Beginning 6 months before it installs an  | 
automated traffic law enforcement system at an intersection, a  | 
county or municipality may not change the yellow change  | 
interval at that intersection.  | 
 (k-7) A municipality or county operating an automated  | 
traffic law enforcement system shall conduct a statistical  | 
analysis to assess the safety impact of each automated traffic  | 
law enforcement system at an intersection following  | 
installation of the system and every 2 years thereafter. Each  | 
 | 
statistical analysis shall be based upon the best available  | 
crash, traffic, and other data, and shall cover a period of  | 
time before and after installation of the system sufficient to  | 
provide a statistically valid comparison of safety impact.  | 
Each statistical analysis shall be consistent with  | 
professional judgment and acceptable industry practice. Each  | 
statistical analysis also shall be consistent with the data  | 
required for valid comparisons of before and after conditions  | 
and shall be conducted within a reasonable period following  | 
the installation of the automated traffic law enforcement  | 
system. Each statistical analysis required by this subsection  | 
(k-7) shall be made available to the public and shall be  | 
published on the website of the municipality or county. If a  | 
statistical analysis 36-month indicates that there has been an  | 
increase in the rate of crashes at the approach to the  | 
intersection monitored by the system, the municipality or  | 
county shall undertake additional studies to determine the  | 
cause and severity of the crashes, and may take any action that  | 
it determines is necessary or appropriate to reduce the number  | 
or severity of the crashes at that intersection. | 
 (k-8) Any municipality or county operating an automated  | 
traffic law enforcement system before July 28, 2023 (the  | 
effective date of Public Act 103-364) this amendatory Act of  | 
the 103rd General Assembly shall conduct a statistical  | 
analysis to assess the safety impact of each automated traffic  | 
law enforcement system at an intersection by no later than one  | 
 | 
year after July 28, 2023 (the effective date of Public Act  | 
103-364) this amendatory Act of the 103rd General Assembly and  | 
every 2 years thereafter. The statistical analyses shall be  | 
based upon the best available crash, traffic, and other data,  | 
and shall cover a period of time before and after installation  | 
of the system sufficient to provide a statistically valid  | 
comparison of safety impact. The statistical analyses shall be  | 
consistent with professional judgment and acceptable industry  | 
practice. The statistical analyses also shall be consistent  | 
with the data required for valid comparisons of before and  | 
after conditions. The statistical analyses required by this  | 
subsection shall be made available to the public and shall be  | 
published on the website of the municipality or county. If the  | 
statistical analysis for any period following installation of  | 
the system indicates that there has been an increase in the  | 
rate of accidents at the approach to the intersection  | 
monitored by the system, the municipality or county shall  | 
undertake additional studies to determine the cause and  | 
severity of the accidents, and may take any action that it  | 
determines is necessary or appropriate to reduce the number or  | 
severity of the accidents at that intersection.  | 
 (l) The compensation paid for an automated traffic law  | 
enforcement system must be based on the value of the equipment  | 
or the services provided and may not be based on the number of  | 
traffic citations issued or the revenue generated by the  | 
system. | 
 | 
 (l-1) No member of the General Assembly and no officer or  | 
employee of a municipality or county shall knowingly accept  | 
employment or receive compensation or fees for services from a  | 
vendor that provides automated traffic law enforcement system  | 
equipment or services to municipalities or counties. No former  | 
member of the General Assembly shall, within a period of 2  | 
years immediately after the termination of service as a member  | 
of the General Assembly, knowingly accept employment or  | 
receive compensation or fees for services from a vendor that  | 
provides automated traffic law enforcement system equipment or  | 
services to municipalities or counties. No former officer or  | 
employee of a municipality or county shall, within a period of  | 
2 years immediately after the termination of municipal or  | 
county employment, knowingly accept employment or receive  | 
compensation or fees for services from a vendor that provides  | 
automated traffic law enforcement system equipment or services  | 
to municipalities or counties.  | 
 (m) This Section applies only to the counties of Cook,  | 
DuPage, Kane, Lake, Madison, McHenry, St. Clair, and Will and  | 
to municipalities located within those counties. | 
 (n) The fee for participating in a traffic education  | 
program under this Section shall not exceed $25. | 
 A low-income individual required to complete a traffic  | 
education program under this Section who provides proof of  | 
eligibility for the federal earned income tax credit under  | 
Section 32 of the Internal Revenue Code or the Illinois earned  | 
 | 
income tax credit under Section 212 of the Illinois Income Tax  | 
Act shall not be required to pay any fee for participating in a  | 
required traffic education program.  | 
 (o) (Blank).  | 
 (p) No person who is the lessor of a motor vehicle pursuant  | 
to a written lease agreement shall be liable for an automated  | 
speed or traffic law enforcement system violation involving  | 
such motor vehicle during the period of the lease; provided  | 
that upon the request of the appropriate authority received  | 
within 120 days after the violation occurred, the lessor  | 
provides within 60 days after such receipt the name and  | 
address of the lessee. | 
 Upon the provision of information by the lessor pursuant  | 
to this subsection, the county or municipality may issue the  | 
violation to the lessee of the vehicle in the same manner as it  | 
would issue a violation to a registered owner of a vehicle  | 
pursuant to this Section, and the lessee may be held liable for  | 
the violation.  | 
 (q) If a county or municipality selects a new vendor for  | 
its automated traffic law enforcement system and must, as a  | 
consequence, apply for a permit, approval, or other  | 
authorization from the Department for reinstallation of one or  | 
more malfunctioning components of that system and if, at the  | 
time of the application for the permit, approval, or other  | 
authorization, the new vendor operates an automated traffic  | 
law enforcement system for any other county or municipality in  | 
 | 
the State, then the Department shall approve or deny the  | 
county or municipality's application for the permit, approval,  | 
or other authorization within 90 days after its receipt.  | 
 (r) The Department may revoke any permit, approval, or  | 
other authorization granted to a county or municipality for  | 
the placement, installation, or operation of an automated  | 
traffic law enforcement system if any official or employee who  | 
serves that county or municipality is charged with bribery,  | 
official misconduct, or a similar crime related to the  | 
placement, installation, or operation of the automated traffic  | 
law enforcement system in the county or municipality. | 
 The Department shall adopt any rules necessary to  | 
implement and administer this subsection. The rules adopted by  | 
the Department shall describe the revocation process, shall  | 
ensure that notice of the revocation is provided, and shall  | 
provide an opportunity to appeal the revocation. Any county or  | 
municipality that has a permit, approval, or other  | 
authorization revoked under this subsection may not reapply  | 
for such a permit, approval, or other authorization for a  | 
period of one 1 year after the revocation.  | 
 (s) If an automated traffic law enforcement system is  | 
removed or rendered inoperable due to construction, then the  | 
Department shall authorize the reinstallation or use of the  | 
automated traffic law enforcement system within 30 days after  | 
the construction is complete.  | 
(Source: P.A. 102-905, eff. 1-1-23; 102-982, eff. 7-1-23;  | 
 | 
103-154, eff. 6-30-23; 103-364, eff. 7-28-23; revised  | 
1-30-24.)
 | 
 (625 ILCS 5/11-305) (from Ch. 95 1/2, par. 11-305) | 
 Sec. 11-305. Obedience to and required traffic-control  | 
devices.  | 
 (a) The driver of any vehicle shall obey the instructions  | 
of any official traffic-control device applicable thereto  | 
placed or held in accordance with the provisions of this Act,  | 
unless otherwise directed by a police officer, subject to the  | 
exceptions granted the driver of an authorized emergency  | 
vehicle in this Act. | 
 (b) It is unlawful for any person to leave the roadway and  | 
travel across private property to avoid an official  | 
traffic-control traffic control device. | 
 (c) No provision of this Act for which official  | 
traffic-control devices are required shall be enforced against  | 
an alleged violator if at the time and place of the alleged  | 
violation an official device is not in proper position and  | 
sufficiently legible to be seen by an ordinarily observant  | 
person. Whenever a particular section does not state that  | 
official traffic-control devices are required, such section  | 
shall be effective even though no devices are erected or in  | 
place. | 
 (d) Whenever any official traffic-control device is placed  | 
or held in position approximately conforming to the  | 
 | 
requirements of this Act and purports to conform to the lawful  | 
requirements pertaining to such device, such device shall be  | 
presumed to have been so placed or held by the official act or  | 
direction of lawful authority, and comply with the  | 
requirements of this Act, unless the contrary shall be  | 
established by competent evidence. | 
 (e) The driver of a vehicle approaching a traffic control  | 
signal on which no signal light facing such vehicle is  | 
illuminated shall stop before entering the intersection in  | 
accordance with rules applicable in making a stop at a stop  | 
sign. This provision does not apply to the driver of a vehicle  | 
approaching a pedestrian hybrid beacon.  | 
 (f) Any violation of subsection (a) that occurs within a  | 
designated highway construction zone or maintenance zone shall  | 
result in a fine of no less than $100 and no more than $1,000.  | 
(Source: P.A. 103-158, eff. 1-1-24; revised 1-2-24.)
 | 
 Section 545. The Public-Private Partnerships for  | 
Transportation Act is amended by changing Section 19 as  | 
follows:
 | 
 (630 ILCS 5/19) | 
 Sec. 19. Unsolicited proposals. | 
 (a) A responsible public entity may receive unsolicited  | 
proposals for a project and may thereafter enter into a  | 
public-private agreement with a private entity, or a  | 
 | 
consortium of private entities, for the design, construction,  | 
upgrading, operating, ownership, or financing of facilities. | 
 (b) A responsible public entity may consider, evaluate,  | 
and accept an unsolicited proposal for a public-private  | 
partnership project from a private entity if the proposal: | 
  (1) is independently developed and drafted by the  | 
 proposer without responsible public entity supervision; | 
  (2) shows that the proposed project could benefit the  | 
 transportation system; | 
  (3) includes a financing plan to allow the project to  | 
 move forward pursuant to the applicable responsible public  | 
 entity's budget and finance requirements; and | 
  (4) includes sufficient detail and information for the  | 
 responsible public entity to evaluate the proposal in an  | 
 objective and timely manner and permit a determination  | 
 that the project would be worthwhile. | 
 (c) The unsolicited proposal shall include the following: | 
  (1) an executive summary covering the major elements  | 
 of the proposal; | 
  (2) qualifications concerning the experience,  | 
 expertise, technical competence, and qualifications of the  | 
 private entity and of each member of its management team  | 
 and of other key employees, consultants, and  | 
 subcontractors, including the name, address, and  | 
 professional designation; | 
  (3) a project description, including, when applicable: | 
 | 
   (A) the limits, scope, and location of the  | 
 proposed project; | 
   (B) right-of-way requirements; | 
   (C) connections with other facilities and  | 
 improvements to those facilities necessary if the  | 
 project is developed; | 
   (D) a conceptual project design; and | 
   (E) a statement of the project's relationship to  | 
 and impact upon relevant existing plans of the  | 
 responsible public entity; | 
  (4) a facilities project schedule, including when  | 
 applicable, estimates of: | 
   (A) dates of contract award; | 
   (B) start of construction; | 
   (C) completion of construction; | 
   (D) start of operations; and | 
   (E) major maintenance or reconstruction activities  | 
 during the life of the proposed project agreement; | 
  (5) an operating plan describing the operation of the  | 
 completed facility if operation of a facility is part of  | 
 the proposal, describing the management structure and  | 
 approach, the proposed period of operations, enforcement,  | 
 emergency response, and other relevant information; | 
  (6) a finance plan describing the proposed financing  | 
 of the project, identifying the source of funds to, where  | 
 applicable, design, construct, maintain, and manage the  | 
 | 
 project during the term of the proposed contract; and | 
  (7) the legal basis for the project and licenses and  | 
 certifications; the private entity must demonstrate that  | 
 it has all licenses and certificates necessary to complete  | 
 the project. | 
 (d) Within 120 days after receiving an unsolicited  | 
proposal, the responsible public entity shall complete a  | 
preliminary evaluation of the unsolicited proposal and shall  | 
either: | 
  (1) if the preliminary evaluation is unfavorable,  | 
 return the proposal without further action; | 
  (2) if the preliminary evaluation is favorable, notify  | 
 the proposer that the responsible public entity will  | 
 further evaluate the proposal; or | 
  (3) request amendments, clarification, or modification  | 
 of the unsolicited proposal. | 
 (e) The procurement process for unsolicited proposals  | 
shall be as follows: | 
  (1) If the responsible public entity chooses to  | 
 further evaluate an unsolicited proposal with the intent  | 
 to enter into a public-private agreement for the proposed  | 
 project, then the responsible public entity shall publish  | 
 notice in the Illinois Procurement Bulletin or in a  | 
 newspaper of general circulation covering the location of  | 
 the project at least once a week for 2 weeks stating that  | 
 the responsible public entity has received a proposal and  | 
 | 
 will accept other proposals for the same project. The time  | 
 frame within which the responsible public entity may  | 
 accept other proposals shall be determined by the  | 
 responsible public entity on a project-by-project basis  | 
 based upon the complexity of the transportation project  | 
 and the public benefit to be gained by allowing a longer or  | 
 shorter period of time within which other proposals may be  | 
 received; however, the time frame for allowing other  | 
 proposals must be at least 21 days, but no more than 120  | 
 days, after the initial date of publication. | 
  (2) A copy of the notice must be mailed to each local  | 
 government directly affected by the transportation  | 
 project. | 
  (3) The responsible public entity shall provide  | 
 reasonably sufficient information, including the identity  | 
 of its contact person, to enable other private entities to  | 
 make proposals. | 
  (4) If, after no less than 120 days, no  | 
 counterproposal is received, or if the counterproposals  | 
 are evaluated and found to be equal to or inferior to the  | 
 original unsolicited proposal, the responsible public  | 
 entity may proceed to negotiate a contract with the  | 
 original proposer. | 
  (5) If, after no less than 120 days, one or more  | 
 counterproposals meeting unsolicited proposal standards  | 
 are received, and if, in the opinion of the responsible  | 
 | 
 public entity, the counterproposals are evaluated and  | 
 found to be superior to the original unsolicited proposal,  | 
 the responsible public entity shall proceed to determine  | 
 the successful participant through a final procurement  | 
 phase known as "Best and Final Offer" (BAFO). The BAFO is a  | 
 process whereby a responsible public entity shall invite  | 
 the original private sector party and the proponent  | 
 submitting the superior counterproposal to engage in a  | 
 BAFO phase. The invitation to participate in the BAFO  | 
 phase will provide to each participating proposer: | 
   (A) the general concepts that were considered  | 
 superior to the original proposal, while keeping  | 
 proprietary information contained in the proposals  | 
 confidential to the extent possible; and | 
   (B) the preestablished evaluation criteria or the  | 
 "basis of award" to be used to determine the  | 
 successful proponent. | 
  (6) Offers received in response to the BAFO invitation  | 
 will be reviewed by the responsible public entity and  | 
 scored in accordance with a preestablished criteria, or  | 
 alternatively, in accordance with the basis of award  | 
 provision identified through the BAFO process. The  | 
 successful proponent will be the proponent offering "best  | 
 value" to the responsible public entity. | 
  (7) In all cases, the basis of award will be the best  | 
 value to the responsible public entity, as determined by  | 
 | 
 the responsible public entity. | 
 (f) After a comprehensive evaluation and acceptance of an  | 
unsolicited proposal and any alternatives, the responsible  | 
public entity may commence negotiations with a proposer,  | 
considering: | 
  (1) the proposal has received a favorable  | 
 comprehensive evaluation; | 
  (2) the proposal is not duplicative of existing  | 
 infrastructure project; | 
  (3) the alternative proposal does not closely resemble  | 
 a pending competitive proposal for a public-private  | 
 private partnership or other procurement; | 
  (4) the proposal demonstrates a unique method,  | 
 approach, or concept; | 
  (5) facts and circumstances that preclude or warrant  | 
 additional competition; | 
  (6) the availability of any funds, debts, or assets  | 
 that the State will contribute to the project; | 
  (7) facts and circumstances demonstrating that the  | 
 project will likely have a significant adverse impact on  | 
 on State bond ratings; and | 
  (8) indemnifications included in the proposal. | 
(Source: P.A. 103-570, eff. 1-1-24; revised 1-3-24.)
 | 
 Section 550. The Clerks of Courts Act is amended by  | 
changing Section 27.1b as follows:
 | 
 | 
 (705 ILCS 105/27.1b) | 
 Sec. 27.1b. Circuit court clerk fees. Notwithstanding any  | 
other provision of law, all fees charged by the clerks of the  | 
circuit court for the services described in this Section shall  | 
be established, collected, and disbursed in accordance with  | 
this Section. Except as otherwise specified in this Section,  | 
all fees under this Section shall be paid in advance and  | 
disbursed by each clerk on a monthly basis. In a county with a  | 
population of over 3,000,000, units of local government and  | 
school districts shall not be required to pay fees under this  | 
Section in advance and the clerk shall instead send an  | 
itemized bill to the unit of local government or school  | 
district, within 30 days of the fee being incurred, and the  | 
unit of local government or school district shall be allowed  | 
at least 30 days from the date of the itemized bill to pay;  | 
these payments shall be disbursed by each clerk on a monthly  | 
basis. Unless otherwise specified in this Section, the amount  | 
of a fee shall be determined by ordinance or resolution of the  | 
county board and remitted to the county treasurer to be used  | 
for purposes related to the operation of the court system in  | 
the county. In a county with a population of over 3,000,000,  | 
any amount retained by the clerk of the circuit court or  | 
remitted to the county treasurer shall be subject to  | 
appropriation by the county board. | 
 (a) Civil cases. The fee for filing a complaint, petition,  | 
 | 
or other pleading initiating a civil action shall be as set  | 
forth in the applicable schedule under this subsection in  | 
accordance with case categories established by the Supreme  | 
Court in schedules.  | 
  (1) SCHEDULE 1: not to exceed a total of $366 in a  | 
 county with a population of 3,000,000 or more and not to  | 
 exceed $316 in any other county, except as applied to  | 
 units of local government and school districts in counties  | 
 with more than 3,000,000 inhabitants an amount not to  | 
 exceed $190 through December 31, 2021 and $184 on and  | 
 after January 1, 2022. The fees collected under this  | 
 schedule shall be disbursed as follows: | 
   (A) The clerk shall retain a sum, in an amount not  | 
 to exceed $55 in a county with a population of  | 
 3,000,000 or more and in an amount not to exceed $45 in  | 
 any other county determined by the clerk with the  | 
 approval of the Supreme Court, to be used for court  | 
 automation, court document storage, and administrative  | 
 purposes. | 
   (B) The clerk shall remit up to $21 to the State  | 
 Treasurer. The State Treasurer shall deposit the  | 
 appropriate amounts, in accordance with the clerk's  | 
 instructions, as follows: | 
    (i) up to $10, as specified by the Supreme  | 
 Court in accordance with Part 10A of Article II of  | 
 the Code of Civil Procedure, into the Mandatory  | 
 | 
 Arbitration Fund; | 
    (ii) $2 into the Access to Justice Fund; and | 
    (iii) $9 into the Supreme Court Special  | 
 Purposes Fund. | 
   (C) The clerk shall remit a sum to the County  | 
 Treasurer, in an amount not to exceed $290 in a county  | 
 with a population of 3,000,000 or more and in an amount  | 
 not to exceed $250 in any other county, as specified by  | 
 ordinance or resolution passed by the county board,  | 
 for purposes related to the operation of the court  | 
 system in the county. | 
  (2) SCHEDULE 2: not to exceed a total of $357 in a  | 
 county with a population of 3,000,000 or more and not to  | 
 exceed $266 in any other county, except as applied to  | 
 units of local government and school districts in counties  | 
 with more than 3,000,000 inhabitants an amount not to  | 
 exceed $190 through December 31, 2021 and $184 on and  | 
 after January 1, 2022. The fees collected under this  | 
 schedule shall be disbursed as follows: | 
   (A) The clerk shall retain a sum, in an amount not  | 
 to exceed $55 in a county with a population of  | 
 3,000,000 or more and in an amount not to exceed $45 in  | 
 any other county determined by the clerk with the  | 
 approval of the Supreme Court, to be used for court  | 
 automation, court document storage, and administrative  | 
 purposes. | 
 | 
   (B) The clerk shall remit up to $21 to the State  | 
 Treasurer. The State Treasurer shall deposit the  | 
 appropriate amounts, in accordance with the clerk's  | 
 instructions, as follows: | 
    (i) up to $10, as specified by the Supreme  | 
 Court in accordance with Part 10A of Article II of  | 
 the Code of Civil Procedure, into the Mandatory  | 
 Arbitration Fund; | 
    (ii) $2 into the Access to Justice Fund: and | 
    (iii) $9 into the Supreme Court Special  | 
 Purposes Fund. | 
   (C) The clerk shall remit a sum to the County  | 
 Treasurer, in an amount not to exceed $281 in a county  | 
 with a population of 3,000,000 or more and in an amount  | 
 not to exceed $200 in any other county, as specified by  | 
 ordinance or resolution passed by the county board,  | 
 for purposes related to the operation of the court  | 
 system in the county. | 
  (3) SCHEDULE 3: not to exceed a total of $265 in a  | 
 county with a population of 3,000,000 or more and not to  | 
 exceed $89 in any other county, except as applied to units  | 
 of local government and school districts in counties with  | 
 more than 3,000,000 inhabitants an amount not to exceed  | 
 $190 through December 31, 2021 and $184 on and after  | 
 January 1, 2022. The fees collected under this schedule  | 
 shall be disbursed as follows: | 
 | 
   (A) The clerk shall retain a sum, in an amount not  | 
 to exceed $55 in a county with a population of  | 
 3,000,000 or more and in an amount not to exceed $22 in  | 
 any other county determined by the clerk with the  | 
 approval of the Supreme Court, to be used for court  | 
 automation, court document storage, and administrative  | 
 purposes. | 
   (B) The clerk shall remit $11 to the State  | 
 Treasurer. The State Treasurer shall deposit the  | 
 appropriate amounts in accordance with the clerk's  | 
 instructions, as follows: | 
    (i) $2 into the Access to Justice Fund; and | 
    (ii) $9 into the Supreme Court Special  | 
 Purposes Fund. | 
   (C) The clerk shall remit a sum to the County  | 
 Treasurer, in an amount not to exceed $199 in a county  | 
 with a population of 3,000,000 or more and in an amount  | 
 not to exceed $56 in any other county, as specified by  | 
 ordinance or resolution passed by the county board,  | 
 for purposes related to the operation of the court  | 
 system in the county. | 
  (4) SCHEDULE 4: $0. | 
 (b) Appearance. The fee for filing an appearance in a  | 
civil action, including a cannabis civil law action under the  | 
Cannabis Control Act, shall be as set forth in the applicable  | 
schedule under this subsection in accordance with case  | 
 | 
categories established by the Supreme Court in schedules. | 
  (1) SCHEDULE 1: not to exceed a total of $230 in a  | 
 county with a population of 3,000,000 or more and not to  | 
 exceed $191 in any other county, except as applied to  | 
 units of local government and school districts in counties  | 
 with more than 3,000,000 inhabitants an amount not to  | 
 exceed $75. The fees collected under this schedule shall  | 
 be disbursed as follows: | 
   (A) The clerk shall retain a sum, in an amount not  | 
 to exceed $50 in a county with a population of  | 
 3,000,000 or more and in an amount not to exceed $45 in  | 
 any other county determined by the clerk with the  | 
 approval of the Supreme Court, to be used for court  | 
 automation, court document storage, and administrative  | 
 purposes. | 
   (B) The clerk shall remit up to $21 to the State  | 
 Treasurer. The State Treasurer shall deposit the  | 
 appropriate amounts, in accordance with the clerk's  | 
 instructions, as follows: | 
    (i) up to $10, as specified by the Supreme  | 
 Court in accordance with Part 10A of Article II of  | 
 the Code of Civil Procedure, into the Mandatory  | 
 Arbitration Fund; | 
    (ii) $2 into the Access to Justice Fund; and | 
    (iii) $9 into the Supreme Court Special  | 
 Purposes Fund. | 
 | 
   (C) The clerk shall remit a sum to the County  | 
 Treasurer, in an amount not to exceed $159 in a county  | 
 with a population of 3,000,000 or more and in an amount  | 
 not to exceed $125 in any other county, as specified by  | 
 ordinance or resolution passed by the county board,  | 
 for purposes related to the operation of the court  | 
 system in the county. | 
  (2) SCHEDULE 2: not to exceed a total of $130 in a  | 
 county with a population of 3,000,000 or more and not to  | 
 exceed $109 in any other county, except as applied to  | 
 units of local government and school districts in counties  | 
 with more than 3,000,000 inhabitants an amount not to  | 
 exceed $75. The fees collected under this schedule shall  | 
 be disbursed as follows: | 
   (A) The clerk shall retain a sum, in an amount not  | 
 to exceed $50 in a county with a population of  | 
 3,000,000 or more and in an amount not to exceed $10 in  | 
 any other county determined by the clerk with the  | 
 approval of the Supreme Court, to be used for court  | 
 automation, court document storage, and administrative  | 
 purposes. | 
   (B) The clerk shall remit $9 to the State  | 
 Treasurer, which the State Treasurer shall deposit  | 
 into the Supreme Court Special Purposes Fund. | 
   (C) The clerk shall remit a sum to the County  | 
 Treasurer, in an amount not to exceed $71 in a county  | 
 | 
 with a population of 3,000,000 or more and in an amount  | 
 not to exceed $90 in any other county, as specified by  | 
 ordinance or resolution passed by the county board,  | 
 for purposes related to the operation of the court  | 
 system in the county. | 
  (3) SCHEDULE 3: $0. | 
 (b-5) Kane County and Will County. In Kane County and Will  | 
County civil cases, there is an additional fee of up to $30 as  | 
set by the county board under Section 5-1101.3 of the Counties  | 
Code to be paid by each party at the time of filing the first  | 
pleading, paper, or other appearance; provided that no  | 
additional fee shall be required if more than one party is  | 
represented in a single pleading, paper, or other appearance.  | 
Distribution of fees collected under this subsection (b-5)  | 
shall be as provided in Section 5-1101.3 of the Counties Code.  | 
 (c) Counterclaim or third party complaint. When any  | 
defendant files a counterclaim or third party complaint, as  | 
part of the defendant's answer or otherwise, the defendant  | 
shall pay a filing fee for each counterclaim or third party  | 
complaint in an amount equal to the filing fee the defendant  | 
would have had to pay had the defendant brought a separate  | 
action for the relief sought in the counterclaim or third  | 
party complaint, less the amount of the appearance fee, if  | 
any, that the defendant has already paid in the action in which  | 
the counterclaim or third party complaint is filed. | 
 (d) Alias summons. The clerk shall collect a fee not to  | 
 | 
exceed $6 in a county with a population of 3,000,000 or more  | 
and not to exceed $5 in any other county for each alias summons  | 
or citation issued by the clerk, except as applied to units of  | 
local government and school districts in counties with more  | 
than 3,000,000 inhabitants an amount not to exceed $5 for each  | 
alias summons or citation issued by the clerk. | 
 (e) Jury services. The clerk shall collect, in addition to  | 
other fees allowed by law, a sum not to exceed $212.50, as a  | 
fee for the services of a jury in every civil action not  | 
quasi-criminal in its nature and not a proceeding for the  | 
exercise of the right of eminent domain and in every other  | 
action wherein the right of trial by jury is or may be given by  | 
law. The jury fee shall be paid by the party demanding a jury  | 
at the time of filing the jury demand. If the fee is not paid  | 
by either party, no jury shall be called in the action or  | 
proceeding, and the action or proceeding shall be tried by the  | 
court without a jury. | 
 (f) Change of venue. In connection with a change of venue: | 
  (1) The clerk of the jurisdiction from which the case  | 
 is transferred may charge a fee, not to exceed $40, for the  | 
 preparation and certification of the record; and | 
  (2) The clerk of the jurisdiction to which the case is  | 
 transferred may charge the same filing fee as if it were  | 
 the commencement of a new suit. | 
 (g) Petition to vacate or modify. | 
  (1) In a proceeding involving a petition to vacate or  | 
 | 
 modify any final judgment or order filed within 30 days  | 
 after the judgment or order was entered, except for an  | 
 eviction case, small claims case, petition to reopen an  | 
 estate, petition to modify, terminate, or enforce a  | 
 judgment or order for child or spousal support, or  | 
 petition to modify, suspend, or terminate an order for  | 
 withholding, the fee shall not exceed $60 in a county with  | 
 a population of 3,000,000 or more and shall not exceed $50  | 
 in any other county, except as applied to units of local  | 
 government and school districts in counties with more than  | 
 3,000,000 inhabitants an amount not to exceed $50. | 
  (2) In a proceeding involving a petition to vacate or  | 
 modify any final judgment or order filed more than 30 days  | 
 after the judgment or order was entered, except for a  | 
 petition to modify, terminate, or enforce a judgment or  | 
 order for child or spousal support, or petition to modify,  | 
 suspend, or terminate an order for withholding, the fee  | 
 shall not exceed $75. | 
  (3) In a proceeding involving a motion to vacate or  | 
 amend a final order, motion to vacate an ex parte  | 
 judgment, judgment of forfeiture, or "failure to appear"  | 
 or "failure to comply" notices sent to the Secretary of  | 
 State, the fee shall equal $40. | 
 (h) Appeals preparation. The fee for preparation of a  | 
record on appeal shall be based on the number of pages, as  | 
follows: | 
 | 
  (1) if the record contains no more than 100 pages, the  | 
 fee shall not exceed $70 in a county with a population of  | 
 3,000,000 or more and shall not exceed $50 in any other  | 
 county; | 
  (2) if the record contains between 100 and 200 pages,  | 
 the fee shall not exceed $100; and | 
  (3) if the record contains 200 or more pages, the  | 
 clerk may collect an additional fee not to exceed 25 cents  | 
 per page. | 
 (i) Remands. In any cases remanded to the circuit court  | 
from the Supreme Court or the appellate court for a new trial,  | 
the clerk shall reinstate the case with either its original  | 
number or a new number. The clerk shall not charge any new or  | 
additional fee for the reinstatement. Upon reinstatement, the  | 
clerk shall advise the parties of the reinstatement. Parties  | 
shall have the same right to a jury trial on remand and  | 
reinstatement that they had before the appeal, and no  | 
additional or new fee or charge shall be made for a jury trial  | 
after remand. | 
 (j) Garnishment, wage deduction, and citation. In  | 
garnishment affidavit, wage deduction affidavit, and citation  | 
petition proceedings: | 
  (1) if the amount in controversy in the proceeding is  | 
 not more than $1,000, the fee may not exceed $35 in a  | 
 county with a population of 3,000,000 or more and may not  | 
 exceed $15 in any other county, except as applied to units  | 
 | 
 of local government and school districts in counties with  | 
 more than 3,000,000 inhabitants an amount not to exceed  | 
 $15; | 
  (2) if the amount in controversy in the proceeding is  | 
 greater than $1,000 and not more than $5,000, the fee may  | 
 not exceed $45 in a county with a population of 3,000,000  | 
 or more and may not exceed $30 in any other county, except  | 
 as applied to units of local government and school  | 
 districts in counties with more than 3,000,000 inhabitants  | 
 an amount not to exceed $30; and | 
  (3) if the amount in controversy in the proceeding is  | 
 greater than $5,000, the fee may not exceed $65 in a county  | 
 with a population of 3,000,000 or more and may not exceed  | 
 $50 in any other county, except as applied to units of  | 
 local government and school districts in counties with  | 
 more than 3,000,000 inhabitants an amount not to exceed  | 
 $50. | 
 (j-5) Debt collection. In any proceeding to collect a debt  | 
subject to the exception in item (ii) of subparagraph (A-5) of  | 
paragraph (1) of subsection (z) of this Section, the circuit  | 
court shall order and the clerk shall collect from each  | 
judgment debtor a fee of:  | 
  (1) $35 if the amount in controversy in the proceeding  | 
 is not more than $1,000; | 
  (2) $45 if the amount in controversy in the proceeding  | 
 is greater than $1,000 and not more than $5,000; and  | 
 | 
  (3) $65 if the amount in controversy in the proceeding  | 
 is greater than $5,000.  | 
 (k) Collections. | 
  (1) For all collections made of others, except the  | 
 State and county and except in maintenance or child  | 
 support cases, the clerk may collect a fee of up to 2.5% of  | 
 the amount collected and turned over. | 
  (2) In child support and maintenance cases, the clerk  | 
 may collect an annual fee of up to $36 from the person  | 
 making payment for maintaining child support records and  | 
 the processing of support orders to the State of Illinois  | 
 KIDS system and the recording of payments issued by the  | 
 State Disbursement Unit for the official record of the  | 
 Court. This fee is in addition to and separate from  | 
 amounts ordered to be paid as maintenance or child support  | 
 and shall be deposited into a Separate Maintenance and  | 
 Child Support Collection Fund, of which the clerk shall be  | 
 the custodian, ex officio, to be used by the clerk to  | 
 maintain child support orders and record all payments  | 
 issued by the State Disbursement Unit for the official  | 
 record of the Court. The clerk may recover from the person  | 
 making the maintenance or child support payment any  | 
 additional cost incurred in the collection of this annual  | 
 fee. | 
  (3) The clerk may collect a fee of $5 for  | 
 certifications made to the Secretary of State as provided  | 
 | 
 in Section 7-703 of the Illinois Vehicle Code, and this  | 
 fee shall be deposited into the Separate Maintenance and  | 
 Child Support Collection Fund. | 
  (4) In proceedings to foreclose the lien of delinquent  | 
 real estate taxes, State's Attorneys shall receive a fee  | 
 of 10% of the total amount realized from the sale of real  | 
 estate sold in the proceedings. The clerk shall collect  | 
 the fee from the total amount realized from the sale of the  | 
 real estate sold in the proceedings and remit to the  | 
 County Treasurer to be credited to the earnings of the  | 
 Office of the State's Attorney.  | 
 (l) Mailing. The fee for the clerk mailing documents shall  | 
not exceed $10 plus the cost of postage. | 
 (m) Certified copies. The fee for each certified copy of a  | 
judgment, after the first copy, shall not exceed $10. | 
 (n) Certification, authentication, and reproduction. | 
  (1) The fee for each certification or authentication  | 
 for taking the acknowledgment of a deed or other  | 
 instrument in writing with the seal of office shall not  | 
 exceed $6. | 
  (2) The fee for reproduction of any document contained  | 
 in the clerk's files shall not exceed: | 
   (A) $2 for the first page; | 
   (B) 50 cents per page for the next 19 pages; and | 
   (C) 25 cents per page for all additional pages. | 
 (o) Record search. For each record search, within a  | 
 | 
division or municipal district, the clerk may collect a search  | 
fee not to exceed $6 for each year searched. | 
 (p) Hard copy. For each page of hard copy print output,  | 
when case records are maintained on an automated medium, the  | 
clerk may collect a fee not to exceed $10 in a county with a  | 
population of 3,000,000 or more and not to exceed $6 in any  | 
other county, except as applied to units of local government  | 
and school districts in counties with more than 3,000,000  | 
inhabitants an amount not to exceed $6. | 
 (q) Index inquiry and other records. No fee shall be  | 
charged for a single plaintiff and defendant index inquiry or  | 
single case record inquiry when this request is made in person  | 
and the records are maintained in a current automated medium,  | 
and when no hard copy print output is requested. The fees to be  | 
charged for management records, multiple case records, and  | 
multiple journal records may be specified by the Chief Judge  | 
pursuant to the guidelines for access and dissemination of  | 
information approved by the Supreme Court. | 
 (r) Performing a marriage. There shall be a $10 fee for  | 
performing a marriage in court. | 
 (s) Voluntary assignment. For filing each deed of  | 
voluntary assignment, the clerk shall collect a fee not to  | 
exceed $20. For recording a deed of voluntary assignment, the  | 
clerk shall collect a fee not to exceed 50 cents for each 100  | 
words. Exceptions filed to claims presented to an assignee of  | 
a debtor who has made a voluntary assignment for the benefit of  | 
 | 
creditors shall be considered and treated, for the purpose of  | 
taxing costs therein, as actions in which the party or parties  | 
filing the exceptions shall be considered as party or parties  | 
plaintiff, and the claimant or claimants as party or parties  | 
defendant, and those parties respectively shall pay to the  | 
clerk the same fees as provided by this Section to be paid in  | 
other actions. | 
 (t) Expungement petition. Except as provided in Sections  | 
1-19 and 5-915 of the Juvenile Court Act of 1987, the clerk may  | 
collect a fee not to exceed $60 for each expungement petition  | 
filed and an additional fee not to exceed $4 for each certified  | 
copy of an order to expunge arrest records. | 
 (u) Transcripts of judgment. For the filing of a  | 
transcript of judgment, the clerk may collect the same fee as  | 
if it were the commencement of a new suit. | 
 (v) Probate filings. | 
  (1) For each account (other than one final account)  | 
 filed in the estate of a decedent, or ward, the fee shall  | 
 not exceed $25. | 
  (2) For filing a claim in an estate when the amount  | 
 claimed is greater than $150 and not more than $500, the  | 
 fee shall not exceed $40 in a county with a population of  | 
 3,000,000 or more and shall not exceed $25 in any other  | 
 county; when the amount claimed is greater than $500 and  | 
 not more than $10,000, the fee shall not exceed $55 in a  | 
 county with a population of 3,000,000 or more and shall  | 
 | 
 not exceed $40 in any other county; and when the amount  | 
 claimed is more than $10,000, the fee shall not exceed $75  | 
 in a county with a population of 3,000,000 or more and  | 
 shall not exceed $60 in any other county; except the court  | 
 in allowing a claim may add to the amount allowed the  | 
 filing fee paid by the claimant. | 
  (3) For filing in an estate a claim, petition, or  | 
 supplemental proceeding based upon an action seeking  | 
 equitable relief including the construction or contest of  | 
 a will, enforcement of a contract to make a will, and  | 
 proceedings involving testamentary trusts or the  | 
 appointment of testamentary trustees, the fee shall not  | 
 exceed $60. | 
  (4) There shall be no fee for filing in an estate: (i)  | 
 the appearance of any person for the purpose of consent;  | 
 or (ii) the appearance of an executor, administrator,  | 
 administrator to collect, guardian, guardian ad litem, or  | 
 special administrator. | 
  (5) For each jury demand, the fee shall not exceed  | 
 $137.50. | 
  (6) For each certified copy of letters of office, of  | 
 court order, or other certification, the fee shall not  | 
 exceed $2 per page. | 
  (7) For each exemplification, the fee shall not exceed  | 
 $2, plus the fee for certification. | 
  (8) The executor, administrator, guardian, petitioner,  | 
 | 
 or other interested person or his or her attorney shall  | 
 pay the cost of publication by the clerk directly to the  | 
 newspaper. | 
  (9) The person on whose behalf a charge is incurred  | 
 for witness, court reporter, appraiser, or other  | 
 miscellaneous fees shall pay the same directly to the  | 
 person entitled thereto. | 
  (10) The executor, administrator, guardian,  | 
 petitioner, or other interested person or his or her  | 
 attorney shall pay to the clerk all postage charges  | 
 incurred by the clerk in mailing petitions, orders,  | 
 notices, or other documents pursuant to the provisions of  | 
 the Probate Act of 1975. | 
 (w) Corrections of numbers. For correction of the case  | 
number, case title, or attorney computer identification  | 
number, if required by rule of court, on any document filed in  | 
the clerk's office, to be charged against the party that filed  | 
the document, the fee shall not exceed $25. | 
 (x) Miscellaneous. | 
  (1) Interest earned on any fees collected by the clerk  | 
 shall be turned over to the county general fund as an  | 
 earning of the office. | 
  (2) For any check, draft, or other bank instrument  | 
 returned to the clerk for non-sufficient funds, account  | 
 closed, or payment stopped, the clerk shall collect a fee  | 
 of $25. | 
 | 
 (y) Other fees. Any fees not covered in this Section shall  | 
be set by rule or administrative order of the circuit court  | 
with the approval of the Administrative Office of the Illinois  | 
Courts. The clerk of the circuit court may provide services in  | 
connection with the operation of the clerk's office, other  | 
than those services mentioned in this Section, as may be  | 
requested by the public and agreed to by the clerk and approved  | 
by the Chief Judge. Any charges for additional services shall  | 
be as agreed to between the clerk and the party making the  | 
request and approved by the Chief Judge. Nothing in this  | 
subsection shall be construed to require any clerk to provide  | 
any service not otherwise required by law. | 
 (y-5) Unpaid fees. Unless a court ordered payment schedule  | 
is implemented or the fee requirements of this Section are  | 
waived under a court order, the clerk of the circuit court may  | 
add to any unpaid fees and costs under this Section a  | 
delinquency amount equal to 5% of the unpaid fees that remain  | 
unpaid after 30 days, 10% of the unpaid fees that remain unpaid  | 
after 60 days, and 15% of the unpaid fees that remain unpaid  | 
after 90 days. Notice to those parties may be made by signage  | 
posting or publication. The additional delinquency amounts  | 
collected under this Section shall be deposited into the  | 
Circuit Court Clerk Operations and Administration Fund and  | 
used to defray additional administrative costs incurred by the  | 
clerk of the circuit court in collecting unpaid fees and  | 
costs.  | 
 | 
 (z) Exceptions. | 
  (1) No fee authorized by this Section shall apply to: | 
   (A) police departments or other law enforcement  | 
 agencies. In this Section, "law enforcement agency"  | 
 means: an agency of the State or agency of a unit of  | 
 local government which is vested by law or ordinance  | 
 with the duty to maintain public order and to enforce  | 
 criminal laws or ordinances; the Attorney General; or  | 
 any State's Attorney; | 
   (A-5) any unit of local government or school  | 
 district, except in counties having a population of  | 
 500,000 or more the county board may by resolution set  | 
 fees for units of local government or school districts  | 
 no greater than the minimum fees applicable in  | 
 counties with a population less than 3,000,000;  | 
 provided however, no fee may be charged to any unit of  | 
 local government or school district in connection with  | 
 any action which, in whole or in part, is: (i) to  | 
 enforce an ordinance; (ii) to collect a debt; or (iii)  | 
 under the Administrative Review Law;  | 
   (B) any action instituted by the corporate  | 
 authority of a municipality with more than 1,000,000  | 
 inhabitants under Section 11-31-1 of the Illinois  | 
 Municipal Code and any action instituted under  | 
 subsection (b) of Section 11-31-1 of the Illinois  | 
 Municipal Code by a private owner or tenant of real  | 
 | 
 property within 1,200 feet of a dangerous or unsafe  | 
 building seeking an order compelling the owner or  | 
 owners of the building to take any of the actions  | 
 authorized under that subsection; | 
   (C) any commitment petition or petition for an  | 
 order authorizing the administration of psychotropic  | 
 medication or electroconvulsive therapy under the  | 
 Mental Health and Developmental Disabilities Code; | 
   (D) a petitioner in any order of protection  | 
 proceeding, including, but not limited to, fees for  | 
 filing, modifying, withdrawing, certifying, or  | 
 photocopying petitions for orders of protection,  | 
 issuing alias summons, any related filing service, or  | 
 certifying, modifying, vacating, or photocopying any  | 
 orders of protection; | 
   (E) proceedings for the appointment of a  | 
 confidential intermediary under the Adoption Act; | 
   (F) a minor subject to Article III, IV, or V of the  | 
 Juvenile Court Act of 1987, or the minor's parent,  | 
 guardian, or legal custodian; or | 
   (G) a minor under the age of 18 transferred to  | 
 adult court or excluded from juvenile court  | 
 jurisdiction under Article V of the Juvenile Court Act  | 
 of 1987, or the minor's parent, guardian, or legal  | 
 custodian.  | 
  (2) No fee other than the filing fee contained in the  | 
 | 
 applicable schedule in subsection (a) shall be charged to  | 
 any person in connection with an adoption proceeding. | 
  (3) Upon good cause shown, the court may waive any  | 
 fees associated with a special needs adoption. The term  | 
 "special needs adoption" has the meaning provided by the  | 
 Illinois Department of Children and Family Services. | 
(Source: P.A. 102-145, eff. 7-23-21; 102-278, eff. 8-6-21;  | 
102-558, eff. 8-20-21; 102-813, eff. 5-13-22; 103-4, eff.  | 
5-31-23; 103-379, eff. 7-28-23; revised 8-30-23.)
 | 
 Section 555. The Juvenile Court Act of 1987 is amended by  | 
changing Sections 1-8, 2-3, 2-6, 2-9, 2-10, 2-20, 2-28, 3-5,  | 
3-6, 3-16, 3-17, 3-19, 3-21, 3-24, 3-33.5, 4-8, 4-9, 4-14,  | 
4-16, 4-18, 4-21, 5-105, 5-120, 5-401.6, 5-410, 5-525, 5-601,  | 
5-610, 5-615, 5-625, 5-705, 5-710, 5-715, 5-810, 5-915, 6-7,  | 
6-9, and 6-10 as follows:
 | 
 (705 ILCS 405/1-8) | 
 Sec. 1-8. Confidentiality and accessibility of juvenile  | 
court records.  | 
 (A) A juvenile adjudication shall never be considered a  | 
conviction nor shall an adjudicated individual be considered a  | 
criminal. Unless expressly allowed by law, a juvenile  | 
adjudication shall not operate to impose upon the individual  | 
any of the civil disabilities ordinarily imposed by or  | 
resulting from conviction. Unless expressly allowed by law,  | 
 | 
adjudications shall not prejudice or disqualify the individual  | 
in any civil service application or appointment, from holding  | 
public office, or from receiving any license granted by public  | 
authority. All juvenile court records which have not been  | 
expunged are sealed and may never be disclosed to the general  | 
public or otherwise made widely available. Sealed juvenile  | 
court records may be obtained only under this Section and  | 
Section 1-7 and Part 9 of Article V of this Act, when their use  | 
is needed for good cause and with an order from the juvenile  | 
court. Inspection and copying of juvenile court records  | 
relating to a minor who is the subject of a proceeding under  | 
this Act shall be restricted to the following: | 
  (1) The minor who is the subject of record, the  | 
 minor's parents, guardian, and counsel. | 
  (2) Law enforcement officers and law enforcement  | 
 agencies when such information is essential to executing  | 
 an arrest or search warrant or other compulsory process,  | 
 or to conducting an ongoing investigation or relating to a  | 
 minor who has been adjudicated delinquent and there has  | 
 been a previous finding that the act which constitutes the  | 
 previous offense was committed in furtherance of criminal  | 
 activities by a criminal street gang. | 
  Before July 1, 1994, for the purposes of this Section,  | 
 "criminal street gang" means any ongoing organization,  | 
 association, or group of 3 or more persons, whether formal  | 
 or informal, having as one of its primary activities the  | 
 | 
 commission of one or more criminal acts and that has a  | 
 common name or common identifying sign, symbol, or  | 
 specific color apparel displayed, and whose members  | 
 individually or collectively engage in or have engaged in  | 
 a pattern of criminal activity. | 
  Beginning July 1, 1994, for purposes of this Section,  | 
 "criminal street gang" has the meaning ascribed to it in  | 
 Section 10 of the Illinois Streetgang Terrorism Omnibus  | 
 Prevention Act. | 
  (3) Judges, hearing officers, prosecutors, public  | 
 defenders, probation officers, social workers, or other  | 
 individuals assigned by the court to conduct a  | 
 pre-adjudication or pre-disposition investigation, and  | 
 individuals responsible for supervising or providing  | 
 temporary or permanent care and custody for minors under  | 
 the order of the juvenile court when essential to  | 
 performing their responsibilities. | 
  (4) Judges, federal, State, and local prosecutors,  | 
 public defenders, probation officers, and designated  | 
 staff: | 
   (a) in the course of a trial when institution of  | 
 criminal proceedings has been permitted or required  | 
 under Section 5-805; | 
   (b) when criminal proceedings have been permitted  | 
 or required under Section 5-805 and a minor is the  | 
 subject of a proceeding to determine the conditions of  | 
 | 
 pretrial release; | 
   (c) when criminal proceedings have been permitted  | 
 or required under Section 5-805 and a minor is the  | 
 subject of a pre-trial investigation, pre-sentence  | 
 investigation or fitness hearing, or proceedings on an  | 
 application for probation; or | 
   (d) when a minor becomes 18 years of age or older,  | 
 and is the subject of criminal proceedings, including  | 
 a hearing to determine the conditions of pretrial  | 
 release, a pre-trial investigation, a pre-sentence  | 
 investigation, a fitness hearing, or proceedings on an  | 
 application for probation. | 
  (5) Adult and Juvenile Prisoner Review Boards. | 
  (6) Authorized military personnel. | 
  (6.5) Employees of the federal government authorized  | 
 by law.  | 
  (7) Victims, their subrogees and legal  | 
 representatives; however, such persons shall have access  | 
 only to the name and address of the minor and information  | 
 pertaining to the disposition or alternative adjustment  | 
 plan of the juvenile court. | 
  (8) Persons engaged in bona fide research, with the  | 
 permission of the presiding judge of the juvenile court  | 
 and the chief executive of the agency that prepared the  | 
 particular records; provided that publication of such  | 
 research results in no disclosure of a minor's identity  | 
 | 
 and protects the confidentiality of the record. | 
  (9) The Secretary of State to whom the Clerk of the  | 
 Court shall report the disposition of all cases, as  | 
 required in Section 6-204 of the Illinois Vehicle Code.  | 
 However, information reported relative to these offenses  | 
 shall be privileged and available only to the Secretary of  | 
 State, courts, and police officers. | 
  (10) The administrator of a bonafide substance abuse  | 
 student assistance program with the permission of the  | 
 presiding judge of the juvenile court. | 
  (11) Mental health professionals on behalf of the  | 
 Department of Corrections or the Department of Human  | 
 Services or prosecutors who are evaluating, prosecuting,  | 
 or investigating a potential or actual petition brought  | 
 under the Sexually Violent Persons Commitment Act relating  | 
 to a person who is the subject of juvenile court records or  | 
 the respondent to a petition brought under the Sexually  | 
 Violent Persons Commitment Act, who is the subject of  | 
 juvenile court records sought. Any records and any  | 
 information obtained from those records under this  | 
 paragraph (11) may be used only in sexually violent  | 
 persons commitment proceedings. | 
  (12) (Blank).  | 
 (A-1) Findings and exclusions of paternity entered in  | 
proceedings occurring under Article II of this Act shall be  | 
disclosed, in a manner and form approved by the Presiding  | 
 | 
Judge of the Juvenile Court, to the Department of Healthcare  | 
and Family Services when necessary to discharge the duties of  | 
the Department of Healthcare and Family Services under Article  | 
X of the Illinois Public Aid Code.  | 
 (B) A minor who is the victim in a juvenile proceeding  | 
shall be provided the same confidentiality regarding  | 
disclosure of identity as the minor who is the subject of  | 
record. | 
 (C)(0.1) In cases where the records concern a pending  | 
juvenile court case, the requesting party seeking to inspect  | 
the juvenile court records shall provide actual notice to the  | 
attorney or guardian ad litem of the minor whose records are  | 
sought. | 
 (0.2) In cases where the juvenile court records concern a  | 
juvenile court case that is no longer pending, the requesting  | 
party seeking to inspect the juvenile court records shall  | 
provide actual notice to the minor or the minor's parent or  | 
legal guardian, and the matter shall be referred to the chief  | 
judge presiding over matters pursuant to this Act. | 
 (0.3) In determining whether juvenile court records should  | 
be made available for inspection and whether inspection should  | 
be limited to certain parts of the file, the court shall  | 
consider the minor's interest in confidentiality and  | 
rehabilitation over the requesting party's interest in  | 
obtaining the information. The State's Attorney, the minor,  | 
and the minor's parents, guardian, and counsel shall at all  | 
 | 
times have the right to examine court files and records. | 
 (0.4) Any records obtained in violation of this Section  | 
shall not be admissible in any criminal or civil proceeding,  | 
or operate to disqualify a minor from subsequently holding  | 
public office, or operate as a forfeiture of any public  | 
benefit, right, privilege, or right to receive any license  | 
granted by public authority.  | 
 (D) Pending or following any adjudication of delinquency  | 
for any offense defined in Sections 11-1.20 through 11-1.60 or  | 
12-13 through 12-16 of the Criminal Code of 1961 or the  | 
Criminal Code of 2012, the victim of any such offense shall  | 
receive the rights set out in Sections 4 and 6 of the Bill of  | 
Rights of Crime for Victims and Witnesses of Violent Crime  | 
Act; and the juvenile who is the subject of the adjudication,  | 
notwithstanding any other provision of this Act, shall be  | 
treated as an adult for the purpose of affording such rights to  | 
the victim. | 
 (E) Nothing in this Section shall affect the right of a  | 
Civil Service Commission or appointing authority of the  | 
federal government, or any state, county, or municipality  | 
examining the character and fitness of an applicant for  | 
employment with a law enforcement agency, correctional  | 
institution, or fire department to ascertain whether that  | 
applicant was ever adjudicated to be a delinquent minor and,  | 
if so, to examine the records of disposition or evidence which  | 
were made in proceedings under this Act. | 
 | 
 (F) Following any adjudication of delinquency for a crime  | 
which would be a felony if committed by an adult, or following  | 
any adjudication of delinquency for a violation of Section  | 
24-1, 24-3, 24-3.1, or 24-5 of the Criminal Code of 1961 or the  | 
Criminal Code of 2012, the State's Attorney shall ascertain  | 
whether the minor respondent is enrolled in school and, if so,  | 
shall provide a copy of the dispositional order to the  | 
principal or chief administrative officer of the school.  | 
Access to the dispositional order shall be limited to the  | 
principal or chief administrative officer of the school and  | 
any school counselor designated by the principal or chief  | 
administrative officer. | 
 (G) Nothing contained in this Act prevents the sharing or  | 
disclosure of information or records relating or pertaining to  | 
juveniles subject to the provisions of the Serious Habitual  | 
Offender Comprehensive Action Program when that information is  | 
used to assist in the early identification and treatment of  | 
habitual juvenile offenders. | 
 (H) When a court hearing a proceeding under Article II of  | 
this Act becomes aware that an earlier proceeding under  | 
Article II had been heard in a different county, that court  | 
shall request, and the court in which the earlier proceedings  | 
were initiated shall transmit, an authenticated copy of the  | 
juvenile court record, including all documents, petitions, and  | 
orders filed and the minute orders, transcript of proceedings,  | 
and docket entries of the court. | 
 | 
 (I) The Clerk of the Circuit Court shall report to the  | 
Illinois State Police, in the form and manner required by the  | 
Illinois State Police, the final disposition of each minor who  | 
has been arrested or taken into custody before the minor's  | 
18th birthday for those offenses required to be reported under  | 
Section 5 of the Criminal Identification Act. Information  | 
reported to the Illinois State Police Department under this  | 
Section may be maintained with records that the Illinois State  | 
Police Department files under Section 2.1 of the Criminal  | 
Identification Act. | 
 (J) The changes made to this Section by Public Act 98-61  | 
apply to juvenile law enforcement records of a minor who has  | 
been arrested or taken into custody on or after January 1, 2014  | 
(the effective date of Public Act 98-61).  | 
 (K) Willful violation of this Section is a Class C  | 
misdemeanor and each violation is subject to a fine of $1,000.  | 
This subsection (K) shall not apply to the person who is the  | 
subject of the record. | 
 (L) A person convicted of violating this Section is liable  | 
for damages in the amount of $1,000 or actual damages,  | 
whichever is greater.  | 
(Source: P.A. 102-197, eff. 7-30-21; 102-538, eff. 8-20-21;  | 
102-813, eff. 5-13-22; 103-22, eff. 8-8-23; 103-379, eff.  | 
7-28-23; revised 8-30-23.)
 | 
 (705 ILCS 405/2-3) (from Ch. 37, par. 802-3) | 
 | 
 Sec. 2-3. Neglected or abused minor.  | 
 (1) Those who are neglected include any minor under 18  | 
years of age or a minor 18 years of age or older for whom the  | 
court has made a finding of probable cause to believe that the  | 
minor is abused, neglected, or dependent under subsection (1)  | 
of Section 2-10 prior to the minor's 18th birthday: | 
  (a) who is not receiving the proper or necessary  | 
 support, education as required by law, or medical or other  | 
 remedial care recognized under State law as necessary for  | 
 a minor's well-being, or other care necessary for the  | 
 minor's well-being, including adequate food, clothing, and  | 
 shelter, or who is abandoned by the minor's parent or  | 
 parents or other person or persons responsible for the  | 
 minor's welfare, except that a minor shall not be  | 
 considered neglected for the sole reason that the minor's  | 
 parent or parents or other person or persons responsible  | 
 for the minor's welfare have left the minor in the care of  | 
 an adult relative for any period of time, who the parent or  | 
 parents or other person responsible for the minor's  | 
 welfare know is both a mentally capable adult relative and  | 
 physically capable adult relative, as defined by this Act;  | 
 or | 
  (b) whose environment is injurious to the minor's  | 
 welfare; or | 
  (c) who is a any newborn infant whose blood, urine, or  | 
 meconium contains any amount of a controlled substance as  | 
 | 
 defined in subsection (f) of Section 102 of the Illinois  | 
 Controlled Substances Act, as now or hereafter amended, or  | 
 a metabolite of a controlled substance, with the exception  | 
 of controlled substances or metabolites of such  | 
 substances, the presence of which in the newborn infant is  | 
 the result of medical treatment administered to the person  | 
 who gave birth or the newborn infant; or | 
  (d) any minor whose parent or other person responsible  | 
 for the minor's welfare leaves the minor without  | 
 supervision for an unreasonable period of time without  | 
 regard for the mental or physical health, safety, or  | 
 welfare of that minor. Whether the minor was left without  | 
 regard for the mental or physical health, safety, or  | 
 welfare of that minor or the period of time was  | 
 unreasonable shall be determined by considering the  | 
 following factors, including, but not limited to, the  | 
 following: | 
   (1) the age of the minor; | 
   (2) the number of minors left at the location; | 
   (3) the special needs of the minor, including  | 
 whether the minor is a person with a physical or mental  | 
 disability, or is otherwise in need of ongoing  | 
 prescribed medical treatment, such as periodic doses  | 
 of insulin or other medications;  | 
   (4) the duration of time in which the minor was  | 
 left without supervision; | 
 | 
   (5) the condition and location of the place where  | 
 the minor was left without supervision;  | 
   (6) the time of day or night when the minor was  | 
 left without supervision;  | 
   (7) the weather conditions, including whether the  | 
 minor was left in a location with adequate protection  | 
 from the natural elements, such as adequate heat or  | 
 light;  | 
   (8) the location of the parent or guardian at the  | 
 time the minor was left without supervision and , the  | 
 physical distance the minor was from the parent or  | 
 guardian at the time the minor was without  | 
 supervision;  | 
   (9) whether the minor's movement was restricted,  | 
 or the minor was otherwise locked within a room or  | 
 other structure;  | 
   (10) whether the minor was given a phone number of  | 
 a person or location to call in the event of an  | 
 emergency and whether the minor was capable of making  | 
 an emergency call;  | 
   (11) whether there was food and other provision  | 
 left for the minor;  | 
   (12) whether any of the conduct is attributable to  | 
 economic hardship or illness and the parent, guardian,  | 
 or other person having physical custody or control of  | 
 the child made a good faith effort to provide for the  | 
 | 
 health and safety of the minor;  | 
   (13) the age and physical and mental capabilities  | 
 of the person or persons who provided supervision for  | 
 the minor; | 
   (14) whether the minor was left under the  | 
 supervision of another person;  | 
   (15) any other factor that would endanger the  | 
 health and safety of that particular minor; or  | 
  (e) any minor who has been provided with interim  | 
 crisis intervention services under Section 3-5 of this Act  | 
 and whose parent, guardian, or custodian refuses to permit  | 
 the minor to return home unless the minor is an immediate  | 
 physical danger to the minor or others living in the home.  | 
 A minor shall not be considered neglected for the sole  | 
reason that the minor has been relinquished in accordance with  | 
the Abandoned Newborn Infant Protection Act. | 
 (1.5) A minor shall not be considered neglected for the  | 
sole reason that the minor's parent or other person  | 
responsible for the minor's welfare permits the minor to  | 
engage in independent activities unless the minor was  | 
permitted to engage in independent activities under  | 
circumstances presenting unreasonable risk of harm to the  | 
minor's mental or physical health, safety, or well-being.  | 
"Independent activities" includes, but is not limited to: | 
  (a) traveling to and from school, including by  | 
 walking, running, or bicycling; | 
 | 
  (b) traveling to and from nearby commercial or  | 
 recreational facilities; | 
  (c) engaging in outdoor play; | 
  (d) remaining in a vehicle unattended, except as  | 
 otherwise provided by law; | 
  (e) remaining at home or at a similarly appropriate  | 
 location unattended; or | 
  (f) engaging in a similar independent activity alone  | 
 or with other children. | 
 In determining whether an independent activity presented  | 
unreasonable risk of harm, the court shall consider: | 
  (1) whether the activity is accepted as suitable for  | 
 minors of the same age, maturity level, and developmental  | 
 capacity as the involved minor; | 
  (2) the factors listed in items (1) through (15) of  | 
 paragraph (d) of subsection (1); and | 
  (3) any other factor the court deems relevant. | 
 (2) Those who are abused include any minor under 18 years  | 
of age or a minor 18 years of age or older for whom the court  | 
has made a finding of probable cause to believe that the minor  | 
is abused, neglected, or dependent under subsection (1) of  | 
Section 2-10 prior to the minor's 18th birthday whose parent  | 
or immediate family member, or any person responsible for the  | 
minor's welfare, or any person who is in the same family or  | 
household as the minor, or any individual residing in the same  | 
home as the minor, or a paramour of the minor's parent: | 
 | 
  (i) inflicts, causes to be inflicted, or allows to be  | 
 inflicted upon such minor physical injury, by other than  | 
 accidental means, which causes death, disfigurement,  | 
 impairment of physical or emotional health, or loss or  | 
 impairment of any bodily function; | 
  (ii) creates a substantial risk of physical injury to  | 
 such minor by other than accidental means which would be  | 
 likely to cause death, disfigurement, impairment of  | 
 emotional health, or loss or impairment of any bodily  | 
 function; | 
  (iii) commits or allows to be committed any sex  | 
 offense against such minor, as such sex offenses are  | 
 defined in the Criminal Code of 1961 or the Criminal Code  | 
 of 2012, or in the Wrongs to Children Act, and extending  | 
 those definitions of sex offenses to include minors under  | 
 18 years of age; | 
  (iv) commits or allows to be committed an act or acts  | 
 of torture upon such minor; | 
  (v) inflicts excessive corporal punishment; | 
  (vi) commits or allows to be committed the offense of  | 
 involuntary servitude, involuntary sexual servitude of a  | 
 minor, or trafficking in persons as defined in Section  | 
 10-9 of the Criminal Code of 1961 or the Criminal Code of  | 
 2012, upon such minor; or | 
  (vii) allows, encourages, or requires a minor to  | 
 commit any act of prostitution, as defined in the Criminal  | 
 | 
 Code of 1961 or the Criminal Code of 2012, and extending  | 
 those definitions to include minors under 18 years of age.  | 
 A minor shall not be considered abused for the sole reason  | 
that the minor has been relinquished in accordance with the  | 
Abandoned Newborn Infant Protection Act. | 
 (3) This Section does not apply to a minor who would be  | 
included herein solely for the purpose of qualifying for  | 
financial assistance for the minor or , the minor's parents,  | 
guardian, or custodian. | 
 (4) The changes made by Public Act 101-79 this amendatory  | 
Act of the 101st General Assembly apply to a case that is  | 
pending on or after July 12, 2019 (the effective date of Public  | 
Act 101-79) this amendatory Act of the 101st General Assembly.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-233, eff. 6-30-23;  | 
revised 8-30-23.)
 | 
 (705 ILCS 405/2-6) (from Ch. 37, par. 802-6) | 
 Sec. 2-6. Duty of officer. (1) A law enforcement officer  | 
who takes a minor into custody under Section 2-5 shall  | 
immediately make a reasonable attempt to notify the parent or  | 
other person legally responsible for the minor's care or the  | 
person with whom the minor resides that the minor has been  | 
taken into custody and where the minor is being held. | 
  (a) A law enforcement officer who takes a minor into  | 
 custody with a warrant shall without unnecessary delay  | 
 take the minor to the nearest juvenile police officer  | 
 | 
 designated for such purposes in the county of venue. | 
  (b) A law enforcement officer who takes a minor into  | 
 custody without a warrant shall place the minor in  | 
 temporary protective custody and shall immediately notify  | 
 the Department of Children and Family Services by  | 
 contacting either the central register established under  | 
 Section 7.7 of the Abused and Neglected Child Reporting  | 
 Act or the nearest Department of Children and Family  | 
 Services office. If there is reasonable cause to suspect  | 
 that a minor has died as a result of abuse or neglect, the  | 
 law enforcement officer shall immediately report such  | 
 suspected abuse or neglect to the appropriate medical  | 
 examiner or coroner. | 
(Source: P.A. 103-22, eff. 8-8-23; revised 9-20-23.)
 | 
 (705 ILCS 405/2-9) (from Ch. 37, par. 802-9) | 
 Sec. 2-9. Setting of temporary custody hearing; notice;  | 
release.  | 
 (1) Unless sooner released, a minor, as defined in Section  | 
2-3 or 2-4 of this Act, taken into temporary protective  | 
custody must be brought before a judicial officer within 48  | 
hours, exclusive of Saturdays, Sundays, and court-designated  | 
holidays, for a temporary custody hearing to determine whether  | 
the minor shall be further held in custody. | 
 (2) If the probation officer or such other public officer  | 
designated by the court determines that the minor should be  | 
 | 
retained in custody, the probation officer or such other  | 
public officer designated by the court shall cause a petition  | 
to be filed as provided in Section 2-13 of this Article, and  | 
the clerk of the court shall set the matter for hearing on the  | 
temporary custody hearing calendar. When a parent, guardian,  | 
custodian, or responsible relative is present and so requests,  | 
the temporary custody hearing shall be held immediately if the  | 
court is in session, otherwise at the earliest feasible time.  | 
The petitioner through counsel or such other public officer  | 
designated by the court shall ensure insure notification to  | 
the minor's parent, guardian, custodian, or responsible  | 
relative of the time and place of the hearing by the best  | 
practicable notice, allowing for oral notice in place of  | 
written notice only if provision of written notice is  | 
unreasonable under the circumstances. | 
 (3) The minor must be released from temporary protective  | 
custody at the expiration of the 48-hour 48 hour period  | 
specified by this Section if not brought before a judicial  | 
officer within that period. | 
(Source: P.A. 103-22, eff. 8-8-23; revised 9-25-23.)
 | 
 (705 ILCS 405/2-10) (from Ch. 37, par. 802-10) | 
 Sec. 2-10. Temporary custody hearing. At the appearance of  | 
the minor before the court at the temporary custody hearing,  | 
all witnesses present shall be examined before the court in  | 
relation to any matter connected with the allegations made in  | 
 | 
the petition. | 
 (1) If the court finds that there is not probable cause to  | 
believe that the minor is abused, neglected, or dependent it  | 
shall release the minor and dismiss the petition. | 
 (2) If the court finds that there is probable cause to  | 
believe that the minor is abused, neglected, or dependent, the  | 
court shall state in writing the factual basis supporting its  | 
finding and the minor, the minor's parent, guardian, or  | 
custodian, and other persons able to give relevant testimony  | 
shall be examined before the court. The Department of Children  | 
and Family Services shall give testimony concerning indicated  | 
reports of abuse and neglect, of which they are aware through  | 
the central registry, involving the minor's parent, guardian,  | 
or custodian. After such testimony, the court may, consistent  | 
with the health, safety, and best interests of the minor,  | 
enter an order that the minor shall be released upon the  | 
request of parent, guardian, or custodian if the parent,  | 
guardian, or custodian appears to take custody. If it is  | 
determined that a parent's, guardian's, or custodian's  | 
compliance with critical services mitigates the necessity for  | 
removal of the minor from the minor's home, the court may enter  | 
an Order of Protection setting forth reasonable conditions of  | 
behavior that a parent, guardian, or custodian must observe  | 
for a specified period of time, not to exceed 12 months,  | 
without a violation; provided, however, that the 12-month  | 
period shall begin anew after any violation. "Custodian"  | 
 | 
includes the Department of Children and Family Services, if it  | 
has been given custody of the child, or any other agency of the  | 
State which has been given custody or wardship of the child. If  | 
it is consistent with the health, safety, and best interests  | 
of the minor, the court may also prescribe shelter care and  | 
order that the minor be kept in a suitable place designated by  | 
the court or in a shelter care facility designated by the  | 
Department of Children and Family Services or a licensed child  | 
welfare agency; however, on and after January 1, 2015 (the  | 
effective date of Public Act 98-803) and before January 1,  | 
2017, a minor charged with a criminal offense under the  | 
Criminal Code of 1961 or the Criminal Code of 2012 or  | 
adjudicated delinquent shall not be placed in the custody of  | 
or committed to the Department of Children and Family Services  | 
by any court, except a minor less than 16 years of age and  | 
committed to the Department of Children and Family Services  | 
under Section 5-710 of this Act or a minor for whom an  | 
independent basis of abuse, neglect, or dependency exists; and  | 
on and after January 1, 2017, a minor charged with a criminal  | 
offense under the Criminal Code of 1961 or the Criminal Code of  | 
2012 or adjudicated delinquent shall not be placed in the  | 
custody of or committed to the Department of Children and  | 
Family Services by any court, except a minor less than 15 years  | 
of age and committed to the Department of Children and Family  | 
Services under Section 5-710 of this Act or a minor for whom an  | 
independent basis of abuse, neglect, or dependency exists. An  | 
 | 
independent basis exists when the allegations or adjudication  | 
of abuse, neglect, or dependency do not arise from the same  | 
facts, incident, or circumstances which give rise to a charge  | 
or adjudication of delinquency.  | 
 In placing the minor, the Department or other agency  | 
shall, to the extent compatible with the court's order, comply  | 
with Section 7 of the Children and Family Services Act. In  | 
determining the health, safety, and best interests of the  | 
minor to prescribe shelter care, the court must find that it is  | 
a matter of immediate and urgent necessity for the safety, and  | 
protection of the minor or of the person or property of another  | 
that the minor be placed in a shelter care facility or that the  | 
minor is likely to flee the jurisdiction of the court, and must  | 
further find that reasonable efforts have been made or that,  | 
consistent with the health, safety and best interests of the  | 
minor, no efforts reasonably can be made to prevent or  | 
eliminate the necessity of removal of the minor from the  | 
minor's home. The court shall require documentation from the  | 
Department of Children and Family Services as to the  | 
reasonable efforts that were made to prevent or eliminate the  | 
necessity of removal of the minor from the minor's home or the  | 
reasons why no efforts reasonably could be made to prevent or  | 
eliminate the necessity of removal. When a minor is placed in  | 
the home of a relative, the Department of Children and Family  | 
Services shall complete a preliminary background review of the  | 
members of the minor's custodian's household in accordance  | 
 | 
with Section 4.3 of the Child Care Act of 1969 within 90 days  | 
of that placement. If the minor is ordered placed in a shelter  | 
care facility of the Department of Children and Family  | 
Services or a licensed child welfare agency, the court shall,  | 
upon request of the appropriate Department or other agency,  | 
appoint the Department of Children and Family Services  | 
Guardianship Administrator or other appropriate agency  | 
executive temporary custodian of the minor and the court may  | 
enter such other orders related to the temporary custody as it  | 
deems fit and proper, including the provision of services to  | 
the minor or the minor's family to ameliorate the causes  | 
contributing to the finding of probable cause or to the  | 
finding of the existence of immediate and urgent necessity. | 
 Where the Department of Children and Family Services  | 
Guardianship Administrator is appointed as the executive  | 
temporary custodian, the Department of Children and Family  | 
Services shall file with the court and serve on the parties a  | 
parent-child visiting plan, within 10 days, excluding weekends  | 
and holidays, after the appointment. The parent-child visiting  | 
plan shall set out the time and place of visits, the frequency  | 
of visits, the length of visits, who shall be present at the  | 
visits, and where appropriate, the minor's opportunities to  | 
have telephone and mail communication with the parents. | 
 Where the Department of Children and Family Services  | 
Guardianship Administrator is appointed as the executive  | 
temporary custodian, and when the child has siblings in care,  | 
 | 
the Department of Children and Family Services shall file with  | 
the court and serve on the parties a sibling placement and  | 
contact plan within 10 days, excluding weekends and holidays,  | 
after the appointment. The sibling placement and contact plan  | 
shall set forth whether the siblings are placed together, and  | 
if they are not placed together, what, if any, efforts are  | 
being made to place them together. If the Department has  | 
determined that it is not in a child's best interest to be  | 
placed with a sibling, the Department shall document in the  | 
sibling placement and contact plan the basis for its  | 
determination. For siblings placed separately, the sibling  | 
placement and contact plan shall set the time and place for  | 
visits, the frequency of the visits, the length of visits, who  | 
shall be present for the visits, and where appropriate, the  | 
child's opportunities to have contact with their siblings in  | 
addition to in person contact. If the Department determines it  | 
is not in the best interest of a sibling to have contact with a  | 
sibling, the Department shall document in the sibling  | 
placement and contact plan the basis for its determination.  | 
The sibling placement and contact plan shall specify a date  | 
for development of the Sibling Contact Support Plan, under  | 
subsection (f) of Section 7.4 of the Children and Family  | 
Services Act, and shall remain in effect until the Sibling  | 
Contact Support Plan is developed.  | 
 For good cause, the court may waive the requirement to  | 
file the parent-child visiting plan or the sibling placement  | 
 | 
and contact plan, or extend the time for filing either plan.  | 
Any party may, by motion, request the court to review the  | 
parent-child visiting plan to determine whether it is  | 
reasonably calculated to expeditiously facilitate the  | 
achievement of the permanency goal. A party may, by motion,  | 
request the court to review the parent-child visiting plan or  | 
the sibling placement and contact plan to determine whether it  | 
is consistent with the minor's best interest. The court may  | 
refer the parties to mediation where available. The frequency,  | 
duration, and locations of visitation shall be measured by the  | 
needs of the child and family, and not by the convenience of  | 
Department personnel. Child development principles shall be  | 
considered by the court in its analysis of how frequent  | 
visitation should be, how long it should last, where it should  | 
take place, and who should be present. If upon motion of the  | 
party to review either plan and after receiving evidence, the  | 
court determines that the parent-child visiting plan is not  | 
reasonably calculated to expeditiously facilitate the  | 
achievement of the permanency goal or that the restrictions  | 
placed on parent-child contact or sibling placement or contact  | 
are contrary to the child's best interests, the court shall  | 
put in writing the factual basis supporting the determination  | 
and enter specific findings based on the evidence. The court  | 
shall enter an order for the Department to implement changes  | 
to the parent-child visiting plan or sibling placement or  | 
contact plan, consistent with the court's findings. At any  | 
 | 
stage of proceeding, any party may by motion request the court  | 
to enter any orders necessary to implement the parent-child  | 
visiting plan, sibling placement or contact plan, or  | 
subsequently developed Sibling Contact Support Plan. Nothing  | 
under this subsection (2) shall restrict the court from  | 
granting discretionary authority to the Department to increase  | 
opportunities for additional parent-child contacts or sibling  | 
contacts, without further court orders. Nothing in this  | 
subsection (2) shall restrict the Department from immediately  | 
restricting or terminating parent-child contact or sibling  | 
contacts, without either amending the parent-child visiting  | 
plan or the sibling contact plan or obtaining a court order,  | 
where the Department or its assigns reasonably believe there  | 
is an immediate need to protect the child's health, safety,  | 
and welfare. Such restrictions or terminations must be based  | 
on available facts to the Department and its assigns when  | 
viewed in light of the surrounding circumstances and shall  | 
only occur on an individual case-by-case basis. The Department  | 
shall file with the court and serve on the parties any  | 
amendments to the plan within 10 days, excluding weekends and  | 
holidays, of the change of the visitation. | 
 Acceptance of services shall not be considered an  | 
admission of any allegation in a petition made pursuant to  | 
this Act, nor may a referral of services be considered as  | 
evidence in any proceeding pursuant to this Act, except where  | 
the issue is whether the Department has made reasonable  | 
 | 
efforts to reunite the family. In making its findings that it  | 
is consistent with the health, safety, and best interests of  | 
the minor to prescribe shelter care, the court shall state in  | 
writing (i) the factual basis supporting its findings  | 
concerning the immediate and urgent necessity for the  | 
protection of the minor or of the person or property of another  | 
and (ii) the factual basis supporting its findings that  | 
reasonable efforts were made to prevent or eliminate the  | 
removal of the minor from the minor's home or that no efforts  | 
reasonably could be made to prevent or eliminate the removal  | 
of the minor from the minor's home. The parents, guardian,  | 
custodian, temporary custodian, and minor shall each be  | 
furnished a copy of such written findings. The temporary  | 
custodian shall maintain a copy of the court order and written  | 
findings in the case record for the child. The order together  | 
with the court's findings of fact in support thereof shall be  | 
entered of record in the court. | 
 Once the court finds that it is a matter of immediate and  | 
urgent necessity for the protection of the minor that the  | 
minor be placed in a shelter care facility, the minor shall not  | 
be returned to the parent, custodian, or guardian until the  | 
court finds that such placement is no longer necessary for the  | 
protection of the minor. | 
 If the child is placed in the temporary custody of the  | 
Department of Children and Family Services for the minor's  | 
protection, the court shall admonish the parents, guardian,  | 
 | 
custodian, or responsible relative that the parents must  | 
cooperate with the Department of Children and Family Services,  | 
comply with the terms of the service plans, and correct the  | 
conditions which require the child to be in care, or risk  | 
termination of their parental rights. The court shall ensure,  | 
by inquiring in open court of each parent, guardian,  | 
custodian, or responsible relative, that the parent, guardian,  | 
custodian, or responsible relative has had the opportunity to  | 
provide the Department with all known names, addresses, and  | 
telephone numbers of each of the minor's living adult  | 
relatives, including, but not limited to, grandparents,  | 
siblings of the minor's parents, and siblings. The court shall  | 
advise the parents, guardian, custodian, or responsible  | 
relative to inform the Department if additional information  | 
regarding the minor's adult relatives becomes available. | 
 (3) If prior to the shelter care hearing for a minor  | 
described in Sections 2-3, 2-4, 3-3, and 4-3 the moving party  | 
is unable to serve notice on the party respondent, the shelter  | 
care hearing may proceed ex parte. A shelter care order from an  | 
ex parte hearing shall be endorsed with the date and hour of  | 
issuance and shall be filed with the clerk's office and  | 
entered of record. The order shall expire after 10 days from  | 
the time it is issued unless before its expiration it is  | 
renewed, at a hearing upon appearance of the party respondent,  | 
or upon an affidavit of the moving party as to all diligent  | 
efforts to notify the party respondent by notice as herein  | 
 | 
prescribed. The notice prescribed shall be in writing and  | 
shall be personally delivered to the minor or the minor's  | 
attorney and to the last known address of the other person or  | 
persons entitled to notice. The notice shall also state the  | 
nature of the allegations, the nature of the order sought by  | 
the State, including whether temporary custody is sought, and  | 
the consequences of failure to appear and shall contain a  | 
notice that the parties will not be entitled to further  | 
written notices or publication notices of proceedings in this  | 
case, including the filing of an amended petition or a motion  | 
to terminate parental rights, except as required by Supreme  | 
Court Rule 11; and shall explain the right of the parties and  | 
the procedures to vacate or modify a shelter care order as  | 
provided in this Section. The notice for a shelter care  | 
hearing shall be substantially as follows: | 
NOTICE TO PARENTS AND CHILDREN | 
OF SHELTER CARE HEARING | 
  On ................ at ........., before the Honorable  | 
 ................, (address:) ................., the State  | 
 of Illinois will present evidence (1) that (name of child  | 
 or children) ....................... are abused,  | 
 neglected, or dependent for the following reasons: | 
 .............................................. and (2)  | 
 whether there is "immediate and urgent necessity" to  | 
 remove the child or children from the responsible  | 
 relative. | 
 | 
  YOUR FAILURE TO APPEAR AT THE HEARING MAY RESULT IN  | 
 PLACEMENT of the child or children in foster care until a  | 
 trial can be held. A trial may not be held for up to 90  | 
 days. You will not be entitled to further notices of  | 
 proceedings in this case, including the filing of an  | 
 amended petition or a motion to terminate parental rights. | 
  At the shelter care hearing, parents have the  | 
 following rights: | 
   1. To ask the court to appoint a lawyer if they  | 
 cannot afford one. | 
   2. To ask the court to continue the hearing to  | 
 allow them time to prepare. | 
   3. To present evidence concerning: | 
    a. Whether or not the child or children were  | 
 abused, neglected or dependent. | 
    b. Whether or not there is "immediate and  | 
 urgent necessity" to remove the child from home  | 
 (including: their ability to care for the child,  | 
 conditions in the home, alternative means of  | 
 protecting the child other than removal). | 
    c. The best interests of the child. | 
   4. To cross examine the State's witnesses.
  | 
 The Notice for rehearings shall be substantially as  | 
follows: | 
NOTICE OF PARENT'S AND CHILDREN'S RIGHTS | 
 | 
TO REHEARING ON TEMPORARY CUSTODY | 
  If you were not present at and did not have adequate  | 
 notice of the Shelter Care Hearing at which temporary  | 
 custody of ............... was awarded to  | 
 ................, you have the right to request a full  | 
 rehearing on whether the State should have temporary  | 
 custody of ................. To request this rehearing,  | 
 you must file with the Clerk of the Juvenile Court  | 
 (address): ........................, in person or by  | 
 mailing a statement (affidavit) setting forth the  | 
 following: | 
   1. That you were not present at the shelter care  | 
 hearing. | 
   2. That you did not get adequate notice  | 
 (explaining how the notice was inadequate). | 
   3. Your signature. | 
   4. Signature must be notarized. | 
  The rehearing should be scheduled within 48 hours of  | 
 your filing this affidavit. | 
  At the rehearing, your rights are the same as at the  | 
 initial shelter care hearing. The enclosed notice explains  | 
 those rights. | 
  At the Shelter Care Hearing, children have the  | 
 following rights: | 
   1. To have a guardian ad litem appointed. | 
   2. To be declared competent as a witness and to  | 
 | 
 present testimony concerning: | 
    a. Whether they are abused, neglected or  | 
 dependent. | 
    b. Whether there is "immediate and urgent  | 
 necessity" to be removed from home. | 
    c. Their best interests. | 
   3. To cross examine witnesses for other parties. | 
   4. To obtain an explanation of any proceedings and  | 
 orders of the court. | 
 (4) If the parent, guardian, legal custodian, responsible  | 
relative, minor age 8 or over, or counsel of the minor did not  | 
have actual notice of or was not present at the shelter care  | 
hearing, the parent, guardian, legal custodian, responsible  | 
relative, minor age 8 or over, or counsel of the minor may file  | 
an affidavit setting forth these facts, and the clerk shall  | 
set the matter for rehearing not later than 48 hours,  | 
excluding Sundays and legal holidays, after the filing of the  | 
affidavit. At the rehearing, the court shall proceed in the  | 
same manner as upon the original hearing. | 
 (5) Only when there is reasonable cause to believe that  | 
the minor taken into custody is a person described in  | 
subsection (3) of Section 5-105 may the minor be kept or  | 
detained in a detention home or county or municipal jail. This  | 
Section shall in no way be construed to limit subsection (6). | 
 (6) No minor under 16 years of age may be confined in a  | 
jail or place ordinarily used for the confinement of prisoners  | 
 | 
in a police station. Minors under 18 years of age must be kept  | 
separate from confined adults and may not at any time be kept  | 
in the same cell, room, or yard with adults confined pursuant  | 
to the criminal law. | 
 (7) If the minor is not brought before a judicial officer  | 
within the time period as specified in Section 2-9, the minor  | 
must immediately be released from custody. | 
 (8) If neither the parent, guardian, or custodian appears  | 
within 24 hours to take custody of a minor released upon  | 
request pursuant to subsection (2) of this Section, then the  | 
clerk of the court shall set the matter for rehearing not later  | 
than 7 days after the original order and shall issue a summons  | 
directed to the parent, guardian, or custodian to appear. At  | 
the same time the probation department shall prepare a report  | 
on the minor. If a parent, guardian, or custodian does not  | 
appear at such rehearing, the judge may enter an order  | 
prescribing that the minor be kept in a suitable place  | 
designated by the Department of Children and Family Services  | 
or a licensed child welfare agency. | 
 (9) Notwithstanding any other provision of this Section  | 
any interested party, including the State, the temporary  | 
custodian, an agency providing services to the minor or family  | 
under a service plan pursuant to Section 8.2 of the Abused and  | 
Neglected Child Reporting Act, foster parent, or any of their  | 
representatives, on notice to all parties entitled to notice,  | 
may file a motion that it is in the best interests of the minor  | 
 | 
to modify or vacate a temporary custody order on any of the  | 
following grounds: | 
  (a) It is no longer a matter of immediate and urgent  | 
 necessity that the minor remain in shelter care; or | 
  (b) There is a material change in the circumstances of  | 
 the natural family from which the minor was removed and  | 
 the child can be cared for at home without endangering the  | 
 child's health or safety; or | 
  (c) A person not a party to the alleged abuse, neglect  | 
 or dependency, including a parent, relative, or legal  | 
 guardian, is capable of assuming temporary custody of the  | 
 minor; or | 
  (d) Services provided by the Department of Children  | 
 and Family Services or a child welfare agency or other  | 
 service provider have been successful in eliminating the  | 
 need for temporary custody and the child can be cared for  | 
 at home without endangering the child's health or safety. | 
 In ruling on the motion, the court shall determine whether  | 
it is consistent with the health, safety, and best interests  | 
of the minor to modify or vacate a temporary custody order. If  | 
the minor is being restored to the custody of a parent, legal  | 
custodian, or guardian who lives outside of Illinois, and an  | 
Interstate Compact has been requested and refused, the court  | 
may order the Department of Children and Family Services to  | 
arrange for an assessment of the minor's proposed living  | 
arrangement and for ongoing monitoring of the health, safety,  | 
 | 
and best interest of the minor and compliance with any order of  | 
protective supervision entered in accordance with Section 2-20  | 
or 2-25. | 
 The clerk shall set the matter for hearing not later than  | 
14 days after such motion is filed. In the event that the court  | 
modifies or vacates a temporary custody order but does not  | 
vacate its finding of probable cause, the court may order that  | 
appropriate services be continued or initiated in behalf of  | 
the minor and the minor's family. | 
 (10) When the court finds or has found that there is  | 
probable cause to believe a minor is an abused minor as  | 
described in subsection (2) of Section 2-3 and that there is an  | 
immediate and urgent necessity for the abused minor to be  | 
placed in shelter care, immediate and urgent necessity shall  | 
be presumed for any other minor residing in the same household  | 
as the abused minor provided: | 
  (a) Such other minor is the subject of an abuse or  | 
 neglect petition pending before the court; and | 
  (b) A party to the petition is seeking shelter care  | 
 for such other minor. | 
 Once the presumption of immediate and urgent necessity has  | 
been raised, the burden of demonstrating the lack of immediate  | 
and urgent necessity shall be on any party that is opposing  | 
shelter care for the other minor. | 
 (11) The changes made to this Section by Public Act 98-61  | 
apply to a minor who has been arrested or taken into custody on  | 
 | 
or after January 1, 2014 (the effective date of Public Act  | 
98-61). | 
 (12) After the court has placed a minor in the care of a  | 
temporary custodian pursuant to this Section, any party may  | 
file a motion requesting the court to grant the temporary  | 
custodian the authority to serve as a surrogate decision maker  | 
for the minor under the Health Care Surrogate Act for purposes  | 
of making decisions pursuant to paragraph (1) of subsection  | 
(b) of Section 20 of the Health Care Surrogate Act. The court  | 
may grant the motion if it determines by clear and convincing  | 
evidence that it is in the best interests of the minor to grant  | 
the temporary custodian such authority. In making its  | 
determination, the court shall weigh the following factors in  | 
addition to considering the best interests factors listed in  | 
subsection (4.05) of Section 1-3 of this Act:  | 
  (a) the efforts to identify and locate the respondents  | 
 and adult family members of the minor and the results of  | 
 those efforts; | 
  (b) the efforts to engage the respondents and adult  | 
 family members of the minor in decision making on behalf  | 
 of the minor; | 
  (c) the length of time the efforts in paragraphs (a)  | 
 and (b) have been ongoing; | 
  (d) the relationship between the respondents and adult  | 
 family members and the minor; | 
  (e) medical testimony regarding the extent to which  | 
 | 
 the minor is suffering and the impact of a delay in  | 
 decision-making on the minor; and | 
  (f) any other factor the court deems relevant. | 
 If the Department of Children and Family Services is the  | 
temporary custodian of the minor, in addition to the  | 
requirements of paragraph (1) of subsection (b) of Section 20  | 
of the Health Care Surrogate Act, the Department shall follow  | 
its rules and procedures in exercising authority granted under  | 
this subsection.  | 
(Source: P.A. 102-489, eff. 8-20-21; 102-502, eff. 1-1-22;  | 
102-813, eff. 5-13-22; 103-22, eff. 8-8-23; revised 9-20-23.)
 | 
 (705 ILCS 405/2-20) (from Ch. 37, par. 802-20) | 
 Sec. 2-20. Continuance under supervision.  | 
 (1) The court may enter an order of continuance under  | 
supervision: (a) upon an admission or stipulation by the  | 
appropriate respondent or minor respondent of the facts  | 
supporting the petition and before proceeding to findings and  | 
adjudication, or after hearing the evidence at the  | 
adjudicatory hearing but before noting in the minutes of  | 
proceeding a finding of whether or not the minor is abused,  | 
neglected or dependent; and (b) in the absence of objection  | 
made in open court by the minor, the minor's parent, guardian,  | 
custodian, responsible relative, or defense attorney, or the  | 
State's Attorney. | 
 (2) If the minor, the minor's parent, guardian, custodian,  | 
 | 
responsible relative, or defense attorney, or the State's  | 
Attorney, objects in open court to any such continuance and  | 
insists upon proceeding to findings and adjudication, the  | 
court shall so proceed. | 
 (3) Nothing in this Section limits the power of the court  | 
to order a continuance of the hearing for the production of  | 
additional evidence or for any other proper reason. | 
 (4) When a hearing where a minor is alleged to be abused,  | 
neglected or dependent is continued pursuant to this Section,  | 
the court may permit the minor to remain in the minor's home if  | 
the court determines and makes written factual findings that  | 
the minor can be cared for at home when consistent with the  | 
minor's health, safety, and best interests, subject to such  | 
conditions concerning the minor's conduct and supervision as  | 
the court may require by order. | 
 (5) If a petition is filed charging a violation of a  | 
condition of the continuance under supervision, the court  | 
shall conduct a hearing. If the court finds that such  | 
condition of supervision has not been fulfilled the court may  | 
proceed to findings and adjudication and disposition. The  | 
filing of a petition for violation of a condition of the  | 
continuance under supervision shall toll the period of  | 
continuance under supervision until the final determination of  | 
the charge, and the term of the continuance under supervision  | 
shall not run until the hearing and disposition of the  | 
petition for violation; provided where the petition alleges  | 
 | 
conduct that does not constitute a criminal offense, the  | 
hearing must be held within 15 days of the filing of the  | 
petition unless a delay in such hearing has been occasioned by  | 
the minor, in which case the delay shall continue the tolling  | 
of the period of continuance under supervision for the period  | 
of such delay. | 
(Source: P.A. 103-22, eff. 8-8-23; revised 9-20-23.)
 | 
 (705 ILCS 405/2-28) | 
 Sec. 2-28. Court review.  | 
 (1) The court may require any legal custodian or guardian  | 
of the person appointed under this Act to report periodically  | 
to the court or may cite the legal custodian or guardian into  | 
court and require the legal custodian, guardian, or the legal  | 
custodian's or guardian's agency to make a full and accurate  | 
report of the doings of the legal custodian, guardian, or  | 
agency on behalf of the minor. The custodian or guardian,  | 
within 10 days after such citation, or earlier if the court  | 
determines it to be necessary to protect the health, safety,  | 
or welfare of the minor, shall make the report, either in  | 
writing verified by affidavit or orally under oath in open  | 
court, or otherwise as the court directs. Upon the hearing of  | 
the report the court may remove the custodian or guardian and  | 
appoint another in the custodian's or guardian's stead or  | 
restore the minor to the custody of the minor's parents or  | 
former guardian or custodian. However, custody of the minor  | 
 | 
shall not be restored to any parent, guardian, or legal  | 
custodian in any case in which the minor is found to be  | 
neglected or abused under Section 2-3 or dependent under  | 
Section 2-4 of this Act, unless the minor can be cared for at  | 
home without endangering the minor's health or safety and it  | 
is in the best interests of the minor, and if such neglect,  | 
abuse, or dependency is found by the court under paragraph (1)  | 
of Section 2-21 of this Act to have come about due to the acts  | 
or omissions or both of such parent, guardian, or legal  | 
custodian, until such time as an investigation is made as  | 
provided in paragraph (5) and a hearing is held on the issue of  | 
the fitness of such parent, guardian, or legal custodian to  | 
care for the minor and the court enters an order that such  | 
parent, guardian, or legal custodian is fit to care for the  | 
minor. | 
 (1.5) The public agency that is the custodian or guardian  | 
of the minor shall file a written report with the court no  | 
later than 15 days after a minor in the agency's care remains: | 
  (1) in a shelter placement beyond 30 days; | 
  (2) in a psychiatric hospital past the time when the  | 
 minor is clinically ready for discharge or beyond medical  | 
 necessity for the minor's health; or | 
  (3) in a detention center or Department of Juvenile  | 
 Justice facility solely because the public agency cannot  | 
 find an appropriate placement for the minor. | 
 The report shall explain the steps the agency is taking to  | 
 | 
ensure the minor is placed appropriately, how the minor's  | 
needs are being met in the minor's shelter placement, and if a  | 
future placement has been identified by the Department, why  | 
the anticipated placement is appropriate for the needs of the  | 
minor and the anticipated placement date.  | 
 (1.6) Within 30 days after placing a child in its care in a  | 
qualified residential treatment program, as defined by the  | 
federal Social Security Act, the Department of Children and  | 
Family Services shall prepare a written report for filing with  | 
the court and send copies of the report to all parties. Within  | 
20 days of the filing of the report, or as soon thereafter as  | 
the court's schedule allows but not more than 60 days from the  | 
date of placement, the court shall hold a hearing to consider  | 
the Department's report and determine whether placement of the  | 
child in a qualified residential treatment program provides  | 
the most effective and appropriate level of care for the child  | 
in the least restrictive environment and if the placement is  | 
consistent with the short-term and long-term goals for the  | 
child, as specified in the permanency plan for the child. The  | 
court shall approve or disapprove the placement. If  | 
applicable, the requirements of Sections 2-27.1 and 2-27.2  | 
must also be met. The Department's written report and the  | 
court's written determination shall be included in and made  | 
part of the case plan for the child. If the child remains  | 
placed in a qualified residential treatment program, the  | 
Department shall submit evidence at each status and permanency  | 
 | 
hearing:  | 
  (1) demonstrating that on-going assessment of the  | 
 strengths and needs of the child continues to support the  | 
 determination that the child's needs cannot be met through  | 
 placement in a foster family home, that the placement  | 
 provides the most effective and appropriate level of care  | 
 for the child in the least restrictive, appropriate  | 
 environment, and that the placement is consistent with the  | 
 short-term and long-term permanency goal for the child, as  | 
 specified in the permanency plan for the child;  | 
  (2) documenting the specific treatment or service  | 
 needs that should be met for the child in the placement and  | 
 the length of time the child is expected to need the  | 
 treatment or services; and  | 
  (3) the efforts made by the agency to prepare the  | 
 child to return home or to be placed with a fit and willing  | 
 relative, a legal guardian, or an adoptive parent, or in a  | 
 foster family home.  | 
 (2) The first permanency hearing shall be conducted by the  | 
judge. Subsequent permanency hearings may be heard by a judge  | 
or by hearing officers appointed or approved by the court in  | 
the manner set forth in Section 2-28.1 of this Act. The initial  | 
hearing shall be held (a) within 12 months from the date  | 
temporary custody was taken, regardless of whether an  | 
adjudication or dispositional hearing has been completed  | 
within that time frame, (b) if the parental rights of both  | 
 | 
parents have been terminated in accordance with the procedure  | 
described in subsection (5) of Section 2-21, within 30 days of  | 
the order for termination of parental rights and appointment  | 
of a guardian with power to consent to adoption, or (c) in  | 
accordance with subsection (2) of Section 2-13.1. Subsequent  | 
permanency hearings shall be held every 6 months or more  | 
frequently if necessary in the court's determination following  | 
the initial permanency hearing, in accordance with the  | 
standards set forth in this Section, until the court  | 
determines that the plan and goal have been achieved. Once the  | 
plan and goal have been achieved, if the minor remains in  | 
substitute care, the case shall be reviewed at least every 6  | 
months thereafter, subject to the provisions of this Section,  | 
unless the minor is placed in the guardianship of a suitable  | 
relative or other person and the court determines that further  | 
monitoring by the court does not further the health, safety,  | 
or best interest of the child and that this is a stable  | 
permanent placement. The permanency hearings must occur within  | 
the time frames set forth in this subsection and may not be  | 
delayed in anticipation of a report from any source or due to  | 
the agency's failure to timely file its written report (this  | 
written report means the one required under the next paragraph  | 
and does not mean the service plan also referred to in that  | 
paragraph). | 
 The public agency that is the custodian or guardian of the  | 
minor, or another agency responsible for the minor's care,  | 
 | 
shall ensure that all parties to the permanency hearings are  | 
provided a copy of the most recent service plan prepared  | 
within the prior 6 months at least 14 days in advance of the  | 
hearing. If not contained in the agency's service plan, the  | 
agency shall also include a report setting forth (i) any  | 
special physical, psychological, educational, medical,  | 
emotional, or other needs of the minor or the minor's family  | 
that are relevant to a permanency or placement determination  | 
and (ii) for any minor age 16 or over, a written description of  | 
the programs and services that will enable the minor to  | 
prepare for independent living. If not contained in the  | 
agency's service plan, the agency's report shall specify if a  | 
minor is placed in a licensed child care facility under a  | 
corrective plan by the Department due to concerns impacting  | 
the minor's safety and well-being. The report shall explain  | 
the steps the Department is taking to ensure the safety and  | 
well-being of the minor and that the minor's needs are met in  | 
the facility. The agency's written report must detail what  | 
progress or lack of progress the parent has made in correcting  | 
the conditions requiring the child to be in care; whether the  | 
child can be returned home without jeopardizing the child's  | 
health, safety, and welfare, and, if not, what permanency goal  | 
is recommended to be in the best interests of the child, and  | 
why the other permanency goals are not appropriate. The  | 
caseworker must appear and testify at the permanency hearing.  | 
If a permanency hearing has not previously been scheduled by  | 
 | 
the court, the moving party shall move for the setting of a  | 
permanency hearing and the entry of an order within the time  | 
frames set forth in this subsection. | 
 At the permanency hearing, the court shall determine the  | 
future status of the child. The court shall set one of the  | 
following permanency goals: | 
  (A) The minor will be returned home by a specific date  | 
 within 5 months. | 
  (B) The minor will be in short-term care with a  | 
 continued goal to return home within a period not to  | 
 exceed one year, where the progress of the parent or  | 
 parents is substantial giving particular consideration to  | 
 the age and individual needs of the minor. | 
  (B-1) The minor will be in short-term care with a  | 
 continued goal to return home pending a status hearing.  | 
 When the court finds that a parent has not made reasonable  | 
 efforts or reasonable progress to date, the court shall  | 
 identify what actions the parent and the Department must  | 
 take in order to justify a finding of reasonable efforts  | 
 or reasonable progress and shall set a status hearing to  | 
 be held not earlier than 9 months from the date of  | 
 adjudication nor later than 11 months from the date of  | 
 adjudication during which the parent's progress will again  | 
 be reviewed. | 
  (C) The minor will be in substitute care pending court  | 
 determination on termination of parental rights. | 
 | 
  (D) Adoption, provided that parental rights have been  | 
 terminated or relinquished. | 
  (E) The guardianship of the minor will be transferred  | 
 to an individual or couple on a permanent basis provided  | 
 that goals (A) through (D) have been deemed inappropriate  | 
 and not in the child's best interests. The court shall  | 
 confirm that the Department has discussed adoption, if  | 
 appropriate, and guardianship with the caregiver prior to  | 
 changing a goal to guardianship. | 
  (F) The minor over age 15 will be in substitute care  | 
 pending independence. In selecting this permanency goal,  | 
 the Department of Children and Family Services may provide  | 
 services to enable reunification and to strengthen the  | 
 minor's connections with family, fictive kin, and other  | 
 responsible adults, provided the services are in the  | 
 minor's best interest. The services shall be documented in  | 
 the service plan.  | 
  (G) The minor will be in substitute care because the  | 
 minor cannot be provided for in a home environment due to  | 
 developmental disabilities or mental illness or because  | 
 the minor is a danger to self or others, provided that  | 
 goals (A) through (D) have been deemed inappropriate and  | 
 not in the child's best interests. | 
 In selecting any permanency goal, the court shall indicate  | 
in writing the reasons the goal was selected and why the  | 
preceding goals were deemed inappropriate and not in the  | 
 | 
child's best interest. Where the court has selected a  | 
permanency goal other than (A), (B), or (B-1), the Department  | 
of Children and Family Services shall not provide further  | 
reunification services, except as provided in paragraph (F) of  | 
this subsection (2), but shall provide services consistent  | 
with the goal selected. | 
  (H) Notwithstanding any other provision in this  | 
 Section, the court may select the goal of continuing  | 
 foster care as a permanency goal if:  | 
   (1) The Department of Children and Family Services  | 
 has custody and guardianship of the minor;  | 
   (2) The court has deemed all other permanency  | 
 goals inappropriate based on the child's best  | 
 interest;  | 
   (3) The court has found compelling reasons, based  | 
 on written documentation reviewed by the court, to  | 
 place the minor in continuing foster care. Compelling  | 
 reasons include:  | 
    (a) the child does not wish to be adopted or to  | 
 be placed in the guardianship of the minor's  | 
 relative or foster care placement;  | 
    (b) the child exhibits an extreme level of  | 
 need such that the removal of the child from the  | 
 minor's placement would be detrimental to the  | 
 child; or  | 
    (c) the child who is the subject of the  | 
 | 
 permanency hearing has existing close and strong  | 
 bonds with a sibling, and achievement of another  | 
 permanency goal would substantially interfere with  | 
 the subject child's sibling relationship, taking  | 
 into consideration the nature and extent of the  | 
 relationship, and whether ongoing contact is in  | 
 the subject child's best interest, including  | 
 long-term emotional interest, as compared with the  | 
 legal and emotional benefit of permanence;  | 
   (4) The child has lived with the relative or  | 
 foster parent for at least one year; and  | 
   (5) The relative or foster parent currently caring  | 
 for the child is willing and capable of providing the  | 
 child with a stable and permanent environment.  | 
 The court shall set a permanency goal that is in the best  | 
interest of the child. In determining that goal, the court  | 
shall consult with the minor in an age-appropriate manner  | 
regarding the proposed permanency or transition plan for the  | 
minor. The court's determination shall include the following  | 
factors: | 
  (1) Age of the child. | 
  (2) Options available for permanence, including both  | 
 out-of-state and in-state placement options. | 
  (3) Current placement of the child and the intent of  | 
 the family regarding adoption. | 
  (4) Emotional, physical, and mental status or  | 
 | 
 condition of the child. | 
  (5) Types of services previously offered and whether  | 
 or not the services were successful and, if not  | 
 successful, the reasons the services failed. | 
  (6) Availability of services currently needed and  | 
 whether the services exist. | 
  (7) Status of siblings of the minor. | 
 The court shall consider (i) the permanency goal contained  | 
in the service plan, (ii) the appropriateness of the services  | 
contained in the plan and whether those services have been  | 
provided, (iii) whether reasonable efforts have been made by  | 
all the parties to the service plan to achieve the goal, and  | 
(iv) whether the plan and goal have been achieved. All  | 
evidence relevant to determining these questions, including  | 
oral and written reports, may be admitted and may be relied on  | 
to the extent of their probative value. | 
 The court shall make findings as to whether, in violation  | 
of Section 8.2 of the Abused and Neglected Child Reporting  | 
Act, any portion of the service plan compels a child or parent  | 
to engage in any activity or refrain from any activity that is  | 
not reasonably related to remedying a condition or conditions  | 
that gave rise or which could give rise to any finding of child  | 
abuse or neglect. The services contained in the service plan  | 
shall include services reasonably related to remedy the  | 
conditions that gave rise to removal of the child from the home  | 
of the child's parents, guardian, or legal custodian or that  | 
 | 
the court has found must be remedied prior to returning the  | 
child home. Any tasks the court requires of the parents,  | 
guardian, or legal custodian or child prior to returning the  | 
child home must be reasonably related to remedying a condition  | 
or conditions that gave rise to or which could give rise to any  | 
finding of child abuse or neglect.  | 
 If the permanency goal is to return home, the court shall  | 
make findings that identify any problems that are causing  | 
continued placement of the children away from the home and  | 
identify what outcomes would be considered a resolution to  | 
these problems. The court shall explain to the parents that  | 
these findings are based on the information that the court has  | 
at that time and may be revised, should additional evidence be  | 
presented to the court.  | 
 The court shall review the Sibling Contact Support Plan  | 
developed or modified under subsection (f) of Section 7.4 of  | 
the Children and Family Services Act, if applicable. If the  | 
Department has not convened a meeting to develop or modify a  | 
Sibling Contact Support Plan, or if the court finds that the  | 
existing Plan is not in the child's best interest, the court  | 
may enter an order requiring the Department to develop,  | 
modify, or implement a Sibling Contact Support Plan, or order  | 
mediation.  | 
 If the goal has been achieved, the court shall enter  | 
orders that are necessary to conform the minor's legal custody  | 
and status to those findings. | 
 | 
 If, after receiving evidence, the court determines that  | 
the services contained in the plan are not reasonably  | 
calculated to facilitate achievement of the permanency goal,  | 
the court shall put in writing the factual basis supporting  | 
the determination and enter specific findings based on the  | 
evidence. The court also shall enter an order for the  | 
Department to develop and implement a new service plan or to  | 
implement changes to the current service plan consistent with  | 
the court's findings. The new service plan shall be filed with  | 
the court and served on all parties within 45 days of the date  | 
of the order. The court shall continue the matter until the new  | 
service plan is filed. Except as authorized by subsection  | 
(2.5) of this Section and as otherwise specifically authorized  | 
by law, the court is not empowered under this Section to order  | 
specific placements, specific services, or specific service  | 
providers to be included in the service plan. | 
 A guardian or custodian appointed by the court pursuant to  | 
this Act shall file updated case plans with the court every 6  | 
months. | 
 Rights of wards of the court under this Act are  | 
enforceable against any public agency by complaints for relief  | 
by mandamus filed in any proceedings brought under this Act. | 
 (2.5) If, after reviewing the evidence, including evidence  | 
from the Department, the court determines that the minor's  | 
current or planned placement is not necessary or appropriate  | 
to facilitate achievement of the permanency goal, the court  | 
 | 
shall put in writing the factual basis supporting its  | 
determination and enter specific findings based on the  | 
evidence. If the court finds that the minor's current or  | 
planned placement is not necessary or appropriate, the court  | 
may enter an order directing the Department to implement a  | 
recommendation by the minor's treating clinician or a  | 
clinician contracted by the Department to evaluate the minor  | 
or a recommendation made by the Department. If the Department  | 
places a minor in a placement under an order entered under this  | 
subsection (2.5), the Department has the authority to remove  | 
the minor from that placement when a change in circumstances  | 
necessitates the removal to protect the minor's health,  | 
safety, and best interest. If the Department determines  | 
removal is necessary, the Department shall notify the parties  | 
of the planned placement change in writing no later than 10  | 
days prior to the implementation of its determination unless  | 
remaining in the placement poses an imminent risk of harm to  | 
the minor, in which case the Department shall notify the  | 
parties of the placement change in writing immediately  | 
following the implementation of its decision. The Department  | 
shall notify others of the decision to change the minor's  | 
placement as required by Department rule.  | 
 (3) Following the permanency hearing, the court shall  | 
enter a written order that includes the determinations  | 
required under subsection (2) of this Section and sets forth  | 
the following: | 
 | 
  (a) The future status of the minor, including the  | 
 permanency goal, and any order necessary to conform the  | 
 minor's legal custody and status to such determination; or | 
  (b) If the permanency goal of the minor cannot be  | 
 achieved immediately, the specific reasons for continuing  | 
 the minor in the care of the Department of Children and  | 
 Family Services or other agency for short-term placement,  | 
 and the following determinations: | 
   (i) (Blank). | 
   (ii) Whether the services required by the court  | 
 and by any service plan prepared within the prior 6  | 
 months have been provided and (A) if so, whether the  | 
 services were reasonably calculated to facilitate the  | 
 achievement of the permanency goal or (B) if not  | 
 provided, why the services were not provided. | 
   (iii) Whether the minor's current or planned  | 
 placement is necessary, and appropriate to the plan  | 
 and goal, recognizing the right of minors to the least  | 
 restrictive (most family-like) setting available and  | 
 in close proximity to the parents' home consistent  | 
 with the health, safety, best interest, and special  | 
 needs of the minor and, if the minor is placed  | 
 out-of-state, whether the out-of-state placement  | 
 continues to be appropriate and consistent with the  | 
 health, safety, and best interest of the minor. | 
   (iv) (Blank). | 
 | 
   (v) (Blank). | 
 (4) The minor or any person interested in the minor may  | 
apply to the court for a change in custody of the minor and the  | 
appointment of a new custodian or guardian of the person or for  | 
the restoration of the minor to the custody of the minor's  | 
parents or former guardian or custodian. | 
 When return home is not selected as the permanency goal: | 
  (a) The Department, the minor, or the current foster  | 
 parent or relative caregiver seeking private guardianship  | 
 may file a motion for private guardianship of the minor.  | 
 Appointment of a guardian under this Section requires  | 
 approval of the court. | 
  (b) The State's Attorney may file a motion to  | 
 terminate parental rights of any parent who has failed to  | 
 make reasonable efforts to correct the conditions which  | 
 led to the removal of the child or reasonable progress  | 
 toward the return of the child, as defined in subdivision  | 
 (D)(m) of Section 1 of the Adoption Act or for whom any  | 
 other unfitness ground for terminating parental rights as  | 
 defined in subdivision (D) of Section 1 of the Adoption  | 
 Act exists. | 
  When parental rights have been terminated for a  | 
 minimum of 3 years and the child who is the subject of the  | 
 permanency hearing is 13 years old or older and is not  | 
 currently placed in a placement likely to achieve  | 
 permanency, the Department of Children and Family Services  | 
 | 
 shall make reasonable efforts to locate parents whose  | 
 rights have been terminated, except when the Court  | 
 determines that those efforts would be futile or  | 
 inconsistent with the subject child's best interests. The  | 
 Department of Children and Family Services shall assess  | 
 the appropriateness of the parent whose rights have been  | 
 terminated, and shall, as appropriate, foster and support  | 
 connections between the parent whose rights have been  | 
 terminated and the youth. The Department of Children and  | 
 Family Services shall document its determinations and  | 
 efforts to foster connections in the child's case plan.  | 
 Custody of the minor shall not be restored to any parent,  | 
guardian, or legal custodian in any case in which the minor is  | 
found to be neglected or abused under Section 2-3 or dependent  | 
under Section 2-4 of this Act, unless the minor can be cared  | 
for at home without endangering the minor's health or safety  | 
and it is in the best interest of the minor, and if such  | 
neglect, abuse, or dependency is found by the court under  | 
paragraph (1) of Section 2-21 of this Act to have come about  | 
due to the acts or omissions or both of such parent, guardian,  | 
or legal custodian, until such time as an investigation is  | 
made as provided in paragraph (5) and a hearing is held on the  | 
issue of the health, safety, and best interest of the minor and  | 
the fitness of such parent, guardian, or legal custodian to  | 
care for the minor and the court enters an order that such  | 
parent, guardian, or legal custodian is fit to care for the  | 
 | 
minor. If a motion is filed to modify or vacate a private  | 
guardianship order and return the child to a parent, guardian,  | 
or legal custodian, the court may order the Department of  | 
Children and Family Services to assess the minor's current and  | 
proposed living arrangements and to provide ongoing monitoring  | 
of the health, safety, and best interest of the minor during  | 
the pendency of the motion to assist the court in making that  | 
determination. In the event that the minor has attained 18  | 
years of age and the guardian or custodian petitions the court  | 
for an order terminating the minor's guardianship or custody,  | 
guardianship or custody shall terminate automatically 30 days  | 
after the receipt of the petition unless the court orders  | 
otherwise. No legal custodian or guardian of the person may be  | 
removed without the legal custodian's or guardian's consent  | 
until given notice and an opportunity to be heard by the court. | 
 When the court orders a child restored to the custody of  | 
the parent or parents, the court shall order the parent or  | 
parents to cooperate with the Department of Children and  | 
Family Services and comply with the terms of an after-care  | 
plan, or risk the loss of custody of the child and possible  | 
termination of their parental rights. The court may also enter  | 
an order of protective supervision in accordance with Section  | 
2-24. | 
 If the minor is being restored to the custody of a parent,  | 
legal custodian, or guardian who lives outside of Illinois,  | 
and an Interstate Compact has been requested and refused, the  | 
 | 
court may order the Department of Children and Family Services  | 
to arrange for an assessment of the minor's proposed living  | 
arrangement and for ongoing monitoring of the health, safety,  | 
and best interest of the minor and compliance with any order of  | 
protective supervision entered in accordance with Section  | 
2-24.  | 
 (5) Whenever a parent, guardian, or legal custodian files  | 
a motion for restoration of custody of the minor, and the minor  | 
was adjudicated neglected, abused, or dependent as a result of  | 
physical abuse, the court shall cause to be made an  | 
investigation as to whether the movant has ever been charged  | 
with or convicted of any criminal offense which would indicate  | 
the likelihood of any further physical abuse to the minor.  | 
Evidence of such criminal convictions shall be taken into  | 
account in determining whether the minor can be cared for at  | 
home without endangering the minor's health or safety and  | 
fitness of the parent, guardian, or legal custodian. | 
  (a) Any agency of this State or any subdivision  | 
 thereof shall cooperate with the agent of the court in  | 
 providing any information sought in the investigation. | 
  (b) The information derived from the investigation and  | 
 any conclusions or recommendations derived from the  | 
 information shall be provided to the parent, guardian, or  | 
 legal custodian seeking restoration of custody prior to  | 
 the hearing on fitness and the movant shall have an  | 
 opportunity at the hearing to refute the information or  | 
 | 
 contest its significance. | 
  (c) All information obtained from any investigation  | 
 shall be confidential as provided in Section 5-150 of this  | 
 Act. | 
(Source: P.A. 102-193, eff. 7-30-21; 102-489, eff. 8-20-21;  | 
102-813, eff. 5-13-22; 103-22, eff. 8-8-23; 103-154, eff.  | 
6-30-23; 103-171, eff. 1-1-24; revised 12-15-23.)
 | 
 (705 ILCS 405/3-5) (from Ch. 37, par. 803-5) | 
 Sec. 3-5. Interim crisis intervention services.  | 
 (a) Any minor who is taken into limited custody, or who  | 
independently requests or is referred for assistance, may be  | 
provided crisis intervention services by an agency or  | 
association, as defined in this Act, provided the association  | 
or agency staff (i) immediately investigate the circumstances  | 
of the minor and the facts surrounding the minor being taken  | 
into custody and promptly explain these facts and  | 
circumstances to the minor, and (ii) make a reasonable effort  | 
to inform the minor's parent, guardian, or custodian of the  | 
fact that the minor has been taken into limited custody and  | 
where the minor is being kept, and (iii) if the minor consents,  | 
make a reasonable effort to transport, arrange for the  | 
transportation of, or otherwise release the minor to the  | 
parent, guardian, or custodian. Upon release of the child who  | 
is believed to need or benefit from medical, psychological,  | 
psychiatric, or social services, the association or agency may  | 
 | 
inform the minor and the person to whom the minor is released  | 
of the nature and location of appropriate services and shall,  | 
if requested, assist in establishing contact between the  | 
family and other associations or agencies providing such  | 
services. If the agency or association is unable by all  | 
reasonable efforts to contact a parent, guardian, or  | 
custodian, or if the person contacted lives an unreasonable  | 
distance away, or if the minor refuses to be taken to the  | 
minor's home or other appropriate residence, or if the agency  | 
or association is otherwise unable despite all reasonable  | 
efforts to make arrangements for the safe return of the minor,  | 
the minor may be taken to a temporary living arrangement which  | 
is in compliance with the Child Care Act of 1969 or which is  | 
with persons agreed to by the parents and the agency or  | 
association.  | 
 (b) An agency or association is authorized to permit a  | 
minor to be sheltered in a temporary living arrangement  | 
provided the agency seeks to effect the minor's return home or  | 
alternative living arrangements agreeable to the minor and the  | 
parent, guardian, or custodian as soon as practicable. No  | 
minor shall be sheltered in a temporary living arrangement for  | 
more than 21 business days. Throughout such limited custody,  | 
the agency or association shall work with the parent,  | 
guardian, or custodian and the minor's local school district,  | 
the Department of Human Services, the Department of Healthcare  | 
and Family Services, the Department of Juvenile Justice, and  | 
 | 
the Department of Children and Family Services to identify  | 
immediate and long-term treatment or placement. If at any time  | 
during the crisis intervention there is a concern that the  | 
minor has experienced abuse or neglect, the Comprehensive  | 
Community Based-Youth Services provider shall contact the  | 
Department of Children and Family Services as provided in the  | 
Abused and Neglected Child Reporting Act. the minor | 
 (c) Any agency or association or employee thereof acting  | 
reasonably and in good faith in the care of a minor being  | 
provided interim crisis intervention services and shelter care  | 
shall be immune from any civil or criminal liability resulting  | 
from such care.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-546, eff. 8-11-23;  | 
revised 8-30-23.)
 | 
 (705 ILCS 405/3-6) (from Ch. 37, par. 803-6) | 
 Sec. 3-6. Alternative voluntary residential placement.  | 
 (a) A minor and the minor's parent, guardian or custodian  | 
may agree to an arrangement for alternative voluntary  | 
residential placement, in compliance with the "Child Care Act  | 
of 1969", without court order. Such placement may continue as  | 
long as there is agreement. | 
 (b) If the minor and the minor's parent, guardian or  | 
custodian cannot agree to an arrangement for alternative  | 
voluntary residential placement in the first instance, or  | 
cannot agree to the continuation of such placement, and the  | 
 | 
minor refuses to return home, the minor or the minor's parent,  | 
guardian or custodian, or a person properly acting at the  | 
minor's request, may file with the court a petition alleging  | 
that the minor requires authoritative intervention as  | 
described in Section 3-3. | 
(Source: P.A. 103-22, eff. 8-8-23; revised 9-20-23.)
 | 
 (705 ILCS 405/3-16) (from Ch. 37, par. 803-16) | 
 Sec. 3-16. Date for adjudicatory hearing.  | 
 (a) (Blank). | 
 (b)(1)(A) When a petition has been filed alleging that the  | 
minor requires authoritative intervention, an adjudicatory  | 
hearing shall be held within 120 days of a demand made by any  | 
party, except that when the court determines that the State,  | 
without success, has exercised due diligence to obtain  | 
evidence material to the case and that there are reasonable  | 
grounds to believe that such evidence may be obtained at a  | 
later date, the court may, upon motion by the State, continue  | 
the adjudicatory hearing for not more than 30 additional days. | 
 The 120-day 120 day period in which an adjudicatory  | 
hearing shall be held is tolled by: (i) delay occasioned by the  | 
minor; or (ii) a continuance allowed pursuant to Section 114-4  | 
of the Code of Criminal Procedure of 1963 after a court's  | 
determination of the minor's physical incapacity for trial; or  | 
(iii) an interlocutory appeal. Any such delay shall  | 
temporarily suspend, for the time of the delay, the period  | 
 | 
within which the adjudicatory hearing must be held. On the day  | 
of expiration of the delay, the said period shall continue at  | 
the point at which it was suspended. | 
 (B) When no such adjudicatory hearing is held within the  | 
time required by paragraph (b)(1)(A) of this Section, the  | 
court shall, upon motion by any party, dismiss the petition  | 
with prejudice. | 
 (2) Without affecting the applicability of the tolling and  | 
multiple prosecution provisions of paragraph (b)(1) of this  | 
Section, when a petition has been filed alleging that the  | 
minor requires authoritative intervention and the minor is in  | 
shelter care, the adjudicatory hearing shall be held within 10  | 
judicial days after the date of the order directing shelter  | 
care, or the earliest possible date in compliance with the  | 
notice provisions of Sections 3-17 and 3-18 as to the  | 
custodial parent, guardian, or legal custodian, but no later  | 
than 30 judicial days from the date of the order of the court  | 
directing shelter care. | 
 (3) Any failure to comply with the time limits of  | 
paragraph (b)(2) of this Section shall require the immediate  | 
release of the minor from shelter care, and the time limits of  | 
paragraph (b)(1) shall apply. | 
 (4) Nothing in this Section prevents the minor or the  | 
minor's parents or guardian from exercising their respective  | 
rights to waive the time limits set forth in this Section. | 
(Source: P.A. 103-22, eff. 8-8-23; revised 9-20-23.)
 | 
 | 
 (705 ILCS 405/3-17) (from Ch. 37, par. 803-17) | 
 Sec. 3-17. Summons.   | 
 (1) When a petition is filed, the clerk of the court shall  | 
issue a summons with a copy of the petition attached. The  | 
summons shall be directed to the minor's legal guardian or  | 
custodian and to each person named as a respondent in the  | 
petition, except that summons need not be directed to a minor  | 
respondent under 8 years of age for whom the court appoints a  | 
guardian ad litem if the guardian ad litem appears on behalf of  | 
the minor in any proceeding under this Act.  | 
 (2) The summons must contain a statement that the minor or  | 
any of the respondents is entitled to have an attorney present  | 
at the hearing on the petition, and that the clerk of the court  | 
should be notified promptly if the minor or any other  | 
respondent desires to be represented by an attorney but is  | 
financially unable to employ counsel. | 
 (3) The summons shall be issued under the seal of the  | 
court, attested to and signed with the name of the clerk of the  | 
court, dated on the day it is issued, and shall require each  | 
respondent to appear and answer the petition on the date set  | 
for the adjudicatory hearing. | 
 (4) The summons may be served by any county sheriff,  | 
coroner, or probation officer, even though the officer is the  | 
petitioner. The return of the summons with endorsement of  | 
service by the officer is sufficient proof thereof. | 
 | 
 (5) Service of a summons and petition shall be made by: (a)  | 
leaving a copy thereof with the person summoned at least 3 days  | 
before the time stated therein for appearance; (b) leaving a  | 
copy at the summoned person's usual place of abode with some  | 
person of the family, of the age of 10 years or upwards, and  | 
informing that person of the contents thereof, provided the  | 
officer or other person making service shall also send a copy  | 
of the summons in a sealed envelope with postage fully  | 
prepaid, addressed to the person summoned at the person's  | 
usual place of abode, at least 3 days before the time stated  | 
therein for appearance; or (c) leaving a copy thereof with the  | 
guardian or custodian of a minor, at least 3 days before the  | 
time stated therein for appearance. If the guardian or  | 
custodian is an agency of the State of Illinois, proper  | 
service may be made by leaving a copy of the summons and  | 
petition with any administrative employee of such agency  | 
designated by such agency to accept service of summons and  | 
petitions. The certificate of the officer or affidavit of the  | 
person that the officer or person has sent the copy pursuant to  | 
this Section is sufficient proof of service. | 
 (6) When a parent or other person, who has signed a written  | 
promise to appear and bring the minor to court or who has  | 
waived or acknowledged service, fails to appear with the minor  | 
on the date set by the court, a bench warrant may be issued for  | 
the parent or other person, the minor, or both. | 
 (7) The appearance of the minor's legal guardian or  | 
 | 
custodian, or a person named as a respondent in a petition, in  | 
any proceeding under this Act shall constitute a waiver of  | 
service of summons and submission to the jurisdiction of the  | 
court. A copy of the summons and petition shall be provided to  | 
the person at the time of the person's appearance. | 
 (8) Fines or assessments, such as fees or administrative  | 
costs, in the service of process shall not be ordered or  | 
imposed on a minor or a minor's parent, guardian, or legal  | 
custodian.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-379, eff. 7-28-23;  | 
revised 9-7-23.)
 | 
 (705 ILCS 405/3-19) (from Ch. 37, par. 803-19) | 
 Sec. 3-19. Guardian ad litem.  | 
 (1) Immediately upon the filing of a petition alleging  | 
that the minor requires authoritative intervention, the court  | 
may appoint a guardian ad litem for the minor if: | 
  (a) such petition alleges that the minor is the victim  | 
 of sexual abuse or misconduct; or | 
  (b) such petition alleges that charges alleging the  | 
 commission of any of the sex offenses defined in Article  | 
 11 or in Section Sections 11-1.20, 11-1.30, 11-1.40,  | 
 11-1.50, 11-1.60, 12-13, 12-14, 12-14.1, 12-15, or 12-16  | 
 of the Criminal Code of 1961 or the Criminal Code of 2012,  | 
 have been filed against a defendant in any court and that  | 
 such minor is the alleged victim of the acts of the  | 
 | 
 defendant in the commission of such offense. | 
 (2) Unless the guardian ad litem appointed pursuant to  | 
paragraph (1) is an attorney at law, the guardian ad litem  | 
shall be represented in the performance of the guardian ad  | 
litem's duties by counsel. | 
 (3) Before proceeding with the hearing, the court shall  | 
appoint a guardian ad litem for the minor if: | 
  (a) no parent, guardian, custodian, or relative of the  | 
 minor appears at the first or any subsequent hearing of  | 
 the case; | 
  (b) the petition prays for the appointment of a  | 
 guardian with power to consent to adoption; or | 
  (c) the petition for which the minor is before the  | 
 court resulted from a report made pursuant to the Abused  | 
 and Neglected Child Reporting Act. | 
 (4) The court may appoint a guardian ad litem for the minor  | 
whenever it finds that there may be a conflict of interest  | 
between the minor and the minor's parents or other custodian  | 
or that it is otherwise in the minor's interest to do so. | 
 (5) The reasonable fees of a guardian ad litem appointed  | 
under this Section shall be fixed by the court and paid from  | 
the general fund of the county. | 
(Source: P.A. 103-22, eff. 8-8-23; 103-379, eff. 7-28-23;  | 
revised 8-30-23.)
 | 
 (705 ILCS 405/3-21) (from Ch. 37, par. 803-21) | 
 | 
 Sec. 3-21. Continuance under supervision.  | 
 (1) The court may enter an order of continuance under  | 
supervision (a) upon an admission or stipulation by the  | 
appropriate respondent or minor respondent of the facts  | 
supporting the petition and before proceeding to findings and  | 
adjudication, or after hearing the evidence at the  | 
adjudicatory hearing but before noting in the minutes of  | 
proceedings a finding of whether or not the minor is a person  | 
requiring authoritative intervention; and (b) in the absence  | 
of objection made in open court by the minor, the minor's  | 
parent, guardian, custodian, responsible relative, or defense  | 
attorney, or the State's Attorney. | 
 (2) If the minor, the minor's parent, guardian, custodian,  | 
responsible relative, or defense attorney, or State's  | 
Attorney, objects in open court to any such continuance and  | 
insists upon proceeding to findings and adjudication, the  | 
court shall so proceed. | 
 (3) Nothing in this Section limits the power of the court  | 
to order a continuance of the hearing for the production of  | 
additional evidence or for any other proper reason. | 
 (4) When a hearing where a minor is alleged to be a minor  | 
requiring authoritative intervention is continued pursuant to  | 
this Section, the court may permit the minor to remain in the  | 
minor's home subject to such conditions concerning the minor's  | 
conduct and supervision as the court may require by order. | 
 (5) If a petition is filed charging a violation of a  | 
 | 
condition of the continuance under supervision, the court  | 
shall conduct a hearing. If the court finds that such  | 
condition of supervision has not been fulfilled the court may  | 
proceed to findings and adjudication and disposition. The  | 
filing of a petition for violation of a condition of the  | 
continuance under supervision shall toll the period of  | 
continuance under supervision until the final determination of  | 
the charge, and the term of the continuance under supervision  | 
shall not run until the hearing and disposition of the  | 
petition for violation; provided where the petition alleges  | 
conduct that does not constitute a criminal offense, the  | 
hearing must be held within 15 days of the filing of the  | 
petition unless a delay in such hearing has been occasioned by  | 
the minor, in which case the delay shall continue the tolling  | 
of the period of continuance under supervision for the period  | 
of such delay. | 
 (6) (Blank). | 
(Source: P.A. 103-22, eff. 8-8-23; 103-379, eff. 7-28-23;  | 
revised 9-25-23.)
 | 
 (705 ILCS 405/3-24) (from Ch. 37, par. 803-24) | 
 Sec. 3-24. Kinds of dispositional orders.  | 
 (1) The following kinds of orders of disposition may be  | 
made in respect to wards of the court: A minor found to be  | 
requiring authoritative intervention under Section 3-3 may be  | 
(a) committed to the Department of Children and Family  | 
 | 
Services, subject to Section 5 of the Children and Family  | 
Services Act; (b) placed under supervision and released to the  | 
minor's parents, guardian, or legal custodian; (c) placed in  | 
accordance with Section 3-28 with or without also being placed  | 
under supervision. Conditions of supervision may be modified  | 
or terminated by the court if it deems that the best interests  | 
of the minor and the public will be served thereby; (d) ordered  | 
partially or completely emancipated in accordance with the  | 
provisions of the Emancipation of Minors Act; or (e) subject  | 
to having the minor's driver's license or driving privilege  | 
suspended for such time as determined by the Court but only  | 
until the minor attains 18 years of age. | 
 (2) Any order of disposition may provide for protective  | 
supervision under Section 3-25 and may include an order of  | 
protection under Section 3-26. | 
 (3) Unless the order of disposition expressly so provides,  | 
it does not operate to close proceedings on the pending  | 
petition, but is subject to modification until final closing  | 
and discharge of the proceedings under Section 3-32. | 
 (4) In addition to any other order of disposition, the  | 
court may order any person found to be a minor requiring  | 
authoritative intervention under Section 3-3 to make  | 
restitution, in monetary or non-monetary form, under the terms  | 
and conditions of Section 5-5-6 of the Unified Code of  | 
Corrections, except that the "presentence hearing" referred to  | 
therein shall be the dispositional hearing for purposes of  | 
 | 
this Section. The parent, guardian, or legal custodian of the  | 
minor may pay some or all of such restitution on the minor's  | 
behalf. | 
 (5) Any order for disposition where the minor is committed  | 
or placed in accordance with Section 3-28 shall provide for  | 
the parents or guardian of the estate of such minor to pay to  | 
the legal custodian or guardian of the person of the minor such  | 
sums as are determined by the custodian or guardian of the  | 
person of the minor as necessary for the minor's needs. Such  | 
payments may not exceed the maximum amounts provided for by  | 
Section 9.1 of the Children and Family Services Act. | 
 (6) Whenever the order of disposition requires the minor  | 
to attend school or participate in a program of training, the  | 
truant officer or designated school official shall regularly  | 
report to the court if the minor is a chronic or habitual  | 
truant under Section 26-2a of the School Code. | 
 (7) (Blank). | 
(Source: P.A. 103-22, eff. 8-8-23; 103-379, eff. 7-28-23;  | 
revised 9-20-23.)
 | 
 (705 ILCS 405/3-33.5) | 
 Sec. 3-33.5. Truant minors in need of supervision.  | 
 (a) Definition. A minor who is reported by the office of  | 
the regional superintendent of schools as a chronic truant may  | 
be subject to a petition for adjudication and adjudged a  | 
truant minor in need of supervision, provided that prior to  | 
 | 
the filing of the petition, the office of the regional  | 
superintendent of schools or a community truancy review board  | 
certifies that the local school has provided appropriate  | 
truancy intervention services to the truant minor and the  | 
minor's family. For purposes of this Section, "truancy  | 
intervention services" means services designed to assist the  | 
minor's return to an educational program, and includes, but is  | 
not limited to: assessments, counseling, mental health  | 
services, shelter, optional and alternative education  | 
programs, tutoring, and educational advocacy. If, after review  | 
by the regional office of education or community truancy  | 
review board, it is determined the local school did not  | 
provide the appropriate interventions, then the minor shall be  | 
referred to a comprehensive community based youth service  | 
agency for truancy intervention services. If the comprehensive  | 
community based youth service agency is incapable to provide  | 
intervention services, then this requirement for services is  | 
not applicable. The comprehensive community based youth  | 
service agency shall submit reports to the office of the  | 
regional superintendent of schools or truancy review board  | 
within 20, 40, and 80 school days of the initial referral or at  | 
any other time requested by the office of the regional  | 
superintendent of schools or truancy review board, which  | 
reports each shall certify the date of the minor's referral  | 
and the extent of the minor's progress and participation in  | 
truancy intervention services provided by the comprehensive  | 
 | 
community based youth service agency. In addition, if, after  | 
referral by the office of the regional superintendent of  | 
schools or community truancy review board, the minor declines  | 
or refuses to fully participate in truancy intervention  | 
services provided by the comprehensive community based youth  | 
service agency, then the agency shall immediately certify such  | 
facts to the office of the regional superintendent of schools  | 
or community truancy review board. | 
 (a-1) There is a rebuttable presumption that a chronic  | 
truant is a truant minor in need of supervision. | 
 (a-2) There is a rebuttable presumption that school  | 
records of a minor's attendance at school are authentic. | 
 (a-3) For purposes of this Section, "chronic truant" has  | 
the meaning ascribed to it in Section 26-2a of the School Code. | 
 (a-4) For purposes of this Section, a "community truancy  | 
review board" is a local community based board comprised of,  | 
but not limited to: representatives from local comprehensive  | 
community based youth service agencies, representatives from  | 
court service agencies, representatives from local schools,  | 
representatives from health service agencies, and  | 
representatives from local professional and community  | 
organizations as deemed appropriate by the office of the  | 
regional superintendent of schools. The regional  | 
superintendent of schools must approve the establishment and  | 
organization of a community truancy review board, and the  | 
regional superintendent of schools or the regional  | 
 | 
superintendent's designee shall chair the board. | 
 (a-5) Nothing in this Section shall be construed to create  | 
a private cause of action or right of recovery against a  | 
regional office of education, its superintendent, or its staff  | 
with respect to truancy intervention services where the  | 
determination to provide the services is made in good faith. | 
 (b) Kinds of dispositional orders. A minor found to be a  | 
truant minor in need of supervision may be: | 
  (1) committed to the appropriate regional  | 
 superintendent of schools for a student assistance team  | 
 staffing, a service plan, or referral to a comprehensive  | 
 community based youth service agency; | 
  (2) required to comply with a service plan as  | 
 specifically provided by the appropriate regional  | 
 superintendent of schools; | 
  (3) ordered to obtain counseling or other supportive  | 
 services; | 
  (4) (blank); | 
  (5) required to perform some reasonable public service  | 
 work that does not interfere with school hours,  | 
 school-related activities, or work commitments of the  | 
 minor or the minor's parent, guardian, or legal custodian;  | 
 or | 
  (6) (blank). | 
 A dispositional order may include public service only if  | 
the court has made an express written finding that a truancy  | 
 | 
prevention program has been offered by the school, regional  | 
superintendent of schools, or a comprehensive community based  | 
youth service agency to the truant minor in need of  | 
supervision. | 
 (c) Orders entered under this Section may be enforced by  | 
contempt proceedings. Fines or assessments, such as fees or  | 
administrative costs, shall not be ordered or imposed in  | 
contempt proceedings under this Section.  | 
(Source: P.A. 102-456, eff. 1-1-22; 103-22, eff. 8-8-23;  | 
103-379, eff. 7-28-23; revised 9-20-23.)
 | 
 (705 ILCS 405/4-8) (from Ch. 37, par. 804-8) | 
 Sec. 4-8. Setting of shelter care hearing.  | 
 (1) Unless sooner released, a minor alleged to be addicted  | 
taken into temporary protective custody must be brought before  | 
a judicial officer within 48 hours, exclusive of Saturdays,  | 
Sundays, and holidays, for a shelter care hearing to determine  | 
whether the minor shall be further held in custody. | 
 (2) If the probation officer or such other public officer  | 
designated by the court determines that the minor should be  | 
retained in custody, the probation officer or such other  | 
public officer designated by the court shall cause a petition  | 
to be filed as provided in Section 4-12 of this Act, and the  | 
clerk of the court shall set the matter for hearing on the  | 
shelter care hearing calendar. When a parent, guardian,  | 
custodian, or responsible relative is present and so requests,  | 
 | 
the shelter care hearing shall be held immediately if the  | 
court is in session, otherwise at the earliest feasible time.  | 
The probation officer or such other public officer designated  | 
by the court shall notify the minor's parent, guardian,  | 
custodian, or responsible relative of the time and place of  | 
the hearing. The notice may be given orally. | 
 (3) The minor must be released from custody at the  | 
expiration of the 48-hour 48 hour period, as the case may be,  | 
specified by this Section, if not brought before a judicial  | 
officer within that period. | 
(Source: P.A. 103-22, eff. 8-8-23; revised 9-20-23.)
 | 
 (705 ILCS 405/4-9) (from Ch. 37, par. 804-9) | 
 Sec. 4-9. Shelter care hearing. At the appearance of the  | 
minor before the court at the shelter care hearing, all  | 
witnesses present shall be examined before the court in  | 
relation to any matter connected with the allegations made in  | 
the petition. | 
 (1) If the court finds that there is not probable cause to  | 
believe that the minor is addicted, it shall release the minor  | 
and dismiss the petition. | 
 (2) If the court finds that there is probable cause to  | 
believe that the minor is addicted, the minor, the minor's  | 
parent, guardian, or custodian, and other persons able to give  | 
relevant testimony shall be examined before the court. After  | 
such testimony, the court may enter an order that the minor  | 
 | 
shall be released upon the request of a parent, guardian, or  | 
custodian if the parent, guardian, or custodian appears to  | 
take custody and agrees to abide by a court order which  | 
requires the minor and the minor's parent, guardian, or legal  | 
custodian to complete an evaluation by an entity licensed by  | 
the Department of Human Services, as the successor to the  | 
Department of Alcoholism and Substance Abuse, and complete any  | 
treatment recommendations indicated by the assessment.  | 
"Custodian" includes the Department of Children and Family  | 
Services, if it has been given custody of the child, or any  | 
other agency of the State which has been given custody or  | 
wardship of the child. | 
 The court Court shall require documentation by  | 
representatives of the Department of Children and Family  | 
Services or the probation department as to the reasonable  | 
efforts that were made to prevent or eliminate the necessity  | 
of removal of the minor from the minor's home, and shall  | 
consider the testimony of any person as to those reasonable  | 
efforts. If the court finds that it is a matter of immediate  | 
and urgent necessity for the protection of the minor or of the  | 
person or property of another that the minor be placed in a  | 
shelter care facility or that the minor is likely to flee the  | 
jurisdiction of the court, and, further, finds that reasonable  | 
efforts have been made or good cause has been shown why  | 
reasonable efforts cannot prevent or eliminate the necessity  | 
of removal of the minor from the minor's home, the court may  | 
 | 
prescribe shelter care and order that the minor be kept in a  | 
suitable place designated by the court, or in a shelter care  | 
facility designated by the Department of Children and Family  | 
Services or a licensed child welfare agency, or in a facility  | 
or program licensed by the Department of Human Services for  | 
shelter and treatment services; otherwise, it shall release  | 
the minor from custody. If the court prescribes shelter care,  | 
then in placing the minor, the Department or other agency  | 
shall, to the extent compatible with the court's order, comply  | 
with Section 7 of the Children and Family Services Act. If the  | 
minor is ordered placed in a shelter care facility of the  | 
Department of Children and Family Services or a licensed child  | 
welfare agency, or in a facility or program licensed by the  | 
Department of Human Services for shelter and treatment  | 
services, the court shall, upon request of the appropriate  | 
Department or other agency, appoint the Department of Children  | 
and Family Services Guardianship Administrator or other  | 
appropriate agency executive temporary custodian of the minor  | 
and the court may enter such other orders related to the  | 
temporary custody as it deems fit and proper, including the  | 
provision of services to the minor or the minor's family to  | 
ameliorate the causes contributing to the finding of probable  | 
cause or to the finding of the existence of immediate and  | 
urgent necessity. Acceptance of services shall not be  | 
considered an admission of any allegation in a petition made  | 
pursuant to this Act, nor may a referral of services be  | 
 | 
considered as evidence in any proceeding pursuant to this Act,  | 
except where the issue is whether the Department has made  | 
reasonable efforts to reunite the family. In making its  | 
findings that reasonable efforts have been made or that good  | 
cause has been shown why reasonable efforts cannot prevent or  | 
eliminate the necessity of removal of the minor from the  | 
minor's home, the court shall state in writing its findings  | 
concerning the nature of the services that were offered or the  | 
efforts that were made to prevent removal of the child and the  | 
apparent reasons that such services or efforts could not  | 
prevent the need for removal. The parents, guardian,  | 
custodian, temporary custodian, and minor shall each be  | 
furnished a copy of such written findings. The temporary  | 
custodian shall maintain a copy of the court order and written  | 
findings in the case record for the child. The order, together  | 
with the court's findings of fact in support thereof, shall be  | 
entered of record in the court. | 
 Once the court finds that it is a matter of immediate and  | 
urgent necessity for the protection of the minor that the  | 
minor be placed in a shelter care facility, the minor shall not  | 
be returned to the parent, custodian, or guardian until the  | 
court finds that such placement is no longer necessary for the  | 
protection of the minor. | 
 (3) If neither the parent, guardian, legal custodian,  | 
responsible relative nor counsel of the minor has had actual  | 
notice of or is present at the shelter care hearing, the  | 
 | 
parent, guardian, legal custodian, responsible relative, or  | 
counsel of the minor may file an affidavit setting forth these  | 
facts, and the clerk shall set the matter for rehearing not  | 
later than 24 hours, excluding Sundays and legal holidays,  | 
after the filing of the affidavit. At the rehearing, the court  | 
shall proceed in the same manner as upon the original hearing. | 
 (4) If the minor is not brought before a judicial officer  | 
within the time period as specified in Section 4-8, the minor  | 
must immediately be released from custody. | 
 (5) Only when there is reasonable cause to believe that  | 
the minor taken into custody is a person described in  | 
subsection (3) of Section 5-105 may the minor be kept or  | 
detained in a detention home or county or municipal jail. This  | 
Section shall in no way be construed to limit subsection (6). | 
 (6) No minor under 16 years of age may be confined in a  | 
jail or place ordinarily used for the confinement of prisoners  | 
in a police station. Minors under 18 years of age must be kept  | 
separate from confined adults and may not at any time be kept  | 
in the same cell, room, or yard with adults confined pursuant  | 
to the criminal law. | 
 (7) If neither the parent, guardian, or custodian appears  | 
within 24 hours to take custody of a minor released upon  | 
request pursuant to subsection (2) of this Section, then the  | 
clerk of the court shall set the matter for rehearing not later  | 
than 7 days after the original order and shall issue a summons  | 
directed to the parent, guardian, or custodian to appear. At  | 
 | 
the same time the probation department shall prepare a report  | 
on the minor. If a parent, guardian, or custodian does not  | 
appear at such rehearing, the judge may enter an order  | 
prescribing that the minor be kept in a suitable place  | 
designated by the Department of Children and Family Services  | 
or a licensed child welfare agency. | 
 (8) Any interested party, including the State, the  | 
temporary custodian, an agency providing services to the minor  | 
or family under a service plan pursuant to Section 8.2 of the  | 
Abused and Neglected Child Reporting Act, foster parent, or  | 
any of their representatives, may file a motion to modify or  | 
vacate a temporary custody order on any of the following  | 
grounds: | 
  (a) It is no longer a matter of immediate and urgent  | 
 necessity that the minor remain in shelter care; or | 
  (b) There is a material change in the circumstances of  | 
 the natural family from which the minor was removed; or | 
  (c) A person, including a parent, relative, or legal  | 
 guardian, is capable of assuming temporary custody of the  | 
 minor; or | 
  (d) Services provided by the Department of Children  | 
 and Family Services or a child welfare agency or other  | 
 service provider have been successful in eliminating the  | 
 need for temporary custody. | 
 The clerk shall set the matter for hearing not later than  | 
14 days after such motion is filed. In the event that the court  | 
 | 
modifies or vacates a temporary custody order but does not  | 
vacate its finding of probable cause, the court may order that  | 
appropriate services be continued or initiated in behalf of  | 
the minor and the minor's family. | 
 (9) The changes made to this Section by Public Act 98-61  | 
apply to a minor who has been arrested or taken into custody on  | 
or after January 1, 2014 (the effective date of Public Act  | 
98-61).  | 
(Source: P.A. 103-22, eff. 8-8-23; revised 9-20-23.)
 | 
 (705 ILCS 405/4-14) (from Ch. 37, par. 804-14) | 
 Sec. 4-14. Summons.   | 
 (1) When a petition is filed, the clerk of the court shall  | 
issue a summons with a copy of the petition attached. The  | 
summons shall be directed to the minor's legal guardian or  | 
custodian and to each person named as a respondent in the  | 
petition, except that summons need not be directed to a minor  | 
respondent under 8 years of age for whom the court appoints a  | 
guardian ad litem if the guardian ad litem appears on behalf of  | 
the minor in any proceeding under this Act. | 
 (2) The summons must contain a statement that the minor or  | 
any of the respondents is entitled to have an attorney present  | 
at the hearing on the petition, and that the clerk of the court  | 
should be notified promptly if the minor or any other  | 
respondent desires to be represented by an attorney but is  | 
financially unable to employ counsel. | 
 | 
 (3) The summons shall be issued under the seal of the  | 
court, attested to and signed with the name of the clerk of the  | 
court, dated on the day it is issued, and shall require each  | 
respondent to appear and answer the petition on the date set  | 
for the adjudicatory hearing. | 
 (4) The summons may be served by any county sheriff,  | 
coroner, or probation officer, even though the officer is the  | 
petitioner. The return of the summons with endorsement of  | 
service by the officer is sufficient proof thereof. | 
 (5) Service of a summons and petition shall be made by:  | 
  (a) leaving a copy thereof with the person summoned at  | 
 least 3 days before the time stated therein for  | 
 appearance;  | 
  (b) leaving a copy at the summoned person's usual  | 
 place of abode with some person of the family, of the age  | 
 of 10 years or upwards, and informing that person of the  | 
 contents thereof, provided that the officer or other  | 
 person making service shall also send a copy of the  | 
 summons in a sealed envelope with postage fully prepaid,  | 
 addressed to the person summoned at the person's usual  | 
 place of abode, at least 3 days before the time stated  | 
 therein for appearance; or  | 
  (c) leaving a copy thereof with the guardian or  | 
 custodian of a minor, at least 3 days before the time  | 
 stated therein for appearance.  | 
 If the guardian or custodian is an agency of the State of  | 
 | 
Illinois, proper service may be made by leaving a copy of the  | 
summons and petition with any administrative employee of such  | 
agency designated by such agency to accept service of summons  | 
and petitions. The certificate of the officer or affidavit of  | 
the person that the officer or person has sent the copy  | 
pursuant to this Section is sufficient proof of service. | 
 (6) When a parent or other person, who has signed a written  | 
promise to appear and bring the minor to court or who has  | 
waived or acknowledged service, fails to appear with the minor  | 
on the date set by the court, a bench warrant may be issued for  | 
the parent or other person, the minor, or both. | 
 (7) The appearance of the minor's legal guardian or  | 
custodian, or a person named as a respondent in a petition, in  | 
any proceeding under this Act shall constitute a waiver of  | 
service of summons and submission to the jurisdiction of the  | 
court. A copy of the summons and petition shall be provided to  | 
the person at the time of the person's appearance. | 
 (8) Fines or assessments, such as fees or administrative  | 
costs, in the service of process shall not be ordered or  | 
imposed on a minor or a minor's parent, guardian, or legal  | 
custodian.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-379, eff. 7-28-23;  | 
revised 9-25-23.)
 | 
 (705 ILCS 405/4-16) (from Ch. 37, par. 804-16) | 
 Sec. 4-16. Guardian ad litem.  | 
 | 
 (1) Immediately upon the filing of a petition alleging  | 
that the minor is a person described in Section 4-3 of this  | 
Act, the court may appoint a guardian ad litem for the minor  | 
if: | 
  (a) such petition alleges that the minor is the victim  | 
 of sexual abuse or misconduct; or | 
  (b) such petition alleges that charges alleging the  | 
 commission of any of the sex offenses defined in Article  | 
 11 or in Sections 11-1.20, 11-1.30, 11-1.40, 11-1.50,  | 
 11-1.60, 12-13, 12-14, 12-14.1, 12-15, or 12-16 of the  | 
 Criminal Code of 1961 or the Criminal Code of 2012, have  | 
 been filed against a defendant in any court and that such  | 
 minor is the alleged victim of the acts of the defendant in  | 
 the commission of such offense. | 
 Unless the guardian ad litem appointed pursuant to this  | 
paragraph (1) is an attorney at law, the guardian ad litem  | 
shall be represented in the performance of the guardian ad  | 
litem's duties by counsel. | 
 (2) Before proceeding with the hearing, the court shall  | 
appoint a guardian ad litem for the minor if: | 
  (a) no parent, guardian, custodian, or relative of the  | 
 minor appears at the first or any subsequent hearing of  | 
 the case; | 
  (b) the petition prays for the appointment of a  | 
 guardian with power to consent to adoption; or | 
  (c) the petition for which the minor is before the  | 
 | 
 court resulted from a report made pursuant to the Abused  | 
 and Neglected Child Reporting Act. | 
 (3) The court may appoint a guardian ad litem for the minor  | 
whenever it finds that there may be a conflict of interest  | 
between the minor and the minor's parents or other custodian  | 
or that it is otherwise in the minor's interest to do so. | 
 (4) Unless the guardian ad litem is an attorney, the  | 
guardian ad litem shall be represented by counsel. | 
 (5) The reasonable fees of a guardian ad litem appointed  | 
under this Section shall be fixed by the court and paid from  | 
the general fund of the county. | 
(Source: P.A. 103-22, eff. 8-8-23; 103-379, eff. 7-28-23;  | 
revised 9-20-23.)
 | 
 (705 ILCS 405/4-18) (from Ch. 37, par. 804-18) | 
 Sec. 4-18. Continuance under supervision.  | 
 (1) The court may enter an order of continuance under  | 
supervision (a) upon an admission or stipulation by the  | 
appropriate respondent or minor respondent of the facts  | 
supporting the petition and before proceeding to findings and  | 
adjudication, or after hearing the evidence at the  | 
adjudicatory hearing but before noting in the minutes of the  | 
proceeding a finding of whether or not the minor is an addict,  | 
and (b) in the absence of objection made in open court by the  | 
minor, the minor's parent, guardian, custodian, responsible  | 
relative, or defense attorney, or the State's Attorney. | 
 | 
 (2) If the minor, the minor's parent, guardian, custodian,  | 
responsible relative, or defense attorney, or the State's  | 
Attorney, objects in open court to any such continuance and  | 
insists upon proceeding to findings and adjudication, the  | 
court shall so proceed. | 
 (3) Nothing in this Section limits the power of the court  | 
to order a continuance of the hearing for the production of  | 
additional evidence or for any other proper reason. | 
 (4) When a hearing is continued pursuant to this Section,  | 
the court may permit the minor to remain in the minor's home  | 
subject to such conditions concerning the minor's conduct and  | 
supervision as the court may require by order. | 
 (5) If a petition is filed charging a violation of a  | 
condition of the continuance under supervision, the court  | 
shall conduct a hearing. If the court finds that such  | 
condition of supervision has not been fulfilled the court may  | 
proceed to findings and adjudication and disposition. The  | 
filing of a petition for violation of a condition of the  | 
continuance under supervision shall toll the period of  | 
continuance under supervision until the final determination of  | 
the charge, and the term of the continuance under supervision  | 
shall not run until the hearing and disposition of the  | 
petition for violation; provided where the petition alleges  | 
conduct that does not constitute a criminal offense, the  | 
hearing must be held within 15 days of the filing of the  | 
petition unless a delay in such hearing has been occasioned by  | 
 | 
the minor, in which case the delay shall continue the tolling  | 
of the period of continuance under supervision for the period  | 
of such delay. | 
 (6) (Blank). | 
(Source: P.A. 103-22, eff. 8-8-23; 103-379, eff. 7-28-23;  | 
revised 9-6-23.)
 | 
 (705 ILCS 405/4-21) (from Ch. 37, par. 804-21) | 
 Sec. 4-21. Kinds of dispositional orders.  | 
 (1) A minor found to be addicted under Section 4-3 may be  | 
(a) committed to the Department of Children and Family  | 
Services, subject to Section 5 of the Children and Family  | 
Services Act; (b) placed under supervision and released to the  | 
minor's parents, guardian, or legal custodian; (c) placed in  | 
accordance with Section 4-25 with or without also being placed  | 
under supervision. Conditions of supervision may be modified  | 
or terminated by the court if it deems that the best interests  | 
of the minor and the public will be served thereby; (d)  | 
required to attend an approved alcohol or drug abuse treatment  | 
or counseling program on an inpatient or outpatient basis  | 
instead of or in addition to the disposition otherwise  | 
provided for in this paragraph; (e) ordered partially or  | 
completely emancipated in accordance with the provisions of  | 
the Emancipation of Minors Act; or (f) subject to having the  | 
minor's driver's license or driving privilege suspended for  | 
such time as determined by the Court but only until the minor  | 
 | 
attains 18 years of age. No disposition under this subsection  | 
shall provide for the minor's placement in a secure facility. | 
 (2) Any order of disposition may provide for protective  | 
supervision under Section 4-22 and may include an order of  | 
protection under Section 4-23. | 
 (3) Unless the order of disposition expressly so provides,  | 
it does not operate to close proceedings on the pending  | 
petition, but is subject to modification until final closing  | 
and discharge of the proceedings under Section 4-29. | 
 (4) In addition to any other order of disposition, the  | 
court may order any minor found to be addicted under this  | 
Article as neglected with respect to the minor's injurious  | 
behavior, to make restitution, in monetary or non-monetary  | 
form, under the terms and conditions of Section 5-5-6 of the  | 
Unified Code of Corrections, except that the "presentence  | 
hearing" referred to therein shall be the dispositional  | 
hearing for purposes of this Section. The parent, guardian, or  | 
legal custodian of the minor may pay some or all of such  | 
restitution on the minor's behalf. | 
 (5) Any order for disposition where the minor is placed in  | 
accordance with Section 4-25 shall provide for the parents or  | 
guardian of the estate of such minor to pay to the legal  | 
custodian or guardian of the person of the minor such sums as  | 
are determined by the custodian or guardian of the person of  | 
the minor as necessary for the minor's needs. Such payments  | 
may not exceed the maximum amounts provided for by Section 9.1  | 
 | 
of the Children and Family Services Act. | 
 (6) Whenever the order of disposition requires the minor  | 
to attend school or participate in a program of training, the  | 
truant officer or designated school official shall regularly  | 
report to the court if the minor is a chronic or habitual  | 
truant under Section 26-2a of the School Code. | 
 (7) (Blank). | 
(Source: P.A. 103-22, eff. 8-8-23; 103-379, eff. 7-28-23;  | 
revised 9-25-23.)
 | 
 (705 ILCS 405/5-105) | 
 Sec. 5-105. Definitions. As used in this Article: | 
  (1) "Aftercare release" means the conditional and  | 
 revocable release of an adjudicated delinquent juvenile  | 
 committed to the Department of Juvenile Justice under the  | 
 supervision of the Department of Juvenile Justice.  | 
  (1.5) "Court" means the circuit court in a session or  | 
 division assigned to hear proceedings under this Act, and  | 
 includes the term Juvenile Court. | 
  (2) "Community service" means uncompensated labor for  | 
 a community service agency as hereinafter defined. | 
  (2.5) "Community service agency" means a  | 
 not-for-profit organization, community organization,  | 
 church, charitable organization, individual, public  | 
 office, or other public body whose purpose is to enhance  | 
 the physical or mental health of a delinquent minor or to  | 
 | 
 rehabilitate the minor, or to improve the environmental  | 
 quality or social welfare of the community which agrees to  | 
 accept community service from juvenile delinquents and to  | 
 report on the progress of the community service to the  | 
 State's Attorney pursuant to an agreement or to the court  | 
 or to any agency designated by the court or to the  | 
 authorized diversion program that has referred the  | 
 delinquent minor for community service.  | 
  (3) "Delinquent minor" means any minor who prior to  | 
 the minor's 18th birthday has violated or attempted to  | 
 violate an Illinois State, county, or municipal law or  | 
 ordinance. | 
  (4) "Department" means the Department of Human  | 
 Services unless specifically referenced as another  | 
 department. | 
  (5) "Detention" means the temporary care of a minor  | 
 who is alleged to be or has been adjudicated delinquent  | 
 and who requires secure custody for the minor's own  | 
 protection or the community's protection in a facility  | 
 designed to physically restrict the minor's movements,  | 
 pending disposition by the court or execution of an order  | 
 of the court for placement or commitment. Design features  | 
 that physically restrict movement include, but are not  | 
 limited to, locked rooms and the secure handcuffing of a  | 
 minor to a rail or other stationary object. In addition,  | 
 "detention" includes the court ordered care of an alleged  | 
 | 
 or adjudicated delinquent minor who requires secure  | 
 custody pursuant to Section 5-125 of this Act. | 
  (6) "Diversion" means the referral of a juvenile,  | 
 without court intervention, into a program that provides  | 
 services designed to educate the juvenile and develop a  | 
 productive and responsible approach to living in the  | 
 community. | 
  (7) "Juvenile detention home" means a public facility  | 
 with specially trained staff that conforms to the county  | 
 juvenile detention standards adopted by the Department of  | 
 Juvenile Justice. | 
  (8) "Juvenile justice continuum" means a set of  | 
 delinquency prevention programs and services designed for  | 
 the purpose of preventing or reducing delinquent acts,  | 
 including criminal activity by youth gangs, as well as  | 
 intervention, rehabilitation, and prevention services  | 
 targeted at minors who have committed delinquent acts, and  | 
 minors who have previously been committed to residential  | 
 treatment programs for delinquents. The term includes  | 
 children-in-need-of-services and  | 
 families-in-need-of-services programs; aftercare and  | 
 reentry services; substance abuse and mental health  | 
 programs; community service programs; community service  | 
 work programs; and alternative-dispute resolution programs  | 
 serving youth-at-risk of delinquency and their families,  | 
 whether offered or delivered by State or local  | 
 | 
 governmental entities, public or private for-profit or  | 
 not-for-profit organizations, or religious or charitable  | 
 organizations. This term would also encompass any program  | 
 or service consistent with the purpose of those programs  | 
 and services enumerated in this subsection. | 
  (9) "Juvenile police officer" means a sworn police  | 
 officer who has completed a Basic Recruit Training Course,  | 
 has been assigned to the position of juvenile police  | 
 officer by the officer's chief law enforcement officer and  | 
 has completed the necessary juvenile officers training as  | 
 prescribed by the Illinois Law Enforcement Training  | 
 Standards Board, or in the case of a State police officer,  | 
 juvenile officer training approved by the Director of the  | 
 Illinois State Police. | 
  (10) "Minor" means a person under the age of 21 years  | 
 subject to this Act. | 
  (11) "Non-secure custody" means confinement where the  | 
 minor is not physically restricted by being placed in a  | 
 locked cell or room, by being handcuffed to a rail or other  | 
 stationary object, or by other means. "Non-secure custody"  | 
 may include, but is not limited to, electronic monitoring,  | 
 foster home placement, home confinement, group home  | 
 placement, or physical restriction of movement or activity  | 
 solely through facility staff. | 
  (12) "Public or community service" means uncompensated  | 
 labor for a not-for-profit organization or public body  | 
 | 
 whose purpose is to enhance physical or mental stability  | 
 of the offender, environmental quality or the social  | 
 welfare and which agrees to accept public or community  | 
 service from offenders and to report on the progress of  | 
 the offender and the public or community service to the  | 
 court or to the authorized diversion program that has  | 
 referred the offender for public or community service.  | 
 "Public or community service" does not include blood  | 
 donation or assignment to labor at a blood bank. For the  | 
 purposes of this Act, "blood bank" has the meaning  | 
 ascribed to the term in Section 2-124 of the Illinois  | 
 Clinical Laboratory and Blood Bank Act. | 
  (13) "Sentencing hearing" means a hearing to determine  | 
 whether a minor should be adjudged a ward of the court, and  | 
 to determine what sentence should be imposed on the minor.  | 
 It is the intent of the General Assembly that the term  | 
 "sentencing hearing" replace the term "dispositional  | 
 hearing" and be synonymous with that definition as it was  | 
 used in the Juvenile Court Act of 1987. | 
  (14) "Shelter" means the temporary care of a minor in  | 
 physically unrestricting facilities pending court  | 
 disposition or execution of court order for placement. | 
  (15) "Site" means a not-for-profit organization,  | 
 public body, church, charitable organization, or  | 
 individual agreeing to accept community service from  | 
 offenders and to report on the progress of ordered or  | 
 | 
 required public or community service to the court or to  | 
 the authorized diversion program that has referred the  | 
 offender for public or community service. | 
  (16) "Station adjustment" means the informal or formal  | 
 handling of an alleged offender by a juvenile police  | 
 officer. | 
  (17) "Trial" means a hearing to determine whether the  | 
 allegations of a petition under Section 5-520 that a minor  | 
 is delinquent are proved beyond a reasonable doubt. It is  | 
 the intent of the General Assembly that the term "trial"  | 
 replace the term "adjudicatory hearing" and be synonymous  | 
 with that definition as it was used in the Juvenile Court  | 
 Act of 1987. | 
 The changes made to this Section by Public Act 98-61 apply  | 
to violations or attempted violations committed on or after  | 
January 1, 2014 (the effective date of Public Act 98-61).  | 
(Source: P.A. 102-538, eff. 8-20-21; 103-22, eff. 8-8-23;  | 
103-27, eff. 1-1-24; revised 12-15-23.)
 | 
 (705 ILCS 405/5-120) | 
 Sec. 5-120. Exclusive jurisdiction. Proceedings may be  | 
instituted under the provisions of this Article concerning any  | 
minor who prior to the minor's 18th birthday has violated or  | 
attempted to violate an Illinois State, county, or municipal  | 
law or ordinance. Except as provided in Sections 5-125, 5-130,  | 
5-805, and 5-810 of this Article, no minor who was under 18  | 
 | 
years of age at the time of the alleged offense may be  | 
prosecuted under the criminal laws of this State. | 
 The changes made to this Section by Public Act 98-61 this  | 
amendatory Act of the 98th General Assembly apply to  | 
violations or attempted violations committed on or after  | 
January 1, 2014 (the effective date of Public Act 98-61) this  | 
amendatory Act.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-27, eff. 1-1-24;  | 
revised 12-15-23.)
 | 
 (705 ILCS 405/5-401.6) | 
 Sec. 5-401.6. Prohibition of deceptive tactics. | 
 (a) In this Section: | 
 "Custodial interrogation" means any interrogation (i)  | 
during which a reasonable person in the subject's position  | 
would consider the subject to be in custody and (ii) during  | 
which a question is asked that is reasonably likely to elicit  | 
an incriminating response. | 
 "Deception" means the knowing communication of false facts  | 
about evidence or unauthorized statements regarding leniency  | 
by a law enforcement officer or juvenile officer to a subject  | 
of custodial interrogation. | 
 "Person with a severe or profound intellectual disability"  | 
means a person (i) whose intelligence quotient does not exceed  | 
40 or (ii) whose intelligence quotient does not exceed 55 and  | 
who suffers from significant mental illness to the extent that  | 
 | 
the person's ability to exercise rational judgment is  | 
impaired.  | 
 "Place of detention" means a building or a police station  | 
that is a place of operation for a municipal police department  | 
or county sheriff department or other law enforcement agency  | 
at which persons are or may be held in detention in connection  | 
with criminal charges against those persons or allegations  | 
that those persons are delinquent minors.  | 
 "Protected person" means: a minor who, at the time of the  | 
commission of the offense, was under 18 years of age; or a  | 
person with a severe or profound intellectual disability.  | 
 (b) An oral, written, or sign language confession of a  | 
protected person made as a result of a custodial interrogation  | 
conducted at a police station or other place of detention on or  | 
after January 1, 2022 (the effective date of Public Act  | 
102-101) this amendatory Act of the 102nd General Assembly  | 
shall be presumed to be inadmissible as evidence against the  | 
protected person making the confession in a criminal  | 
proceeding or a juvenile court proceeding for an act that if  | 
committed by an adult would be a misdemeanor offense under  | 
Article 11 of the Criminal Code of 2012 or a felony offense  | 
under the Criminal Code of 2012 if, during the custodial  | 
interrogation, a law enforcement officer or juvenile officer  | 
knowingly engages in deception. | 
 (c) The presumption of inadmissibility of a confession of  | 
a protected person at a custodial interrogation at a police  | 
 | 
station or other place of detention, when such confession is  | 
procured through the knowing use of deception, may be overcome  | 
by a preponderance of the evidence that the confession was  | 
voluntarily given, based on the totality of the circumstances. | 
 (d) The burden of going forward with the evidence and the  | 
burden of proving that a confession was voluntary shall be on  | 
the State. Objection to the failure of the State to call all  | 
material witnesses on the issue of whether the confession was  | 
voluntary must be made in the trial court. | 
(Source: P.A. 102-101, eff. 1-1-22; 103-22, eff. 8-8-23;  | 
103-341, eff. 1-1-24; revised 12-15-23.)
 | 
 (705 ILCS 405/5-410) | 
 Sec. 5-410. Non-secure custody or detention.  | 
 (1) Any minor arrested or taken into custody pursuant to  | 
this Act who requires care away from the minor's home but who  | 
does not require physical restriction shall be given temporary  | 
care in a foster family home or other shelter facility  | 
designated by the court. | 
 (2)(a) Any minor 10 years of age or older arrested  | 
pursuant to this Act where there is probable cause to believe  | 
that the minor is a delinquent minor and that (i) secure  | 
custody is a matter of immediate and urgent necessity for the  | 
protection of the minor or of the person or property of  | 
another, (ii) the minor is likely to flee the jurisdiction of  | 
the court, or (iii) the minor was taken into custody under a  | 
 | 
warrant, may be kept or detained in an authorized detention  | 
facility. A minor under 13 years of age shall not be admitted,  | 
kept, or detained in a detention facility unless a local youth  | 
service provider, including a provider through the  | 
Comprehensive Community Based Youth Services network, has been  | 
contacted and has not been able to accept the minor. No minor  | 
under 12 years of age shall be detained in a county jail or a  | 
municipal lockup for more than 6 hours. | 
 (a-5) For a minor arrested or taken into custody for  | 
vehicular hijacking or aggravated vehicular hijacking, a  | 
previous finding of delinquency for vehicular hijacking or  | 
aggravated vehicular hijacking shall be given greater weight  | 
in determining whether secured custody of a minor is a matter  | 
of immediate and urgent necessity for the protection of the  | 
minor or of the person or property of another.  | 
 (b) The written authorization of the probation officer or  | 
detention officer (or other public officer designated by the  | 
court in a county having 3,000,000 or more inhabitants)  | 
constitutes authority for the superintendent of any juvenile  | 
detention home to detain and keep a minor for up to 40 hours,  | 
excluding Saturdays, Sundays, and court-designated holidays.  | 
These records shall be available to the same persons and  | 
pursuant to the same conditions as are law enforcement records  | 
as provided in Section 5-905. | 
 (b-4) The consultation required by paragraph (b-5) shall  | 
not be applicable if the probation officer or detention  | 
 | 
officer (or other public officer designated by the court in a  | 
county having 3,000,000 or more inhabitants) utilizes a  | 
scorable detention screening instrument, which has been  | 
developed with input by the State's Attorney, to determine  | 
whether a minor should be detained; , however, paragraph (b-5)  | 
shall still be applicable where no such screening instrument  | 
is used or where the probation officer, detention officer (or  | 
other public officer designated by the court in a county  | 
having 3,000,000 or more inhabitants) deviates from the  | 
screening instrument. | 
 (b-5) Subject to the provisions of paragraph (b-4), if a  | 
probation officer or detention officer (or other public  | 
officer designated by the court in a county having 3,000,000  | 
or more inhabitants) does not intend to detain a minor for an  | 
offense which constitutes one of the following offenses, the  | 
probation officer or detention officer (or other public  | 
officer designated by the court in a county having 3,000,000  | 
or more inhabitants) shall consult with the State's Attorney's  | 
Office prior to the release of the minor: first degree murder,  | 
second degree murder, involuntary manslaughter, criminal  | 
sexual assault, aggravated criminal sexual assault, aggravated  | 
battery with a firearm as described in Section 12-4.2 or  | 
subdivision (e)(1), (e)(2), (e)(3), or (e)(4) of Section  | 
12-3.05, aggravated or heinous battery involving permanent  | 
disability or disfigurement or great bodily harm, robbery,  | 
aggravated robbery, armed robbery, vehicular hijacking,  | 
 | 
aggravated vehicular hijacking, vehicular invasion, arson,  | 
aggravated arson, kidnapping, aggravated kidnapping, home  | 
invasion, burglary, or residential burglary. | 
 (c) Except as otherwise provided in paragraph (a), (d), or  | 
(e), no minor shall be detained in a county jail or municipal  | 
lockup for more than 12 hours, unless the offense is a crime of  | 
violence in which case the minor may be detained up to 24  | 
hours. For the purpose of this paragraph, "crime of violence"  | 
has the meaning ascribed to it in Section 1-10 of the Substance  | 
Use Disorder Act Alcoholism and Other Drug Abuse and  | 
Dependency Act. | 
  (i) The period of detention is deemed to have begun  | 
 once the minor has been placed in a locked room or cell or  | 
 handcuffed to a stationary object in a building housing a  | 
 county jail or municipal lockup. Time spent transporting a  | 
 minor is not considered to be time in detention or secure  | 
 custody. | 
  (ii) Any minor so confined shall be under periodic  | 
 supervision and shall not be permitted to come into or  | 
 remain in contact with adults in custody in the building. | 
  (iii) Upon placement in secure custody in a jail or  | 
 lockup, the minor shall be informed of the purpose of the  | 
 detention, the time it is expected to last and the fact  | 
 that it cannot exceed the time specified under this Act. | 
  (iv) A log shall be kept which shows the offense which  | 
 is the basis for the detention, the reasons and  | 
 | 
 circumstances for the decision to detain, and the length  | 
 of time the minor was in detention. | 
  (v) Violation of the time limit on detention in a  | 
 county jail or municipal lockup shall not, in and of  | 
 itself, render inadmissible evidence obtained as a result  | 
 of the violation of this time limit. Minors under 18 years  | 
 of age shall be kept separate from confined adults and may  | 
 not at any time be kept in the same cell, room, or yard  | 
 with adults confined pursuant to criminal law. Persons 18  | 
 years of age and older who have a petition of delinquency  | 
 filed against them may be confined in an adult detention  | 
 facility. In making a determination whether to confine a  | 
 person 18 years of age or older who has a petition of  | 
 delinquency filed against the person, these factors, among  | 
 other matters, shall be considered: | 
   (A) the age of the person; | 
   (B) any previous delinquent or criminal history of  | 
 the person; | 
   (C) any previous abuse or neglect history of the  | 
 person; and | 
   (D) any mental health or educational history of  | 
 the person, or both. | 
 (d)(i) If a minor 12 years of age or older is confined in a  | 
county jail in a county with a population below 3,000,000  | 
inhabitants, then the minor's confinement shall be implemented  | 
in such a manner that there will be no contact by sight, sound,  | 
 | 
or otherwise between the minor and adult prisoners. Minors 12  | 
years of age or older must be kept separate from confined  | 
adults and may not at any time be kept in the same cell, room,  | 
or yard with confined adults. This paragraph (d)(i) shall only  | 
apply to confinement pending an adjudicatory hearing and shall  | 
not exceed 40 hours, excluding Saturdays, Sundays, and  | 
court-designated holidays. To accept or hold minors during  | 
this time period, county jails shall comply with all  | 
monitoring standards adopted by the Department of Corrections  | 
and training standards approved by the Illinois Law  | 
Enforcement Training Standards Board. | 
 (ii) To accept or hold minors, 12 years of age or older,  | 
after the time period prescribed in paragraph (d)(i) of this  | 
subsection (2) of this Section but not exceeding 7 days  | 
including Saturdays, Sundays, and holidays pending an  | 
adjudicatory hearing, county jails shall comply with all  | 
temporary detention standards adopted by the Department of  | 
Corrections and training standards approved by the Illinois  | 
Law Enforcement Training Standards Board. | 
 (iii) To accept or hold minors 12 years of age or older,  | 
after the time period prescribed in paragraphs (d)(i) and  | 
(d)(ii) of this subsection (2) of this Section, county jails  | 
shall comply with all county juvenile detention standards  | 
adopted by the Department of Juvenile Justice. | 
 (e) When a minor who is at least 15 years of age is  | 
prosecuted under the criminal laws of this State, the court  | 
 | 
may enter an order directing that the juvenile be confined in  | 
the county jail. However, any juvenile confined in the county  | 
jail under this provision shall be separated from adults who  | 
are confined in the county jail in such a manner that there  | 
will be no contact by sight, sound, or otherwise between the  | 
juvenile and adult prisoners. | 
 (f) For purposes of appearing in a physical lineup, the  | 
minor may be taken to a county jail or municipal lockup under  | 
the direct and constant supervision of a juvenile police  | 
officer. During such time as is necessary to conduct a lineup,  | 
and while supervised by a juvenile police officer, the sight  | 
and sound separation provisions shall not apply. | 
 (g) For purposes of processing a minor, the minor may be  | 
taken to a county jail or municipal lockup under the direct and  | 
constant supervision of a law enforcement officer or  | 
correctional officer. During such time as is necessary to  | 
process the minor, and while supervised by a law enforcement  | 
officer or correctional officer, the sight and sound  | 
separation provisions shall not apply. | 
 (3) If the probation officer or State's Attorney (or such  | 
other public officer designated by the court in a county  | 
having 3,000,000 or more inhabitants) determines that the  | 
minor may be a delinquent minor as described in subsection (3)  | 
of Section 5-105, and should be retained in custody but does  | 
not require physical restriction, the minor may be placed in  | 
non-secure custody for up to 40 hours pending a detention  | 
 | 
hearing. | 
 (4) Any minor taken into temporary custody, not requiring  | 
secure detention, may, however, be detained in the home of the  | 
minor's parent or guardian subject to such conditions as the  | 
court may impose. | 
 (5) The changes made to this Section by Public Act 98-61  | 
apply to a minor who has been arrested or taken into custody on  | 
or after January 1, 2014 (the effective date of Public Act  | 
98-61).  | 
(Source: P.A. 103-22, eff. 8-8-23; revised 9-20-23.)
 | 
 (705 ILCS 405/5-525) | 
 Sec. 5-525. Service.  | 
 (1) Service by summons. | 
  (a) Upon the commencement of a delinquency  | 
 prosecution, the clerk of the court shall issue a summons  | 
 with a copy of the petition attached. The summons shall be  | 
 directed to the minor's parent, guardian or legal  | 
 custodian and to each person named as a respondent in the  | 
 petition, except that summons need not be directed (i) to  | 
 a minor respondent under 8 years of age for whom the court  | 
 appoints a guardian ad litem if the guardian ad litem  | 
 appears on behalf of the minor in any proceeding under  | 
 this Act, or (ii) to a parent who does not reside with the  | 
 minor, does not make regular child support payments to the  | 
 minor, to the minor's other parent, or to the minor's  | 
 | 
 legal guardian or custodian pursuant to a support order,  | 
 and has not communicated with the minor on a regular  | 
 basis.  | 
  (b) The summons must contain a statement that the  | 
 minor is entitled to have an attorney present at the  | 
 hearing on the petition, and that the clerk of the court  | 
 should be notified promptly if the minor desires to be  | 
 represented by an attorney but is financially unable to  | 
 employ counsel. | 
  (c) The summons shall be issued under the seal of the  | 
 court, attested in and signed with the name of the clerk of  | 
 the court, dated on the day it is issued, and shall require  | 
 each respondent to appear and answer the petition on the  | 
 date set for the adjudicatory hearing. | 
  (d) The summons may be served by any law enforcement  | 
 officer, coroner or probation officer, even though the  | 
 officer is the petitioner. The return of the summons with  | 
 endorsement of service by the officer is sufficient proof  | 
 of service. | 
  (e) Service of a summons and petition shall be made  | 
 by: (i) leaving a copy of the summons and petition with the  | 
 person summoned at least 3 days before the time stated in  | 
 the summons for appearance; (ii) leaving a copy at the  | 
 summoned person's usual place of abode with some person of  | 
 the family, of the age of 10 years or upwards, and  | 
 informing that person of the contents of the summons and  | 
 | 
 petition, provided, the officer or other person making  | 
 service shall also send a copy of the summons in a sealed  | 
 envelope with postage fully prepaid, addressed to the  | 
 person summoned at the person's usual place of abode, at  | 
 least 3 days before the time stated in the summons for  | 
 appearance; or (iii) leaving a copy of the summons and  | 
 petition with the guardian or custodian of a minor, at  | 
 least 3 days before the time stated in the summons for  | 
 appearance. If the guardian or legal custodian is an  | 
 agency of the State of Illinois, proper service may be  | 
 made by leaving a copy of the summons and petition with any  | 
 administrative employee of the agency designated by the  | 
 agency to accept the service of summons and petitions. The  | 
 certificate of the officer or affidavit of the person that  | 
 the officer or person has sent the copy pursuant to this  | 
 Section is sufficient proof of service. | 
  (f) When a parent or other person, who has signed a  | 
 written promise to appear and bring the minor to court or  | 
 who has waived or acknowledged service, fails to appear  | 
 with the minor on the date set by the court, a bench  | 
 warrant may be issued for the parent or other person, the  | 
 minor, or both. | 
 (2) Service by certified mail or publication. | 
  (a) If service on individuals as provided in  | 
 subsection (1) is not made on any respondent within a  | 
 reasonable time or if it appears that any respondent  | 
 | 
 resides outside the State, service may be made by  | 
 certified mail. In that case the clerk shall mail the  | 
 summons and a copy of the petition to that respondent by  | 
 certified mail marked for delivery to addressee only. The  | 
 court shall not proceed with the adjudicatory hearing  | 
 until 5 days after the mailing. The regular return receipt  | 
 for certified mail is sufficient proof of service. | 
  (b) If service upon individuals as provided in  | 
 subsection (1) is not made on any respondents within a  | 
 reasonable time or if any person is made a respondent  | 
 under the designation of "All Whom It May Concern", or if  | 
 service cannot be made because the whereabouts of a  | 
 respondent are unknown, service may be made by  | 
 publication. The clerk of the court as soon as possible  | 
 shall cause publication to be made once in a newspaper of  | 
 general circulation in the county where the action is  | 
 pending. Service by publication is not required in any  | 
 case when the person alleged to have legal custody of the  | 
 minor has been served with summons personally or by  | 
 certified mail, but the court may not enter any order or  | 
 judgment against any person who cannot be served with  | 
 process other than by publication unless service by  | 
 publication is given or unless that person appears.  | 
 Failure to provide service by publication to a  | 
 non-custodial parent whose whereabouts are unknown shall  | 
 not deprive the court of jurisdiction to proceed with a  | 
 | 
 trial or a plea of delinquency by the minor. When a minor  | 
 has been detained or sheltered under Section 5-501 of this  | 
 Act and summons has not been served personally or by  | 
 certified mail within 20 days from the date of the order of  | 
 court directing such detention or shelter care, the clerk  | 
 of the court shall cause publication. Service by  | 
 publication shall be substantially as follows: | 
   "A, B, C, D, (here giving the names of the named  | 
 respondents, if any) and to All Whom It May Concern (if  | 
 there is any respondent under that designation): | 
   Take notice that on (insert date) a petition was  | 
 filed under the Juvenile Court Act of 1987 by .... in  | 
 the circuit court of .... county entitled 'In the  | 
 interest of ...., a minor', and that in .... courtroom  | 
 at .... on (insert date) at the hour of ...., or as  | 
 soon thereafter as this cause may be heard, an  | 
 adjudicatory hearing will be held upon the petition to  | 
 have the child declared to be a ward of the court under  | 
 that Act. The court has authority in this proceeding  | 
 to take from you the custody and guardianship of the  | 
 minor. | 
   Now, unless you appear at the hearing and show  | 
 cause against the petition, the allegations of the  | 
 petition may stand admitted as against you and each of  | 
 you, and an order or judgment entered. | 
   ........................................
 | 
 | 
   Clerk
 | 
   Dated (insert the date of publication)" | 
  (c) The clerk shall also at the time of the  | 
 publication of the notice send a copy of the notice by mail  | 
 to each of the respondents on account of whom publication  | 
 is made at each respondent's last known address. The  | 
 certificate of the clerk that the clerk has mailed the  | 
 notice is evidence of that mailing. No other publication  | 
 notice is required. Every respondent notified by  | 
 publication under this Section must appear and answer in  | 
 open court at the hearing. The court may not proceed with  | 
 the adjudicatory hearing until 10 days after service by  | 
 publication on any custodial parent, guardian or legal  | 
 custodian of a minor alleged to be delinquent. | 
  (d) If it becomes necessary to change the date set for  | 
 the hearing in order to comply with this Section, notice  | 
 of the resetting of the date must be given, by certified  | 
 mail or other reasonable means, to each respondent who has  | 
 been served with summons personally or by certified mail. | 
 (3) Once jurisdiction has been established over a party,  | 
further service is not required and notice of any subsequent  | 
proceedings in that prosecution shall be made in accordance  | 
with provisions of Section 5-530. | 
 (4) The appearance of the minor's parent, guardian, or  | 
legal custodian, or a person named as a respondent in a  | 
petition, in any proceeding under this Act shall constitute a  | 
 | 
waiver of service and submission to the jurisdiction of the  | 
court. A copy of the petition shall be provided to the person  | 
at the time of the person's appearance. | 
 (5) Fines or assessments, such as fees or administrative  | 
costs in the service of process, shall not be ordered or  | 
imposed on a minor or a minor's parent, guardian, or legal  | 
custodian.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-379, eff. 7-28-23;  | 
revised 9-11-23.)
 | 
 (705 ILCS 405/5-601) | 
 Sec. 5-601. Trial.  | 
 (1) When a petition has been filed alleging that the minor  | 
is a delinquent, a trial must be held within 120 days of a  | 
written demand for such hearing made by any party, except that  | 
when the State, without success, has exercised due diligence  | 
to obtain evidence material to the case and there are  | 
reasonable grounds to believe that the evidence may be  | 
obtained at a later date, the court may, upon motion by the  | 
State, continue the trial for not more than 30 additional  | 
days. | 
 (2) If a minor respondent has multiple delinquency  | 
petitions pending against the minor in the same county and  | 
simultaneously demands a trial upon more than one delinquency  | 
petition pending against the minor in the same county, the  | 
minor shall receive a trial or have a finding, after waiver of  | 
 | 
trial, upon at least one such petition before expiration  | 
relative to any of the pending petitions of the period  | 
described by this Section. All remaining petitions thus  | 
pending against the minor respondent shall be adjudicated  | 
within 160 days from the date on which a finding relative to  | 
the first petition prosecuted is rendered under Section 5-620  | 
of this Article, or, if the trial upon the first petition is  | 
terminated without a finding and there is no subsequent trial,  | 
or adjudication after waiver of trial, on the first petition  | 
within a reasonable time, the minor shall receive a trial upon  | 
all of the remaining petitions within 160 days from the date on  | 
which the trial, or finding after waiver of trial, on the first  | 
petition is concluded. If either such period of 160 days  | 
expires without the commencement of trial, or adjudication  | 
after waiver of trial, of any of the remaining pending  | 
petitions, the petition or petitions shall be dismissed and  | 
barred for want of prosecution unless the delay is occasioned  | 
by any of the reasons described in this Section. | 
 (3) When no such trial is held within the time required by  | 
subsections (1) and (2) of this Section, the court shall, upon  | 
motion by any party, dismiss the petition with prejudice. | 
 (4) Without affecting the applicability of the tolling and  | 
multiple prosecution provisions of subsections (8) and (2) of  | 
this Section when a petition has been filed alleging that the  | 
minor is a delinquent and the minor is in detention or shelter  | 
care, the trial shall be held within 30 calendar days after the  | 
 | 
date of the order directing detention or shelter care, or the  | 
earliest possible date in compliance with the provisions of  | 
Section 5-525 as to the custodial parent, guardian, or legal  | 
custodian, but no later than 45 calendar days from the date of  | 
the order of the court directing detention or shelter care.  | 
When the petition alleges the minor has committed an offense  | 
involving a controlled substance as defined in the Illinois  | 
Controlled Substances Act or methamphetamine as defined in the  | 
Methamphetamine Control and Community Protection Act, the  | 
court may, upon motion of the State, continue the trial for  | 
receipt of a confirmatory laboratory report for up to 45 days  | 
after the date of the order directing detention or shelter  | 
care. When the petition alleges the minor committed an offense  | 
that involves the death of, great bodily harm to or sexual  | 
assault or aggravated criminal sexual abuse on a victim, the  | 
court may, upon motion of the State, continue the trial for not  | 
more than 70 calendar days after the date of the order  | 
directing detention or shelter care. | 
 Any failure to comply with the time limits of this Section  | 
shall require the immediate release of the minor from  | 
detention, and the time limits set forth in subsections (1)  | 
and (2) shall apply. | 
 (5) If the court determines that the State, without  | 
success, has exercised due diligence to obtain the results of  | 
DNA testing that is material to the case, and that there are  | 
reasonable grounds to believe that the results may be obtained  | 
 | 
at a later date, the court may continue the cause on  | 
application of the State for not more than 120 additional  | 
days. The court may also extend the period of detention of the  | 
minor for not more than 120 additional days. | 
 (6) If the State's Attorney makes a written request that a  | 
proceeding be designated an extended juvenile jurisdiction  | 
prosecution, and the minor is in detention, the period the  | 
minor can be held in detention pursuant to subsection (4),  | 
shall be extended an additional 30 days after the court  | 
determines whether the proceeding will be designated an  | 
extended juvenile jurisdiction prosecution or the State's  | 
Attorney withdraws the request for extended juvenile  | 
jurisdiction prosecution. | 
 (7) When the State's Attorney files a motion for waiver of  | 
jurisdiction pursuant to Section 5-805, and the minor is in  | 
detention, the period the minor can be held in detention  | 
pursuant to subsection (4), shall be extended an additional 30  | 
days if the court denies motion for waiver of jurisdiction or  | 
the State's Attorney withdraws the motion for waiver of  | 
jurisdiction. | 
 (8) The period in which a trial shall be held as prescribed  | 
by subsection subsections (1), (2), (3), (4), (5), (6), or (7)  | 
of this Section is tolled by: (i) delay occasioned by the  | 
minor; (ii) a continuance allowed pursuant to Section 114-4 of  | 
the Code of Criminal Procedure of 1963 after the court's  | 
determination of the minor's incapacity for trial; (iii) an  | 
 | 
interlocutory appeal; (iv) an examination of fitness ordered  | 
pursuant to Section 104-13 of the Code of Criminal Procedure  | 
of 1963; (v) a fitness hearing; or (vi) an adjudication of  | 
unfitness for trial. Any such delay shall temporarily suspend,  | 
for the time of the delay, the period within which a trial must  | 
be held as prescribed by subsections (1), (2), (4), (5), and  | 
(6) of this Section. On the day of expiration of the delays,  | 
the period shall continue at the point at which the time was  | 
suspended. | 
 (9) Nothing in this Section prevents the minor or the  | 
minor's parents, guardian, or legal custodian from exercising  | 
their respective rights to waive the time limits set forth in  | 
this Section. | 
(Source: P.A. 103-22, eff. 8-8-23; revised 9-20-23.)
 | 
 (705 ILCS 405/5-610) | 
 Sec. 5-610. Guardian ad litem and appointment of attorney.  | 
 (1) The court may appoint a guardian ad litem for the minor  | 
whenever it finds that there may be a conflict of interest  | 
between the minor and the minor's parent, guardian, or legal  | 
custodian or that it is otherwise in the minor's interest to do  | 
so. | 
 (2) Unless the guardian ad litem is an attorney, the  | 
guardian ad litem shall be represented by counsel. | 
 (3) The reasonable fees of a guardian ad litem appointed  | 
under this Section shall be fixed by the court and paid from  | 
 | 
the general fund of the county. | 
 (4) If, during the court proceedings, the parents,  | 
guardian, or legal custodian prove that the minor has an  | 
actual conflict of interest with the minor in that delinquency  | 
proceeding and that the parents, guardian, or legal custodian  | 
are indigent, the court shall appoint a separate attorney for  | 
that parent, guardian, or legal custodian. | 
 (5) A guardian ad litem appointed under this Section for a  | 
minor who is in the custody or guardianship of the Department  | 
of Children and Family Services or who has an open intact  | 
family services case with the Department of Children and  | 
Family Services is entitled to receive copies of any and all  | 
classified reports of child abuse or neglect made pursuant to  | 
the Abused and Neglected Child Reporting Act in which the  | 
minor, who is the subject of the report under the Abused and  | 
Neglected Child Reporting Act, is also a minor for whom the  | 
guardian ad litem is appointed under this Act. The Department  | 
of Children and Family Services' obligation under this  | 
subsection to provide reports to a guardian ad litem for a  | 
minor with an open intact family services case applies only if  | 
the guardian ad litem notified the Department in writing of  | 
the representation.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-379, eff. 7-28-23;  | 
revised 9-11-23.)
 | 
 (705 ILCS 405/5-615) | 
 | 
 Sec. 5-615. Continuance under supervision.  | 
 (1) The court may enter an order of continuance under  | 
supervision for an offense other than first degree murder, a  | 
Class X felony or a forcible felony: | 
  (a) upon an admission or stipulation by the  | 
 appropriate respondent or minor respondent of the facts  | 
 supporting the petition and before the court makes a  | 
 finding of delinquency, and in the absence of objection  | 
 made in open court by the minor, the minor's parent,  | 
 guardian, or legal custodian, the minor's attorney, or the  | 
 State's Attorney; or | 
  (b) upon a finding of delinquency and after  | 
 considering the circumstances of the offense and the  | 
 history, character, and condition of the minor, if the  | 
 court is of the opinion that: | 
   (i) the minor is not likely to commit further  | 
 crimes; | 
   (ii) the minor and the public would be best served  | 
 if the minor were not to receive a criminal record; and | 
   (iii) in the best interests of justice an order of  | 
 continuance under supervision is more appropriate than  | 
 a sentence otherwise permitted under this Act.  | 
 (2) (Blank). | 
 (3) Nothing in this Section limits the power of the court  | 
to order a continuance of the hearing for the production of  | 
additional evidence or for any other proper reason. | 
 | 
 (4) When a hearing where a minor is alleged to be a  | 
delinquent is continued pursuant to this Section, the period  | 
of continuance under supervision may not exceed 24 months. The  | 
court may terminate a continuance under supervision at any  | 
time if warranted by the conduct of the minor and the ends of  | 
justice or vacate the finding of delinquency or both. | 
 (5) When a hearing where a minor is alleged to be  | 
delinquent is continued pursuant to this Section, the court  | 
may, as conditions of the continuance under supervision,  | 
require the minor to do any of the following: | 
  (a) not violate any criminal statute of any  | 
 jurisdiction; | 
  (b) make a report to and appear in person before any  | 
 person or agency as directed by the court; | 
  (c) work or pursue a course of study or vocational  | 
 training; | 
  (d) undergo medical or psychotherapeutic treatment  | 
 rendered by a therapist licensed under the provisions of  | 
 the Medical Practice Act of 1987, the Clinical  | 
 Psychologist Licensing Act, or the Clinical Social Work  | 
 and Social Work Practice Act, or an entity licensed by the  | 
 Department of Human Services as a successor to the  | 
 Department of Alcoholism and Substance Abuse, for the  | 
 provision of substance use disorder services as defined in  | 
 Section 1-10 of the Substance Use Disorder Act; | 
  (e) attend or reside in a facility established for the  | 
 | 
 instruction or residence of persons on probation; | 
  (f) support the minor's dependents, if any; | 
  (g) (blank); | 
  (h) refrain from possessing a firearm or other  | 
 dangerous weapon, or an automobile; | 
  (i) permit the probation officer to visit the minor at  | 
 the minor's home or elsewhere; | 
  (j) reside with the minor's parents or in a foster  | 
 home; | 
  (k) attend school; | 
  (k-5) with the consent of the superintendent of the  | 
 facility, attend an educational program at a facility  | 
 other than the school in which the offense was committed  | 
 if the minor committed a crime of violence as defined in  | 
 Section 2 of the Crime Victims Compensation Act in a  | 
 school, on the real property comprising a school, or  | 
 within 1,000 feet of the real property comprising a  | 
 school; | 
  (l) attend a non-residential program for youth; | 
  (m) provide nonfinancial contributions to the minor's  | 
 own support at home or in a foster home; | 
  (n) perform some reasonable public or community  | 
 service that does not interfere with school hours,  | 
 school-related activities, or work commitments of the  | 
 minor or the minor's parent, guardian, or legal custodian; | 
  (o) make restitution to the victim, in the same manner  | 
 | 
 and under the same conditions as provided in subsection  | 
 (4) of Section 5-710, except that the "sentencing hearing"  | 
 referred to in that Section shall be the adjudicatory  | 
 hearing for purposes of this Section; | 
  (p) comply with curfew requirements as designated by  | 
 the court; | 
  (q) refrain from entering into a designated geographic  | 
 area except upon terms as the court finds appropriate. The  | 
 terms may include consideration of the purpose of the  | 
 entry, the time of day, other persons accompanying the  | 
 minor, and advance approval by a probation officer; | 
  (r) refrain from having any contact, directly or  | 
 indirectly, with certain specified persons or particular  | 
 types of persons, including, but not limited to, members  | 
 of street gangs and drug users or dealers; | 
  (r-5) undergo a medical or other procedure to have a  | 
 tattoo symbolizing allegiance to a street gang removed  | 
 from the minor's body; | 
  (s) refrain from having in the minor's body the  | 
 presence of any illicit drug prohibited by the Cannabis  | 
 Control Act, the Illinois Controlled Substances Act, or  | 
 the Methamphetamine Control and Community Protection Act,  | 
 unless prescribed by a physician, and submit samples of  | 
 the minor's blood or urine or both for tests to determine  | 
 the presence of any illicit drug; or | 
  (t) comply with any other conditions as may be ordered  | 
 | 
 by the court. | 
 (6) A minor whose case is continued under supervision  | 
under subsection (5) shall be given a certificate setting  | 
forth the conditions imposed by the court. Those conditions  | 
may be reduced, enlarged, or modified by the court on motion of  | 
the probation officer or on its own motion, or that of the  | 
State's Attorney, or, at the request of the minor after notice  | 
and hearing. | 
 (7) If a petition is filed charging a violation of a  | 
condition of the continuance under supervision, the court  | 
shall conduct a hearing. If the court finds that a condition of  | 
supervision has not been fulfilled, the court may proceed to  | 
findings, adjudication, and disposition or adjudication and  | 
disposition. The filing of a petition for violation of a  | 
condition of the continuance under supervision shall toll the  | 
period of continuance under supervision until the final  | 
determination of the charge, and the term of the continuance  | 
under supervision shall not run until the hearing and  | 
disposition of the petition for violation; provided where the  | 
petition alleges conduct that does not constitute a criminal  | 
offense, the hearing must be held within 30 days of the filing  | 
of the petition unless a delay shall continue the tolling of  | 
the period of continuance under supervision for the period of  | 
the delay. | 
 (8) When a hearing in which a minor is alleged to be a  | 
delinquent for reasons that include a violation of Section  | 
 | 
21-1.3 of the Criminal Code of 1961 or the Criminal Code of  | 
2012 is continued under this Section, the court shall, as a  | 
condition of the continuance under supervision, require the  | 
minor to perform community service for not less than 30 and not  | 
more than 120 hours, if community service is available in the  | 
jurisdiction. The community service shall include, but need  | 
not be limited to, the cleanup and repair of the damage that  | 
was caused by the alleged violation or similar damage to  | 
property located in the municipality or county in which the  | 
alleged violation occurred. The condition may be in addition  | 
to any other condition. Community service shall not interfere  | 
with the school hours, school-related activities, or work  | 
commitments of the minor or the minor's parent, guardian, or  | 
legal custodian.  | 
 (8.5) When a hearing in which a minor is alleged to be a  | 
delinquent for reasons that include a violation of Section  | 
3.02 or Section 3.03 of the Humane Care for Animals Act or  | 
paragraph (d) of subsection (1) of Section 21-1 of the  | 
Criminal Code of 1961 or paragraph (4) of subsection (a) of  | 
Section 21-1 or the Criminal Code of 2012 is continued under  | 
this Section, the court shall, as a condition of the  | 
continuance under supervision, require the minor to undergo  | 
medical or psychiatric treatment rendered by a psychiatrist or  | 
psychological treatment rendered by a clinical psychologist.  | 
The condition may be in addition to any other condition. | 
 (9) When a hearing in which a minor is alleged to be a  | 
 | 
delinquent is continued under this Section, the court, before  | 
continuing the case, shall make a finding whether the offense  | 
alleged to have been committed either: (i) was related to or in  | 
furtherance of the activities of an organized gang or was  | 
motivated by the minor's membership in or allegiance to an  | 
organized gang, or (ii) is a violation of paragraph (13) of  | 
subsection (a) of Section 12-2 or paragraph (2) of subsection  | 
(c) of Section 12-2 of the Criminal Code of 1961 or the  | 
Criminal Code of 2012, a violation of any Section of Article 24  | 
of the Criminal Code of 1961 or the Criminal Code of 2012, or a  | 
violation of any statute that involved the unlawful use of a  | 
firearm. If the court determines the question in the  | 
affirmative the court shall, as a condition of the continuance  | 
under supervision and as part of or in addition to any other  | 
condition of the supervision, require the minor to perform  | 
community service for not less than 30 hours, provided that  | 
community service is available in the jurisdiction and is  | 
funded and approved by the county board of the county where the  | 
offense was committed. The community service shall include,  | 
but need not be limited to, the cleanup and repair of any  | 
damage caused by an alleged violation of Section 21-1.3 of the  | 
Criminal Code of 1961 or the Criminal Code of 2012 and similar  | 
damage to property located in the municipality or county in  | 
which the alleged violation occurred. When possible and  | 
reasonable, the community service shall be performed in the  | 
minor's neighborhood. For the purposes of this Section,  | 
 | 
"organized gang" has the meaning ascribed to it in Section 10  | 
of the Illinois Streetgang Terrorism Omnibus Prevention Act.  | 
Community service shall not interfere with the school hours,  | 
school-related activities, or work commitments of the minor or  | 
the minor's parent, guardian, or legal custodian.  | 
 (10) (Blank). | 
 (11) (Blank). | 
 (12) Fines and assessments, including any fee or  | 
administrative cost authorized under Section 5-4.5-105,  | 
5-5-10, 5-6-3, 5-6-3.1, 5-7-6, 5-9-1.4, or 5-9-1.9 of the  | 
Unified Code of Corrections, shall not be ordered or imposed  | 
on a minor or the minor's parent, guardian, or legal custodian  | 
as a condition of continuance under supervision. If the minor  | 
or the minor's parent, guardian, or legal custodian is unable  | 
to cover the cost of a condition under this subsection, the  | 
court shall not preclude the minor from receiving continuance  | 
under supervision based on the inability to pay. Inability to  | 
pay shall not be grounds to object to the minor's placement on  | 
a continuance under supervision.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-379, eff. 7-28-23;  | 
revised 8-25-23.)
 | 
 (705 ILCS 405/5-625) | 
 Sec. 5-625. Absence of minor.  | 
 (1) When a minor after arrest and an initial court  | 
appearance for a felony, fails to appear for trial, at the  | 
 | 
request of the State and after the State has affirmatively  | 
proven through substantial evidence that the minor is  | 
willfully avoiding trial, the court may commence trial in the  | 
absence of the minor. The absent minor must be represented by  | 
retained or appointed counsel. If trial had previously  | 
commenced in the presence of the minor and the minor is  | 
willfully absent for 2 successive court days, the court shall  | 
proceed to trial. All procedural rights guaranteed by the  | 
United States Constitution, Constitution of the State of  | 
Illinois, statutes of the State of Illinois, and rules of  | 
court shall apply to the proceedings the same as if the minor  | 
were present in court. The court may set the case for a trial  | 
which may be conducted under this Section despite the failure  | 
of the minor to appear at the hearing at which the trial date  | 
is set. When the trial date is set, the clerk shall send to the  | 
minor, by certified mail at the minor's last known address,  | 
notice of the new date which has been set for trial. The  | 
notification shall be required when the minor was not  | 
personally present in open court at the time when the case was  | 
set for trial. | 
 (2) The absence of the minor from a trial conducted under  | 
this Section does not operate as a bar to concluding the trial,  | 
to a finding of guilty resulting from the trial, or to a final  | 
disposition of the trial in favor of the minor. | 
 (3) Upon a finding or verdict of not guilty, the court  | 
shall enter a finding for the minor. Upon a finding or verdict  | 
 | 
of guilty, the court shall set a date for the hearing of  | 
post-trial motions and shall hear the motion in the absence of  | 
the minor. If post-trial motions are denied, the court shall  | 
proceed to conduct a sentencing hearing and to impose a  | 
sentence upon the minor. A social investigation is waived if  | 
the minor is absent. | 
 (4) A minor who is absent for part of the proceedings of  | 
trial, post-trial motions, or sentencing, does not thereby  | 
forfeit the minor's right to be present at all remaining  | 
proceedings. | 
 (5) When a minor who in the minor's absence has been either  | 
found guilty or sentenced or both found guilty and sentenced  | 
appears before the court, the minor must be granted a new trial  | 
or a new sentencing hearing if the minor can establish that the  | 
minor's failure to appear in court was both without the  | 
minor's fault and due to circumstances beyond the minor's  | 
control. A hearing with notice to the State's Attorney on the  | 
minors request for a new trial or a new sentencing hearing must  | 
be held before any such request may be granted. At any such  | 
hearing both the minor and the State may present evidence. | 
 (6) If the court grants only the minor's request for a new  | 
sentencing hearing, then a new sentencing hearing shall be  | 
held in accordance with the provisions of this Article. At any  | 
such hearing, both the minor and the State may offer evidence  | 
of the minor's conduct during the minor's period of absence  | 
from the court. The court may impose any sentence authorized  | 
 | 
by this Article and in the case of an extended juvenile  | 
jurisdiction prosecution the Unified Code of Corrections and  | 
is not in any way limited or restricted by any sentence  | 
previously imposed. | 
 (7) A minor whose motion under subsection (5) for a new  | 
trial or new sentencing hearing has been denied may file a  | 
notice of appeal from the denial. The notice may also include a  | 
request for review of the finding and sentence not vacated by  | 
the trial court. | 
(Source: P.A. 103-22, eff. 8-8-23; revised 9-20-23.)
 | 
 (705 ILCS 405/5-705) | 
 Sec. 5-705. Sentencing hearing; evidence; continuance.  | 
 (1) In this subsection (1), "violent crime" has the same  | 
meaning ascribed to the term in subsection (c) of Section 3 of  | 
the Rights of Crime Victims and Witnesses Act. At the  | 
sentencing hearing, the court shall determine whether it is in  | 
the best interests of the minor or the public that the minor be  | 
made a ward of the court, and, if the minor is to be made a  | 
ward of the court, the court shall determine the proper  | 
disposition best serving the interests of the minor and the  | 
public. All evidence helpful in determining these questions,  | 
including oral and written reports, may be admitted and may be  | 
relied upon to the extent of its probative value, even though  | 
not competent for the purposes of the trial. A crime victim  | 
shall be allowed to present an oral or written statement, as  | 
 | 
guaranteed by Article I, Section 8.1 of the Illinois  | 
Constitution and as provided in Section 6 of the Rights of  | 
Crime Victims and Witnesses Act, in any case in which: (a) a  | 
juvenile has been adjudicated delinquent for a violent crime  | 
after a bench or jury trial; or (b) the petition alleged the  | 
commission of a violent crime and the juvenile has been  | 
adjudicated delinquent under a plea agreement of a crime that  | 
is not a violent crime. The court shall allow a victim to make  | 
an oral statement if the victim is present in the courtroom and  | 
requests to make an oral statement. An oral statement includes  | 
the victim or a representative of the victim reading the  | 
written statement. The court may allow persons impacted by the  | 
crime who are not victims under subsection (a) of Section 3 of  | 
the Rights of Crime Victims and Witnesses Act to present an  | 
oral or written statement. A victim and any person making an  | 
oral statement shall not be put under oath or subject to  | 
cross-examination. A record of a prior continuance under  | 
supervision under Section 5-615, whether successfully  | 
completed or not, is admissible at the sentencing hearing. No  | 
order of commitment to the Department of Juvenile Justice  | 
shall be entered against a minor before a written report of  | 
social investigation, which has been completed within the  | 
previous 60 days, is presented to and considered by the court. | 
 (2) Once a party has been served in compliance with  | 
Section 5-525, no further service or notice must be given to  | 
that party prior to proceeding to a sentencing hearing. Before  | 
 | 
imposing sentence the court shall advise the State's Attorney  | 
and the parties who are present or their counsel of the factual  | 
contents and the conclusions of the reports prepared for the  | 
use of the court and considered by it, and afford fair  | 
opportunity, if requested, to controvert them. Factual  | 
contents, conclusions, documents and sources disclosed by the  | 
court under this paragraph shall not be further disclosed  | 
without the express approval of the court. | 
 (3) On its own motion or that of the State's Attorney, a  | 
parent, guardian, legal custodian, or counsel, the court may  | 
adjourn the hearing for a reasonable period to receive reports  | 
or other evidence and, in such event, shall make an  | 
appropriate order for detention of the minor or the minor's  | 
release from detention subject to supervision by the court  | 
during the period of the continuance. In the event the court  | 
shall order detention hereunder, the period of the continuance  | 
shall not exceed 30 court days. At the end of such time, the  | 
court shall release the minor from detention unless notice is  | 
served at least 3 days prior to the hearing on the continued  | 
date that the State will be seeking an extension of the period  | 
of detention, which notice shall state the reason for the  | 
request for the extension. The extension of detention may be  | 
for a maximum period of an additional 15 court days or a lesser  | 
number of days at the discretion of the court. However, at the  | 
expiration of the period of extension, the court shall release  | 
the minor from detention if a further continuance is granted.  | 
 | 
In scheduling investigations and hearings, the court shall  | 
give priority to proceedings in which a minor is in detention  | 
or has otherwise been removed from the minor's home before a  | 
sentencing order has been made.  | 
 (4) When commitment to the Department of Juvenile Justice  | 
is ordered, the court shall state the basis for selecting the  | 
particular disposition, and the court shall prepare such a  | 
statement for inclusion in the record. | 
 (5) Before a sentencing order is entered by the court  | 
under Section 5-710 for a minor adjudged delinquent for a  | 
violation of paragraph (3.5) of subsection (a) of Section 26-1  | 
of the Criminal Code of 2012, in which the minor made a threat  | 
of violence, death, or bodily harm against a person, school,  | 
school function, or school event, the court may order a mental  | 
health evaluation of the minor by a physician, clinical  | 
psychologist, or qualified examiner, whether employed by the  | 
State, by any public or private mental health facility or part  | 
of the facility, or by any public or private medical facility  | 
or part of the facility. A statement made by a minor during the  | 
course of a mental health evaluation conducted under this  | 
subsection (5) is not admissible on the issue of delinquency  | 
during the course of an adjudicatory hearing held under this  | 
Act. Neither the physician, clinical psychologist, or  | 
qualified examiner, or the employer of the physician, clinical  | 
psychologist, or qualified examiner, shall be held criminally,  | 
civilly, or professionally liable for performing a mental  | 
 | 
health examination under this subsection (5), except for  | 
willful or wanton misconduct. In this subsection (5),  | 
"qualified examiner" has the meaning provided in Section 1-122  | 
of the Mental Health and Developmental Disabilities Code. | 
(Source: P.A. 103-22, eff. 8-8-23; revised 9-20-23.)
 | 
 (705 ILCS 405/5-710) | 
 Sec. 5-710. Kinds of sentencing orders.  | 
 (1) The following kinds of sentencing orders may be made  | 
in respect of wards of the court: | 
  (a) Except as provided in Sections 5-805, 5-810, and  | 
 5-815, a minor who is found guilty under Section 5-620 may  | 
 be: | 
   (i) put on probation or conditional discharge and  | 
 released to the minor's parents, guardian or legal  | 
 custodian, provided, however, that any such minor who  | 
 is not committed to the Department of Juvenile Justice  | 
 under this subsection and who is found to be a  | 
 delinquent for an offense which is first degree  | 
 murder, a Class X felony, or a forcible felony shall be  | 
 placed on probation; | 
   (ii) placed in accordance with Section 5-740, with  | 
 or without also being put on probation or conditional  | 
 discharge; | 
   (iii) required to undergo a substance abuse  | 
 assessment conducted by a licensed provider and  | 
 | 
 participate in the indicated clinical level of care;  | 
   (iv) on and after January 1, 2015 (the effective  | 
 date of Public Act 98-803) and before January 1, 2017,  | 
 placed in the guardianship of the Department of  | 
 Children and Family Services, but only if the  | 
 delinquent minor is under 16 years of age or, pursuant  | 
 to Article II of this Act, a minor under the age of 18  | 
 for whom an independent basis of abuse, neglect, or  | 
 dependency exists. On and after January 1, 2017,  | 
 placed in the guardianship of the Department of  | 
 Children and Family Services, but only if the  | 
 delinquent minor is under 15 years of age or, pursuant  | 
 to Article II of this Act, a minor for whom an  | 
 independent basis of abuse, neglect, or dependency  | 
 exists. An independent basis exists when the  | 
 allegations or adjudication of abuse, neglect, or  | 
 dependency do not arise from the same facts, incident,  | 
 or circumstances which give rise to a charge or  | 
 adjudication of delinquency; | 
   (v) placed in detention for a period not to exceed  | 
 30 days, either as the exclusive order of disposition  | 
 or, where appropriate, in conjunction with any other  | 
 order of disposition issued under this paragraph,  | 
 provided that any such detention shall be in a  | 
 juvenile detention home and the minor so detained  | 
 shall be 10 years of age or older. However, the 30-day  | 
 | 
 limitation may be extended by further order of the  | 
 court for a minor under age 15 committed to the  | 
 Department of Children and Family Services if the  | 
 court finds that the minor is a danger to the minor or  | 
 others. The minor shall be given credit on the  | 
 sentencing order of detention for time spent in  | 
 detention under Sections 5-501, 5-601, 5-710, or 5-720  | 
 of this Article as a result of the offense for which  | 
 the sentencing order was imposed. The court may grant  | 
 credit on a sentencing order of detention entered  | 
 under a violation of probation or violation of  | 
 conditional discharge under Section 5-720 of this  | 
 Article for time spent in detention before the filing  | 
 of the petition alleging the violation. A minor shall  | 
 not be deprived of credit for time spent in detention  | 
 before the filing of a violation of probation or  | 
 conditional discharge alleging the same or related act  | 
 or acts. The limitation that the minor shall only be  | 
 placed in a juvenile detention home does not apply as  | 
 follows: | 
   Persons 18 years of age and older who have a  | 
 petition of delinquency filed against them may be  | 
 confined in an adult detention facility. In making a  | 
 determination whether to confine a person 18 years of  | 
 age or older who has a petition of delinquency filed  | 
 against the person, these factors, among other  | 
 | 
 matters, shall be considered: | 
    (A) the age of the person; | 
    (B) any previous delinquent or criminal  | 
 history of the person; | 
    (C) any previous abuse or neglect history of  | 
 the person; | 
    (D) any mental health history of the person;  | 
 and | 
    (E) any educational history of the person; | 
   (vi) ordered partially or completely emancipated  | 
 in accordance with the provisions of the Emancipation  | 
 of Minors Act; | 
   (vii) subject to having the minor's driver's  | 
 license or driving privileges suspended for such time  | 
 as determined by the court but only until the minor  | 
 attains 18 years of age; | 
   (viii) put on probation or conditional discharge  | 
 and placed in detention under Section 3-6039 of the  | 
 Counties Code for a period not to exceed the period of  | 
 incarceration permitted by law for adults found guilty  | 
 of the same offense or offenses for which the minor was  | 
 adjudicated delinquent, and in any event no longer  | 
 than upon attainment of age 21; this subdivision  | 
 (viii) notwithstanding any contrary provision of the  | 
 law;  | 
   (ix) ordered to undergo a medical or other  | 
 | 
 procedure to have a tattoo symbolizing allegiance to a  | 
 street gang removed from the minor's body; or | 
   (x) placed in electronic monitoring or home  | 
 detention under Part 7A of this Article. | 
  (b) A minor found to be guilty may be committed to the  | 
 Department of Juvenile Justice under Section 5-750 if the  | 
 minor is at least 13 years and under 20 years of age,  | 
 provided that the commitment to the Department of Juvenile  | 
 Justice shall be made only if the minor was found guilty of  | 
 a felony offense or first degree murder. The court shall  | 
 include in the sentencing order any pre-custody credits  | 
 the minor is entitled to under Section 5-4.5-100 of the  | 
 Unified Code of Corrections. The time during which a minor  | 
 is in custody before being released upon the request of a  | 
 parent, guardian or legal custodian shall also be  | 
 considered as time spent in custody. | 
  (c) When a minor is found to be guilty for an offense  | 
 which is a violation of the Illinois Controlled Substances  | 
 Act, the Cannabis Control Act, or the Methamphetamine  | 
 Control and Community Protection Act and made a ward of  | 
 the court, the court may enter a disposition order  | 
 requiring the minor to undergo assessment, counseling or  | 
 treatment in a substance use disorder treatment program  | 
 approved by the Department of Human Services. | 
 (2) Any sentencing order other than commitment to the  | 
Department of Juvenile Justice may provide for protective  | 
 | 
supervision under Section 5-725 and may include an order of  | 
protection under Section 5-730. | 
 (3) Unless the sentencing order expressly so provides, it  | 
does not operate to close proceedings on the pending petition,  | 
but is subject to modification until final closing and  | 
discharge of the proceedings under Section 5-750. | 
 (4) In addition to any other sentence, the court may order  | 
any minor found to be delinquent to make restitution, in  | 
monetary or non-monetary form, under the terms and conditions  | 
of Section 5-5-6 of the Unified Code of Corrections, except  | 
that the "presentencing hearing" referred to in that Section  | 
shall be the sentencing hearing for purposes of this Section.  | 
The parent, guardian or legal custodian of the minor may be  | 
ordered by the court to pay some or all of the restitution on  | 
the minor's behalf, pursuant to the Parental Responsibility  | 
Law. The State's Attorney is authorized to act on behalf of any  | 
victim in seeking restitution in proceedings under this  | 
Section, up to the maximum amount allowed in Section 5 of the  | 
Parental Responsibility Law. | 
 (5) Any sentencing order where the minor is committed or  | 
placed in accordance with Section 5-740 shall provide for the  | 
parents or guardian of the estate of the minor to pay to the  | 
legal custodian or guardian of the person of the minor such  | 
sums as are determined by the custodian or guardian of the  | 
person of the minor as necessary for the minor's needs. The  | 
payments may not exceed the maximum amounts provided for by  | 
 | 
Section 9.1 of the Children and Family Services Act.  | 
 (6) Whenever the sentencing order requires the minor to  | 
attend school or participate in a program of training, the  | 
truant officer or designated school official shall regularly  | 
report to the court if the minor is a chronic or habitual  | 
truant under Section 26-2a of the School Code. Notwithstanding  | 
any other provision of this Act, in instances in which  | 
educational services are to be provided to a minor in a  | 
residential facility where the minor has been placed by the  | 
court, costs incurred in the provision of those educational  | 
services must be allocated based on the requirements of the  | 
School Code.  | 
 (7) In no event shall a guilty minor be committed to the  | 
Department of Juvenile Justice for a period of time in excess  | 
of that period for which an adult could be committed for the  | 
same act. The court shall include in the sentencing order a  | 
limitation on the period of confinement not to exceed the  | 
maximum period of imprisonment the court could impose under  | 
Chapter V of the Unified Code of Corrections.  | 
 (7.5) In no event shall a guilty minor be committed to the  | 
Department of Juvenile Justice or placed in detention when the  | 
act for which the minor was adjudicated delinquent would not  | 
be illegal if committed by an adult.  | 
 (7.6) In no event shall a guilty minor be committed to the  | 
Department of Juvenile Justice for an offense which is a Class  | 
4 felony under Section 19-4 (criminal trespass to a  | 
 | 
residence), 21-1 (criminal damage to property), 21-1.01  | 
(criminal damage to government supported property), 21-1.3  | 
(criminal defacement of property), 26-1 (disorderly conduct),  | 
or 31-4 (obstructing justice) of the Criminal Code of 2012.  | 
 (7.75) In no event shall a guilty minor be committed to the  | 
Department of Juvenile Justice for an offense that is a Class 3  | 
or Class 4 felony violation of the Illinois Controlled  | 
Substances Act unless the commitment occurs upon a third or  | 
subsequent judicial finding of a violation of probation for  | 
substantial noncompliance with court-ordered treatment or  | 
programming. | 
 (8) A minor found to be guilty for reasons that include a  | 
violation of Section 21-1.3 of the Criminal Code of 1961 or the  | 
Criminal Code of 2012 shall be ordered to perform community  | 
service for not less than 30 and not more than 120 hours, if  | 
community service is available in the jurisdiction. The  | 
community service shall include, but need not be limited to,  | 
the cleanup and repair of the damage that was caused by the  | 
violation or similar damage to property located in the  | 
municipality or county in which the violation occurred. The  | 
order may be in addition to any other order authorized by this  | 
Section. Community service shall not interfere with the school  | 
hours, school-related activities, or work commitments of the  | 
minor or the minor's parent, guardian, or legal custodian.  | 
 (8.5) A minor found to be guilty for reasons that include a  | 
violation of Section 3.02 or Section 3.03 of the Humane Care  | 
 | 
for Animals Act or paragraph (d) of subsection (1) of Section  | 
21-1 of the Criminal Code of 1961 or paragraph (4) of  | 
subsection (a) of Section 21-1 of the Criminal Code of 2012  | 
shall be ordered to undergo medical or psychiatric treatment  | 
rendered by a psychiatrist or psychological treatment rendered  | 
by a clinical psychologist. The order may be in addition to any  | 
other order authorized by this Section. | 
 (9) In addition to any other sentencing order, the court  | 
shall order any minor found to be guilty for an act which would  | 
constitute, predatory criminal sexual assault of a child,  | 
aggravated criminal sexual assault, criminal sexual assault,  | 
aggravated criminal sexual abuse, or criminal sexual abuse if  | 
committed by an adult to undergo medical testing to determine  | 
whether the defendant has any sexually transmissible disease  | 
including a test for infection with human immunodeficiency  | 
virus (HIV) or any other identified causative agency of  | 
acquired immunodeficiency syndrome (AIDS). Any medical test  | 
shall be performed only by appropriately licensed medical  | 
practitioners and may include an analysis of any bodily fluids  | 
as well as an examination of the minor's person. Except as  | 
otherwise provided by law, the results of the test shall be  | 
kept strictly confidential by all medical personnel involved  | 
in the testing and must be personally delivered in a sealed  | 
envelope to the judge of the court in which the sentencing  | 
order was entered for the judge's inspection in camera. Acting  | 
in accordance with the best interests of the victim and the  | 
 | 
public, the judge shall have the discretion to determine to  | 
whom the results of the testing may be revealed. The court  | 
shall notify the minor of the results of the test for infection  | 
with the human immunodeficiency virus (HIV). The court shall  | 
also notify the victim if requested by the victim, and if the  | 
victim is under the age of 15 and if requested by the victim's  | 
parents or legal guardian, the court shall notify the victim's  | 
parents or the legal guardian, of the results of the test for  | 
infection with the human immunodeficiency virus (HIV). The  | 
court shall provide information on the availability of HIV  | 
testing and counseling at the Department of Public Health  | 
facilities to all parties to whom the results of the testing  | 
are revealed. The court shall order that the cost of any test  | 
shall be paid by the county. | 
 (10) When a court finds a minor to be guilty the court  | 
shall, before entering a sentencing order under this Section,  | 
make a finding whether the offense committed either: (a) was  | 
related to or in furtherance of the criminal activities of an  | 
organized gang or was motivated by the minor's membership in  | 
or allegiance to an organized gang, or (b) involved a  | 
violation of subsection (a) of Section 12-7.1 of the Criminal  | 
Code of 1961 or the Criminal Code of 2012, a violation of any  | 
Section of Article 24 of the Criminal Code of 1961 or the  | 
Criminal Code of 2012, or a violation of any statute that  | 
involved the wrongful use of a firearm. If the court  | 
determines the question in the affirmative, and the court does  | 
 | 
not commit the minor to the Department of Juvenile Justice,  | 
the court shall order the minor to perform community service  | 
for not less than 30 hours nor more than 120 hours, provided  | 
that community service is available in the jurisdiction and is  | 
funded and approved by the county board of the county where the  | 
offense was committed. The community service shall include,  | 
but need not be limited to, the cleanup and repair of any  | 
damage caused by a violation of Section 21-1.3 of the Criminal  | 
Code of 1961 or the Criminal Code of 2012 and similar damage to  | 
property located in the municipality or county in which the  | 
violation occurred. When possible and reasonable, the  | 
community service shall be performed in the minor's  | 
neighborhood. This order shall be in addition to any other  | 
order authorized by this Section except for an order to place  | 
the minor in the custody of the Department of Juvenile  | 
Justice. Community service shall not interfere with the school  | 
hours, school-related activities, or work commitments of the  | 
minor or the minor's parent, guardian, or legal custodian. For  | 
the purposes of this Section, "organized gang" has the meaning  | 
ascribed to it in Section 10 of the Illinois Streetgang  | 
Terrorism Omnibus Prevention Act. | 
 (11) If the court determines that the offense was  | 
committed in furtherance of the criminal activities of an  | 
organized gang, as provided in subsection (10), and that the  | 
offense involved the operation or use of a motor vehicle or the  | 
use of a driver's license or permit, the court shall notify the  | 
 | 
Secretary of State of that determination and of the period for  | 
which the minor shall be denied driving privileges. If, at the  | 
time of the determination, the minor does not hold a driver's  | 
license or permit, the court shall provide that the minor  | 
shall not be issued a driver's license or permit until the  | 
minor's 18th birthday. If the minor holds a driver's license  | 
or permit at the time of the determination, the court shall  | 
provide that the minor's driver's license or permit shall be  | 
revoked until the minor's 21st birthday, or until a later date  | 
or occurrence determined by the court. If the minor holds a  | 
driver's license at the time of the determination, the court  | 
may direct the Secretary of State to issue the minor a judicial  | 
driving permit, also known as a JDP. The JDP shall be subject  | 
to the same terms as a JDP issued under Section 6-206.1 of the  | 
Illinois Vehicle Code, except that the court may direct that  | 
the JDP be effective immediately.  | 
 (12) (Blank). | 
 (13) Fines and assessments, including any fee or  | 
administrative cost authorized under Section 5-4.5-105,  | 
5-5-10, 5-6-3, 5-6-3.1, 5-7-6, 5-9-1.4, or 5-9-1.9 of the  | 
Unified Code of Corrections, relating to any sentencing order  | 
shall not be ordered or imposed on a minor or the minor's  | 
parent, guardian, or legal custodian. The inability of a  | 
minor, or minor's parent, guardian, or legal custodian, to  | 
cover the costs associated with an appropriate sentencing  | 
order shall not be the basis for the court to enter a  | 
 | 
sentencing order incongruent with the court's findings  | 
regarding the offense on which the minor was adjudicated or  | 
the mitigating factors.  | 
(Source: P.A. 102-558, eff. 8-20-21; 103-22, eff. 8-8-23;  | 
103-379, eff. 7-28-23; revised 8-25-23.)
 | 
 (705 ILCS 405/5-715) | 
 Sec. 5-715. Probation.  | 
 (1) The period of probation or conditional discharge shall  | 
not exceed 5 years or until the minor has attained the age of  | 
21 years, whichever is less, except as provided in this  | 
Section for a minor who is found to be guilty for an offense  | 
which is first degree murder. The juvenile court may terminate  | 
probation or conditional discharge and discharge the minor at  | 
any time if warranted by the conduct of the minor and the ends  | 
of justice; provided, however, that the period of probation  | 
for a minor who is found to be guilty for an offense which is  | 
first degree murder shall be at least 5 years.  | 
 (1.5) The period of probation for a minor who is found  | 
guilty of aggravated criminal sexual assault, criminal sexual  | 
assault, or aggravated battery with a firearm shall be at  | 
least 36 months. The period of probation for a minor who is  | 
found to be guilty of any other Class X felony shall be at  | 
least 24 months. The period of probation for a Class 1 or Class  | 
2 forcible felony shall be at least 18 months. Regardless of  | 
the length of probation ordered by the court, for all offenses  | 
 | 
under this subsection paragraph (1.5), the court shall  | 
schedule hearings to determine whether it is in the best  | 
interest of the minor and public safety to terminate probation  | 
after the minimum period of probation has been served. In such  | 
a hearing, there shall be a rebuttable presumption that it is  | 
in the best interest of the minor and public safety to  | 
terminate probation. | 
 (2) The court may as a condition of probation or of  | 
conditional discharge require that the minor:  | 
  (a) not violate any criminal statute of any  | 
 jurisdiction;  | 
  (b) make a report to and appear in person before any  | 
 person or agency as directed by the court;  | 
  (c) work or pursue a course of study or vocational  | 
 training;  | 
  (d) undergo medical or psychiatric treatment, rendered  | 
 by a psychiatrist or psychological treatment rendered by a  | 
 clinical psychologist or social work services rendered by  | 
 a clinical social worker, or treatment for drug addiction  | 
 or alcoholism;  | 
  (e) attend or reside in a facility established for the  | 
 instruction or residence of persons on probation;  | 
  (f) support the minor's dependents, if any;  | 
  (g) refrain from possessing a firearm or other  | 
 dangerous weapon, or an automobile;  | 
  (h) permit the probation officer to visit the minor at  | 
 | 
 the minor's home or elsewhere;  | 
  (i) reside with the minor's parents or in a foster  | 
 home;  | 
  (j) attend school;  | 
  (j-5) with the consent of the superintendent of the  | 
 facility, attend an educational program at a facility  | 
 other than the school in which the offense was committed  | 
 if the minor committed a crime of violence as defined in  | 
 Section 2 of the Crime Victims Compensation Act in a  | 
 school, on the real property comprising a school, or  | 
 within 1,000 feet of the real property comprising a  | 
 school;  | 
  (k) attend a non-residential program for youth;  | 
  (l) make restitution under the terms of subsection (4)  | 
 of Section 5-710;  | 
  (m) provide nonfinancial contributions to the minor's  | 
 own support at home or in a foster home;  | 
  (n) perform some reasonable public or community  | 
 service that does not interfere with school hours,  | 
 school-related activities, or work commitments of the  | 
 minor or the minor's parent, guardian, or legal custodian;  | 
  (o) participate with community corrections programs  | 
 including unified delinquency intervention services  | 
 administered by the Department of Human Services subject  | 
 to Section 5 of the Children and Family Services Act;  | 
  (p) (blank);  | 
 | 
  (q) serve a term of home confinement. In addition to  | 
 any other applicable condition of probation or conditional  | 
 discharge, the conditions of home confinement shall be  | 
 that the minor:  | 
   (i) remain within the interior premises of the  | 
 place designated for the minor's confinement during  | 
 the hours designated by the court;  | 
   (ii) admit any person or agent designated by the  | 
 court into the minor's place of confinement at any  | 
 time for purposes of verifying the minor's compliance  | 
 with the conditions of the minor's confinement; and  | 
   (iii) use an approved electronic monitoring device  | 
 if ordered by the court subject to Article 8A of  | 
 Chapter V of the Unified Code of Corrections;  | 
  (r) refrain from entering into a designated geographic  | 
 area except upon terms as the court finds appropriate. The  | 
 terms may include consideration of the purpose of the  | 
 entry, the time of day, other persons accompanying the  | 
 minor, and advance approval by a probation officer, if the  | 
 minor has been placed on probation, or advance approval by  | 
 the court, if the minor has been placed on conditional  | 
 discharge;  | 
  (s) refrain from having any contact, directly or  | 
 indirectly, with certain specified persons or particular  | 
 types of persons, including, but not limited to, members  | 
 of street gangs and drug users or dealers;  | 
 | 
  (s-5) undergo a medical or other procedure to have a  | 
 tattoo symbolizing allegiance to a street gang removed  | 
 from the minor's body;  | 
  (t) refrain from having in the minor's body the  | 
 presence of any illicit drug prohibited by the Cannabis  | 
 Control Act, the Illinois Controlled Substances Act, or  | 
 the Methamphetamine Control and Community Protection Act,  | 
 unless prescribed by a physician, and shall submit samples  | 
 of the minor's blood or urine or both for tests to  | 
 determine the presence of any illicit drug; or  | 
  (u) comply with other conditions as may be ordered by  | 
 the court.  | 
 (3) The court may as a condition of probation or of  | 
conditional discharge require that a minor found guilty on any  | 
alcohol, cannabis, methamphetamine, or controlled substance  | 
violation, refrain from acquiring a driver's license during  | 
the period of probation or conditional discharge. If the minor  | 
is in possession of a permit or license, the court may require  | 
that the minor refrain from driving or operating any motor  | 
vehicle during the period of probation or conditional  | 
discharge, except as may be necessary in the course of the  | 
minor's lawful employment.  | 
 (3.5) The court shall, as a condition of probation or of  | 
conditional discharge, require that a minor found to be guilty  | 
and placed on probation for reasons that include a violation  | 
of Section 3.02 or Section 3.03 of the Humane Care for Animals  | 
 | 
Act or paragraph (4) of subsection (a) of Section 21-1 of the  | 
Criminal Code of 2012 undergo medical or psychiatric treatment  | 
rendered by a psychiatrist or psychological treatment rendered  | 
by a clinical psychologist. The condition may be in addition  | 
to any other condition.  | 
 (3.10) The court shall order that a minor placed on  | 
probation or conditional discharge for a sex offense as  | 
defined in the Sex Offender Management Board Act undergo and  | 
successfully complete sex offender treatment. The treatment  | 
shall be in conformance with the standards developed under the  | 
Sex Offender Management Board Act and conducted by a treatment  | 
provider approved by the Board. | 
 (4) A minor on probation or conditional discharge shall be  | 
given a certificate setting forth the conditions upon which  | 
the minor is being released.  | 
 (5) (Blank).  | 
 (5.5) Jurisdiction over an offender may be transferred  | 
from the sentencing court to the court of another circuit with  | 
the concurrence of both courts. Further transfers or  | 
retransfers of jurisdiction are also authorized in the same  | 
manner. The court to which jurisdiction has been transferred  | 
shall have the same powers as the sentencing court. | 
 If the transfer case originated in another state and has  | 
been transferred under the Interstate Compact for Juveniles to  | 
the jurisdiction of an Illinois circuit court for supervision  | 
by an Illinois probation department, probation fees may be  | 
 | 
imposed only if permitted by the Interstate Commission for  | 
Juveniles.  | 
 (6) The General Assembly finds that in order to protect  | 
the public, the juvenile justice system must compel compliance  | 
with the conditions of probation by responding to violations  | 
with swift, certain, and fair punishments and intermediate  | 
sanctions. The Chief Judge of each circuit shall adopt a  | 
system of structured, intermediate sanctions for violations of  | 
the terms and conditions of a sentence of supervision,  | 
probation, or conditional discharge, under this Act.  | 
 The court shall provide as a condition of a disposition of  | 
probation, conditional discharge, or supervision, that the  | 
probation agency may invoke any sanction from the list of  | 
intermediate sanctions adopted by the chief judge of the  | 
circuit court for violations of the terms and conditions of  | 
the sentence of probation, conditional discharge, or  | 
supervision, subject to the provisions of Section 5-720 of  | 
this Act.  | 
 (7) Fines and assessments, including any fee or  | 
administrative cost authorized under Section 5-4.5-105,  | 
5-5-10, 5-6-3, 5-6-3.1, 5-7-6, 5-9-1.4, or 5-9-1.9 of the  | 
Unified Code of Corrections, shall not be ordered or imposed  | 
on a minor or the minor's parent, guardian, or legal custodian  | 
as a condition of probation, conditional discharge, or  | 
supervision. If the minor or the minor's parent, guardian, or  | 
legal custodian is unable to cover the cost of a condition  | 
 | 
under this subsection, the court shall not preclude the minor  | 
from receiving probation, conditional discharge, or  | 
supervision based on the inability to pay. Inability to pay  | 
shall not be grounds to object to the minor's placement on  | 
probation, conditional discharge, or supervision.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-379, eff. 7-28-23;  | 
revised 9-25-23.)
 | 
 (705 ILCS 405/5-810) | 
 Sec. 5-810. Extended jurisdiction juvenile prosecutions.  | 
 (1)(a) If the State's Attorney files a petition, at any  | 
time prior to commencement of the minor's trial, to designate  | 
the proceeding as an extended jurisdiction juvenile  | 
prosecution and the petition alleges the commission by a minor  | 
13 years of age or older of any offense which would be a felony  | 
if committed by an adult, and, if the juvenile judge assigned  | 
to hear and determine petitions to designate the proceeding as  | 
an extended jurisdiction juvenile prosecution determines that  | 
there is probable cause to believe that the allegations in the  | 
petition and motion are true, there is a rebuttable  | 
presumption that the proceeding shall be designated as an  | 
extended jurisdiction juvenile proceeding. | 
 (b) The judge shall enter an order designating the  | 
proceeding as an extended jurisdiction juvenile proceeding  | 
unless the judge makes a finding based on clear and convincing  | 
evidence that sentencing under the Chapter V of the Unified  | 
 | 
Code of Corrections would not be appropriate for the minor  | 
based on an evaluation of the following factors: | 
  (i) the age of the minor;  | 
  (ii) the history of the minor, including:  | 
   (A) any previous delinquent or criminal history of  | 
 the minor,  | 
   (B) any previous abuse or neglect history of the  | 
 minor,  | 
   (C) any mental health, physical and/or educational  | 
 history of the minor, and | 
   (D) any involvement of the minor in the child  | 
 welfare system;  | 
  (iii) the circumstances of the offense, including:  | 
   (A) the seriousness of the offense,  | 
   (B) whether the minor is charged through  | 
 accountability,  | 
   (C) whether there is evidence the offense was  | 
 committed in an aggressive and premeditated manner,  | 
   (D) whether there is evidence the offense caused  | 
 serious bodily harm,  | 
   (E) whether there is evidence the minor possessed  | 
 a deadly weapon,  | 
   (F) whether there is evidence the minor was  | 
 subjected to outside pressure, including peer  | 
 pressure, familial pressure, or negative influences,  | 
 and | 
 | 
   (G) the minor's degree of participation and  | 
 specific role in the offense;  | 
  (iv) the advantages of treatment within the juvenile  | 
 justice system including whether there are facilities or  | 
 programs, or both, particularly available in the juvenile  | 
 system;  | 
  (v) whether the security of the public requires  | 
 sentencing under Chapter V of the Unified Code of  | 
 Corrections:  | 
   (A) the minor's history of services, including the  | 
 minor's willingness to participate meaningfully in  | 
 available services;  | 
   (B) whether there is a reasonable likelihood that  | 
 the minor can be rehabilitated before the expiration  | 
 of the juvenile court's jurisdiction;  | 
   (C) the adequacy of the punishment or services.  | 
 In considering these factors, the court shall give greater  | 
weight to the seriousness of the alleged offense, and the  | 
minor's prior record of delinquency than to other factors  | 
listed in this subsection. | 
 (2) Procedures for extended jurisdiction juvenile  | 
prosecutions. The State's Attorney may file a written motion  | 
for a proceeding to be designated as an extended juvenile  | 
jurisdiction prior to commencement of trial. Notice of the  | 
motion shall be in compliance with Section 5-530. When the  | 
State's Attorney files a written motion that a proceeding be  | 
 | 
designated an extended jurisdiction juvenile prosecution, the  | 
court shall commence a hearing within 30 days of the filing of  | 
the motion for designation, unless good cause is shown by the  | 
prosecution or the minor as to why the hearing could not be  | 
held within this time period. If the court finds good cause has  | 
been demonstrated, then the hearing shall be held within 60  | 
days of the filing of the motion. The hearings shall be open to  | 
the public unless the judge finds that the hearing should be  | 
closed for the protection of any party, victim or witness. If  | 
the Juvenile Judge assigned to hear and determine a motion to  | 
designate an extended jurisdiction juvenile prosecution  | 
determines that there is probable cause to believe that the  | 
allegations in the petition and motion are true the court  | 
shall grant the motion for designation. Information used by  | 
the court in its findings or stated in or offered in connection  | 
with this Section may be by way of proffer based on reliable  | 
information offered by the State or the minor. All evidence  | 
shall be admissible if it is relevant and reliable regardless  | 
of whether it would be admissible under the rules of evidence.  | 
 (3) Trial. A minor who is subject of an extended  | 
jurisdiction juvenile prosecution has the right to trial by  | 
jury. Any trial under this Section shall be open to the public. | 
 (4) Sentencing. If an extended jurisdiction juvenile  | 
prosecution under subsection (1) results in a guilty plea, a  | 
verdict of guilty, or a finding of guilt, the court shall  | 
impose the following: | 
 | 
  (i) one or more juvenile sentences under Section  | 
 5-710; and | 
  (ii) an adult criminal sentence in accordance with the  | 
 provisions of Section 5-4.5-105 of the Unified Code of  | 
 Corrections, the execution of which shall be stayed on the  | 
 condition that the offender not violate the provisions of  | 
 the juvenile sentence. | 
Any sentencing hearing under this Section shall be open to the  | 
public. | 
 (5) If, after an extended jurisdiction juvenile  | 
prosecution trial, a minor is convicted of a lesser-included  | 
offense or of an offense that the State's Attorney did not  | 
designate as an extended jurisdiction juvenile prosecution,  | 
the State's Attorney may file a written motion, within 10 days  | 
of the finding of guilt, that the minor be sentenced as an  | 
extended jurisdiction juvenile prosecution offender. The court  | 
shall rule on this motion using the factors found in paragraph  | 
(1)(b) of Section 5-805. If the court denies the State's  | 
Attorney's motion for sentencing under the extended  | 
jurisdiction juvenile prosecution provision, the court shall  | 
proceed to sentence the minor under Section 5-710. | 
 (6) When it appears that a minor convicted in an extended  | 
jurisdiction juvenile prosecution under subsection (1) has  | 
violated the conditions of the minor's sentence, or is alleged  | 
to have committed a new offense upon the filing of a petition  | 
to revoke the stay, the court may, without notice, issue a  | 
 | 
warrant for the arrest of the minor. After a hearing, if the  | 
court finds by a preponderance of the evidence that the minor  | 
committed a new offense, the court shall order execution of  | 
the previously imposed adult criminal sentence. After a  | 
hearing, if the court finds by a preponderance of the evidence  | 
that the minor committed a violation of the minor's sentence  | 
other than by a new offense, the court may order execution of  | 
the previously imposed adult criminal sentence or may continue  | 
the minor on the existing juvenile sentence with or without  | 
modifying or enlarging the conditions. Upon revocation of the  | 
stay of the adult criminal sentence and imposition of that  | 
sentence, the minor's extended jurisdiction juvenile status  | 
shall be terminated. The on-going jurisdiction over the  | 
minor's case shall be assumed by the adult criminal court and  | 
juvenile court jurisdiction shall be terminated and a report  | 
of the imposition of the adult sentence shall be sent to the  | 
Illinois State Police. | 
 (7) Upon successful completion of the juvenile sentence  | 
the court shall vacate the adult criminal sentence. | 
 (8) Nothing in this Section precludes the State from  | 
filing a motion for transfer under Section 5-805. | 
(Source: P.A. 103-22, eff. 8-8-23; 103-191, eff. 1-1-24;  | 
revised 12-15-23.)
 | 
 (705 ILCS 405/5-915) | 
 Sec. 5-915. Expungement of juvenile law enforcement and  | 
 | 
juvenile court records.  | 
 (0.05) (Blank). | 
 (0.1)(a) The Illinois State Police and all law enforcement  | 
agencies within the State shall automatically expunge, on or  | 
before January 1 of each year, except as described in  | 
paragraph (c) of this subsection (0.1), all juvenile law  | 
enforcement records relating to events occurring before an  | 
individual's 18th birthday if: | 
  (1) one year or more has elapsed since the date of the  | 
 arrest or law enforcement interaction documented in the  | 
 records; | 
  (2) no petition for delinquency or criminal charges  | 
 were filed with the clerk of the circuit court relating to  | 
 the arrest or law enforcement interaction documented in  | 
 the records; and | 
  (3) 6 months have elapsed since the date of the arrest  | 
 without an additional subsequent arrest or filing of a  | 
 petition for delinquency or criminal charges whether  | 
 related or not to the arrest or law enforcement  | 
 interaction documented in the records. | 
 (b) If the law enforcement agency is unable to verify  | 
satisfaction of conditions (2) and (3) of this subsection  | 
(0.1), records that satisfy condition (1) of this subsection  | 
(0.1) shall be automatically expunged if the records relate to  | 
an offense that if committed by an adult would not be an  | 
offense classified as a Class 2 felony or higher, an offense  | 
 | 
under Article 11 of the Criminal Code of 1961 or Criminal Code  | 
of 2012, or an offense under Section 12-13, 12-14, 12-14.1,  | 
12-15, or 12-16 of the Criminal Code of 1961.  | 
 (c) If the juvenile law enforcement record was received  | 
through a public submission to a statewide student  | 
confidential reporting system administered by the Illinois  | 
State Police, the record will be maintained for a period of 5  | 
years according to all other provisions in this subsection  | 
(0.1).  | 
 (0.15) If a juvenile law enforcement record meets  | 
paragraph (a) of subsection (0.1) of this Section, a juvenile  | 
law enforcement record created: | 
  (1) prior to January 1, 2018, but on or after January  | 
 1, 2013 shall be automatically expunged prior to January  | 
 1, 2020;  | 
  (2) prior to January 1, 2013, but on or after January  | 
 1, 2000, shall be automatically expunged prior to January  | 
 1, 2023; and  | 
  (3) prior to January 1, 2000 shall not be subject to  | 
 the automatic expungement provisions of this Act.  | 
 Nothing in this subsection (0.15) shall be construed to  | 
restrict or modify an individual's right to have the person's  | 
juvenile law enforcement records expunged except as otherwise  | 
may be provided in this Act.  | 
 (0.2)(a) Upon dismissal of a petition alleging delinquency  | 
or upon a finding of not delinquent, the successful  | 
 | 
termination of an order of supervision, or the successful  | 
termination of an adjudication for an offense which would be a  | 
Class B misdemeanor, Class C misdemeanor, or a petty or  | 
business offense if committed by an adult, the court shall  | 
automatically order the expungement of the juvenile court  | 
records and juvenile law enforcement records. The clerk shall  | 
deliver a certified copy of the expungement order to the  | 
Illinois State Police and the arresting agency. Upon request,  | 
the State's Attorney shall furnish the name of the arresting  | 
agency. The expungement shall be completed within 60 business  | 
days after the receipt of the expungement order. | 
 (b) If the chief law enforcement officer of the agency, or  | 
the chief law enforcement officer's designee, certifies in  | 
writing that certain information is needed for a pending  | 
investigation involving the commission of a felony, that  | 
information, and information identifying the juvenile, may be  | 
retained until the statute of limitations for the felony has  | 
run. If the chief law enforcement officer of the agency, or the  | 
chief law enforcement officer's designee, certifies in writing  | 
that certain information is needed with respect to an internal  | 
investigation of any law enforcement office, that information  | 
and information identifying the juvenile may be retained  | 
within an intelligence file until the investigation is  | 
terminated or the disciplinary action, including appeals, has  | 
been completed, whichever is later. Retention of a portion of  | 
a juvenile's law enforcement record does not disqualify the  | 
 | 
remainder of a juvenile's record from immediate automatic  | 
expungement. | 
 (0.3)(a) Upon an adjudication of delinquency based on any  | 
offense except a disqualified offense, the juvenile court  | 
shall automatically order the expungement of the juvenile  | 
court and law enforcement records 2 years after the juvenile's  | 
case was closed if no delinquency or criminal proceeding is  | 
pending and the person has had no subsequent delinquency  | 
adjudication or criminal conviction. The clerk shall deliver a  | 
certified copy of the expungement order to the Illinois State  | 
Police and the arresting agency. Upon request, the State's  | 
Attorney shall furnish the name of the arresting agency. The  | 
expungement shall be completed within 60 business days after  | 
the receipt of the expungement order. In this subsection  | 
(0.3), "disqualified offense" means any of the following  | 
offenses: Section 8-1.2, 9-1, 9-1.2, 9-2, 9-2.1, 9-3, 9-3.2,  | 
10-1, 10-2, 10-3, 10-3.1, 10-4, 10-5, 10-9, 11-1.20, 11-1.30,  | 
11-1.40, 11-1.50, 11-1.60, 11-6, 11-6.5, 12-2, 12-3.05,  | 
12-3.3, 12-4.4a, 12-5.02, 12-6.2, 12-6.5, 12-7.1, 12-7.5,  | 
12-20.5, 12-32, 12-33, 12-34, 12-34.5, 18-1, 18-2, 18-3, 18-4,  | 
18-6, 19-3, 19-6, 20-1, 20-1.1, 24-1.2, 24-1.2-5, 24-1.5,  | 
24-3A, 24-3B, 24-3.2, 24-3.8, 24-3.9, 29D-14.9, 29D-20, 30-1,  | 
31-1a, 32-4a, or 33A-2 of the Criminal Code of 2012, or  | 
subsection (b) of Section 8-1, paragraph (4) of subsection (a)  | 
of Section 11-14.4, subsection (a-5) of Section 12-3.1,  | 
paragraph (1), (2), or (3) of subsection (a) of Section 12-6,  | 
 | 
subsection (a-3) or (a-5) of Section 12-7.3, paragraph (1) or  | 
(2) of subsection (a) of Section 12-7.4, subparagraph (i) of  | 
paragraph (1) of subsection (a) of Section 12-9, subparagraph  | 
(H) of paragraph (3) of subsection (a) of Section 24-1.6,  | 
paragraph (1) of subsection (a) of Section 25-1, or subsection  | 
(a-7) of Section 31-1 of the Criminal Code of 2012. | 
 (b) If the chief law enforcement officer of the agency, or  | 
the chief law enforcement officer's designee, certifies in  | 
writing that certain information is needed for a pending  | 
investigation involving the commission of a felony, that  | 
information, and information identifying the juvenile, may be  | 
retained in an intelligence file until the investigation is  | 
terminated or for one additional year, whichever is sooner.  | 
Retention of a portion of a juvenile's juvenile law  | 
enforcement record does not disqualify the remainder of a  | 
juvenile's record from immediate automatic expungement.  | 
 (0.4) Automatic expungement for the purposes of this  | 
Section shall not require law enforcement agencies to  | 
obliterate or otherwise destroy juvenile law enforcement  | 
records that would otherwise need to be automatically expunged  | 
under this Act, except after 2 years following the subject  | 
arrest for purposes of use in civil litigation against a  | 
governmental entity or its law enforcement agency or personnel  | 
which created, maintained, or used the records. However, these  | 
juvenile law enforcement records shall be considered expunged  | 
for all other purposes during this period and the offense,  | 
 | 
which the records or files concern, shall be treated as if it  | 
never occurred as required under Section 5-923.  | 
 (0.5) Subsection (0.1) or (0.2) of this Section does not  | 
apply to violations of traffic, boating, fish and game laws,  | 
or county or municipal ordinances.  | 
 (0.6) Juvenile law enforcement records of a plaintiff who  | 
has filed civil litigation against the governmental entity or  | 
its law enforcement agency or personnel that created,  | 
maintained, or used the records, or juvenile law enforcement  | 
records that contain information related to the allegations  | 
set forth in the civil litigation may not be expunged until  | 
after 2 years have elapsed after the conclusion of the  | 
lawsuit, including any appeal.  | 
 (0.7) Officer-worn body camera recordings shall not be  | 
automatically expunged except as otherwise authorized by the  | 
Law Enforcement Officer-Worn Body Camera Act.  | 
 (1) Whenever a person has been arrested, charged, or  | 
adjudicated delinquent for an incident occurring before a  | 
person's 18th birthday that if committed by an adult would be  | 
an offense, and that person's juvenile law enforcement and  | 
juvenile court records are not eligible for automatic  | 
expungement under subsection (0.1), (0.2), or (0.3), the  | 
person may petition the court at any time at no cost to the  | 
person for expungement of juvenile law enforcement records and  | 
juvenile court records relating to the incident and, upon  | 
termination of all juvenile court proceedings relating to that  | 
 | 
incident, the court shall order the expungement of all records  | 
in the possession of the Illinois State Police, the clerk of  | 
the circuit court, and law enforcement agencies relating to  | 
the incident, but only in any of the following circumstances: | 
  (a) the minor was arrested and no petition for  | 
 delinquency was filed with the clerk of the circuit court; | 
  (a-5) the minor was charged with an offense and the  | 
 petition or petitions were dismissed without a finding of  | 
 delinquency;  | 
  (b) the minor was charged with an offense and was  | 
 found not delinquent of that offense; | 
  (c) the minor was placed under supervision under  | 
 Section 5-615, and the order of supervision has since been  | 
 successfully terminated; or | 
  (d) the minor was adjudicated for an offense which  | 
 would be a Class B misdemeanor, Class C misdemeanor, or a  | 
 petty or business offense if committed by an adult. | 
 (1.5) At no cost to the person, the Illinois State Police  | 
shall allow a person to use the Access and Review process,  | 
established in the Illinois State Police, for verifying that  | 
the person's juvenile law enforcement records relating to  | 
incidents occurring before the person's 18th birthday eligible  | 
under this Act have been expunged.  | 
 (1.6) (Blank). | 
 (1.7) (Blank). | 
 (1.8) (Blank).  | 
 | 
 (2) Any person whose delinquency adjudications are not  | 
eligible for automatic expungement under subsection (0.3) of  | 
this Section may petition the court at no cost to the person to  | 
expunge all juvenile law enforcement records relating to any  | 
incidents occurring before the person's 18th birthday which  | 
did not result in proceedings in criminal court and all  | 
juvenile court records with respect to any adjudications  | 
except those based upon first degree murder or an offense  | 
under Article 11 of the Criminal Code of 2012 if the person is  | 
required to register under the Sex Offender Registration Act  | 
at the time the person petitions the court for expungement;  | 
provided that 2 years have elapsed since all juvenile court  | 
proceedings relating to the person have been terminated and  | 
the person's commitment to the Department of Juvenile Justice  | 
under this Act has been terminated. | 
 (2.5) If a minor is arrested and no petition for  | 
delinquency is filed with the clerk of the circuit court at the  | 
time the minor is released from custody, the youth officer, if  | 
applicable, or other designated person from the arresting  | 
agency, shall notify verbally and in writing to the minor or  | 
the minor's parents or guardians that the minor shall have an  | 
arrest record and shall provide the minor and the minor's  | 
parents or guardians with an expungement information packet,  | 
information regarding this State's expungement laws including  | 
a petition to expunge juvenile law enforcement and juvenile  | 
court records obtained from the clerk of the circuit court. | 
 | 
 (2.6) If a minor is referred to court, then, at the time of  | 
sentencing, dismissal of the case, or successful completion of  | 
supervision, the judge shall inform the delinquent minor of  | 
the minor's rights regarding expungement and the clerk of the  | 
circuit court shall provide an expungement information packet  | 
to the minor, written in plain language, including information  | 
regarding this State's expungement laws and a petition for  | 
expungement, a sample of a completed petition, expungement  | 
instructions that shall include information informing the  | 
minor that (i) once the case is expunged, it shall be treated  | 
as if it never occurred, (ii) the minor shall not be charged a  | 
fee to petition for expungement, (iii) once the minor obtains  | 
an expungement, the minor may not be required to disclose that  | 
the minor had a juvenile law enforcement or juvenile court  | 
record, and (iv) if petitioning the minor may file the  | 
petition on the minor's own or with the assistance of an  | 
attorney. The failure of the judge to inform the delinquent  | 
minor of the minor's right to petition for expungement as  | 
provided by law does not create a substantive right, nor is  | 
that failure grounds for: (i) a reversal of an adjudication of  | 
delinquency; (ii) a new trial; or (iii) an appeal. | 
 (2.7) (Blank). | 
 (2.8) (Blank). | 
 (3) (Blank).  | 
 (3.1) (Blank). | 
 (3.2) (Blank). | 
 | 
 (3.3) (Blank). | 
 (4) (Blank).  | 
 (5) (Blank). | 
 (5.5) Whether or not expunged, records eligible for  | 
automatic expungement under subdivision (0.1)(a), (0.2)(a), or  | 
(0.3)(a) may be treated as expunged by the individual subject  | 
to the records. | 
 (6) (Blank). | 
 (6.5) The Illinois State Police or any employee of the  | 
Illinois State Police shall be immune from civil or criminal  | 
liability for failure to expunge any records of arrest that  | 
are subject to expungement under this Section because of  | 
inability to verify a record. Nothing in this Section shall  | 
create Illinois State Police liability or responsibility for  | 
the expungement of juvenile law enforcement records it does  | 
not possess.  | 
 (7) (Blank).  | 
 (7.5) (Blank). | 
 (8) The expungement of juvenile law enforcement or  | 
juvenile court records under subsection (0.1), (0.2), or (0.3)  | 
of this Section shall be funded by appropriation by the  | 
General Assembly for that purpose.  | 
 (9) (Blank).  | 
 (10) (Blank). | 
(Source: P.A. 102-538, eff. 8-20-21; 102-558, eff. 8-20-21;  | 
102-752, eff. 1-1-23; 103-22, eff. 8-8-23; 103-154, eff.  | 
 | 
6-30-23; 103-379, eff. 7-28-23; revised 8-30-23.)
 | 
 (705 ILCS 405/6-7) (from Ch. 37, par. 806-7) | 
 Sec. 6-7. Financial responsibility of counties.  | 
 (1) Each county board shall provide in its annual  | 
appropriation ordinance or annual budget, as the case may be,  | 
a reasonable sum for payments for the care and support of  | 
minors, and for payments for court appointed counsel in  | 
accordance with orders entered under this Act in an amount  | 
which in the judgment of the county board may be needed for  | 
that purpose. Such appropriation or budget item constitutes a  | 
separate fund into which shall be paid the moneys appropriated  | 
by the county board, and all reimbursements by other persons  | 
and by the State. For cases involving minors subject to  | 
Article III, IV, or V of this Act or minors under the age of 18  | 
transferred to adult court or excluded from juvenile court  | 
jurisdiction under Article V of this Act, the county board  | 
shall not seek reimbursement from a minor or the minor's  | 
parent, guardian, or legal custodian.  | 
 (2) No county may be charged with the care and support of  | 
any minor who is not a resident of the county unless the  | 
minor's parents or guardian are unknown or the minor's place  | 
of residence cannot be determined. | 
 (3) No order upon the county for care and support of a  | 
minor may be entered until the president or chairman of the  | 
county board has had due notice that such a proceeding is  | 
 | 
pending. | 
(Source: P.A. 103-22, eff. 8-8-23; 103-379, eff. 7-28-23;  | 
revised 8-30-23.)
 | 
 (705 ILCS 405/6-9) (from Ch. 37, par. 806-9) | 
 Sec. 6-9. Enforcement of liability of parents and others.  | 
 (1) If parentage is at issue in any proceeding under this  | 
Act, other than cases involving those exceptions to the  | 
definition of parent set out in item (11) in Section 1-3, then  | 
the Illinois Parentage Act of 2015 shall apply and the court  | 
shall enter orders consistent with that Act. If it appears at  | 
any hearing that a parent or any other person named in the  | 
petition, liable under the law for the support of the minor, is  | 
able to contribute to the minor's support, the court shall  | 
enter an order requiring that parent or other person to pay the  | 
clerk of the court, or to the guardian or custodian appointed  | 
under Section 2-27, a reasonable sum from time to time for the  | 
care, support, and necessary special care or treatment of the  | 
minor. If the court determines at any hearing that a parent or  | 
any other person named in the petition, liable under the law  | 
for the support of the minor, is able to contribute to help  | 
defray the costs associated with the minor's detention in a  | 
county or regional detention center, the court shall enter an  | 
order requiring that parent or other person to pay the clerk of  | 
the court a reasonable sum for the care and support of the  | 
minor. The court may require reasonable security for the  | 
 | 
payments. Upon failure to pay, the court may enforce obedience  | 
to the order by a proceeding as for contempt of court. | 
 Costs associated with detention, legal representation, or  | 
other services or programs under Article III, IV, or V of this  | 
Act shall not be ordered or imposed on a parent, guardian, or  | 
legal custodian liable under the law for the support of a  | 
minor. the minor's the parent or other person the person's | 
 (2) (Blank). the person the person the person's the person  | 
the person's the person the person's the person | 
 (3) If the minor is a recipient of public aid under the  | 
Illinois Public Aid Code, the court shall order that payments  | 
made by a parent or through assignment of the parent's wages,  | 
salary, or commission be made directly to (a) the Department  | 
of Healthcare and Family Services if the minor is a recipient  | 
of aid under Article V of the Code, (b) the Department of Human  | 
Services if the minor is a recipient of aid under Article IV of  | 
the Code, or (c) the local governmental unit responsible for  | 
the support of the minor if the minor is a recipient under  | 
Article Articles VI or VII of the Code. The order shall permit  | 
the Department of Healthcare and Family Services, the  | 
Department of Human Services, or the local governmental unit,  | 
as the case may be, to direct that subsequent payments be made  | 
directly to the guardian or custodian of the minor, or to some  | 
other person or agency in the minor's behalf, upon removal of  | 
the minor from the public aid rolls; and upon such direction  | 
and removal of the minor from the public aid rolls, the  | 
 | 
Department of Healthcare and Family Services, the Department  | 
of Human Services, or the local governmental unit, as the case  | 
requires, shall give written notice of such action to the  | 
court. Payments received by the Department of Healthcare and  | 
Family Services, the Department of Human Services, or the  | 
local governmental unit are to be covered, respectively, into  | 
the General Revenue Fund of the State Treasury or the General  | 
Assistance Fund of the governmental unit, as provided in  | 
Section 10-19 of the Illinois Public Aid Code. | 
(Source: P.A. 103-22, eff. 8-8-23; 103-379, eff. 7-28-23;  | 
revised 9-15-23.)
 | 
 (705 ILCS 405/6-10) (from Ch. 37, par. 806-10) | 
 Sec. 6-10. State reimbursement of funds.  | 
 (a) Before the 15th day of each month, the clerk of the  | 
court shall itemize all payments received by the clerk under  | 
Section 6-9 during the preceding month and shall pay such  | 
amounts to the county treasurer. Before the 20th day of each  | 
month, the county treasurer shall file with the Department of  | 
Children and Family Services an itemized statement of the  | 
amount of money for the care and shelter of a minor placed in  | 
shelter care under Sections 2-7, 3-9, 4-6 or 5-410 or placed  | 
under Sections 2-27, 3-28, 4-25, or 5-740 before July 1, 1980  | 
and after June 30, 1981, paid by the county during the last  | 
preceding month pursuant to court order entered under Section  | 
6-8, certified by the court, and an itemized account of all  | 
 | 
payments received by the clerk of the court under Section 6-9  | 
during the preceding month and paid over to the county  | 
treasurer, certified by the county treasurer. The Department  | 
of Children and Family Services shall examine and audit the  | 
monthly statement and account, and upon finding them correct,  | 
shall voucher for payment to the county a sum equal to the  | 
amount so paid out by the county less the amount received by  | 
the clerk of the court under Section 6-9 and paid to the county  | 
treasurer but not more than an amount equal to the current  | 
average daily rate paid by the Department of Children and  | 
Family Services for similar services pursuant to Section 5a of  | 
the Children and Family Services Act, approved June 4, 1963,  | 
as amended. Reimbursement to the counties under this Section  | 
for care and support of minors in licensed child caring  | 
institutions must be made by the Department of Children and  | 
Family Services only for care in those institutions which have  | 
filed with the Department a certificate affirming that they  | 
admit minors on the basis of need without regard to race or  | 
ethnic origin. | 
 (b) The county treasurer may file with the Department of  | 
Children and Family Services an itemized statement of the  | 
amount of money paid by the county during the last preceding  | 
month pursuant to court order entered under Section 6-8,  | 
certified by the court, and an itemized account of all  | 
payments received by the clerk of the court under Section 6-9  | 
during the preceding month and paid over to the county  | 
 | 
treasurer, certified by the county treasurer. The Department  | 
of Children and Family Services shall examine and audit the  | 
monthly statement and account, and upon finding them correct,  | 
shall voucher for payment to the county a sum equal to the  | 
amount so paid out by the county less the amount received by  | 
the clerk of the court under Section 6-9 and paid to the county  | 
treasurer. Subject to appropriations for that purpose, the  | 
State shall reimburse the county for the care and shelter of a  | 
minor placed in detention as a result of any new provisions  | 
that are created by the Juvenile Justice Reform Provisions of  | 
1998 (Public Act 90-590). | 
(Source: P.A. 103-22, eff. 8-8-23; revised 9-20-23.)
 | 
 Section 560. The Criminal Code of 2012 is amended by  | 
changing Sections 9-1, 24-1.9, 24-1.10, and 24-5.1 as follows:
 | 
 (720 ILCS 5/9-1) (from Ch. 38, par. 9-1) | 
 Sec. 9-1. First degree murder.  | 
 (a) A person who kills an individual without lawful  | 
justification commits first degree murder if, in performing  | 
the acts which cause the death:  | 
  (1) he or she either intends to kill or do great bodily  | 
 harm to that individual or another, or knows that such  | 
 acts will cause death to that individual or another; or  | 
  (2) he or she knows that such acts create a strong  | 
 probability of death or great bodily harm to that  | 
 | 
 (1) "Assault weapon" means any of the following, except as  | 
provided in subdivision (2) of this subsection:  | 
  (A) A semiautomatic rifle that has the capacity to  | 
 accept a detachable magazine or that may be readily  | 
 modified to accept a detachable magazine, if the firearm  | 
 has one or more of the following: | 
   (i) a pistol grip or thumbhole stock; | 
   (ii) any feature capable of functioning as a  | 
 protruding grip that can be held by the non-trigger  | 
 hand; | 
   (iii) a folding, telescoping, thumbhole, or  | 
 detachable stock, or a stock that is otherwise  | 
 foldable or adjustable in a manner that operates to  | 
 reduce the length, size, or any other dimension, or  | 
 otherwise enhances the concealability of, the weapon;  | 
   (iv) a flash suppressor; | 
   (v) a grenade launcher; | 
   (vi) a shroud attached to the barrel or that  | 
 partially or completely encircles the barrel, allowing  | 
 the bearer to hold the firearm with the non-trigger  | 
 hand without being burned, but excluding a slide that  | 
 encloses the barrel.  | 
  (B) A semiautomatic rifle that has a fixed magazine  | 
 with the capacity to accept more than 10 rounds, except  | 
 for an attached tubular device designed to accept, and  | 
 capable of operating only with, .22 caliber rimfire  | 
 | 
 ammunition. | 
  (C) A semiautomatic pistol that has the capacity to  | 
 accept a detachable magazine or that may be readily  | 
 modified to accept a detachable magazine, if the firearm  | 
 has one or more of the following: | 
   (i) a threaded barrel; | 
   (ii) a second pistol grip or another feature  | 
 capable of functioning as a protruding grip that can  | 
 be held by the non-trigger hand; | 
   (iii) a shroud attached to the barrel or that  | 
 partially or completely encircles the barrel, allowing  | 
 the bearer to hold the firearm with the non-trigger  | 
 hand without being burned, but excluding a slide that  | 
 encloses the barrel; | 
   (iv) a flash suppressor;  | 
   (v) the capacity to accept a detachable magazine  | 
 at some location outside of the pistol grip; or | 
   (vi) a buffer tube, arm brace, or other part that  | 
 protrudes horizontally behind the pistol grip and is  | 
 designed or redesigned to allow or facilitate a  | 
 firearm to be fired from the shoulder.  | 
  (D) A semiautomatic pistol that has a fixed magazine  | 
 with the capacity to accept more than 15 rounds. | 
  (E) Any shotgun with a revolving cylinder.  | 
  (F) A semiautomatic shotgun that has one or more of  | 
 the following: | 
 | 
   (i) a pistol grip or thumbhole stock; | 
   (ii) any feature capable of functioning as a  | 
 protruding grip that can be held by the non-trigger  | 
 hand; | 
   (iii) a folding or thumbhole stock;  | 
   (iv) a grenade launcher; | 
   (v) a fixed magazine with the capacity of more  | 
 than 5 rounds; or  | 
   (vi) the capacity to accept a detachable magazine.  | 
  (G) Any semiautomatic firearm that has the capacity to  | 
 accept a belt ammunition feeding device. | 
  (H) Any firearm that has been modified to be operable  | 
 as an assault weapon as defined in this Section.  | 
  (I) Any part or combination of parts designed or  | 
 intended to convert a firearm into an assault weapon,  | 
 including any combination of parts from which an assault  | 
 weapon may be readily assembled if those parts are in the  | 
 possession or under the control of the same person.  | 
  (J) All of the following rifles, copies, duplicates,  | 
 variants, or altered facsimiles with the capability of any  | 
 such weapon:  | 
   (i) All AK types, including the following: | 
    (I) AK, AK47, AK47S, AK-74, AKM, AKS, ARM,  | 
 MAK90, MISR, NHM90, NHM91, SA85, SA93, Vector Arms  | 
 AK-47, VEPR, WASR-10, and WUM.  | 
    (II) IZHMASH Saiga AK.  | 
 | 
    (III) MAADI AK47 and ARM.  | 
    (IV) Norinco 56S, 56S2, 84S, and 86S.  | 
    (V) Poly Technologies AK47 and AKS.  | 
    (VI) SKS with a detachable magazine.  | 
   (ii) all AR types, including the following: | 
    (I) AR-10.  | 
    (II) AR-15.  | 
    (III) Alexander Arms Overmatch Plus 16.  | 
    (IV) Armalite M15 22LR Carbine.  | 
    (V) Armalite M15-T.  | 
    (VI) Barrett REC7.  | 
    (VII) Beretta AR-70.  | 
    (VIII) Black Rain Ordnance Recon Scout.  | 
    (IX) Bushmaster ACR.  | 
    (X) Bushmaster Carbon 15.  | 
    (XI) Bushmaster MOE series.  | 
    (XII) Bushmaster XM15.  | 
    (XIII) Chiappa Firearms MFour rifles.  | 
    (XIV) Colt Match Target rifles.  | 
    (XV) CORE Rifle Systems CORE15 rifles.  | 
    (XVI) Daniel Defense M4A1 rifles.  | 
    (XVII) Devil Dog Arms 15 Series rifles.  | 
    (XVIII) Diamondback DB15 rifles.  | 
    (XIX) DoubleStar AR rifles.  | 
    (XX) DPMS Tactical rifles.  | 
    (XXI) DSA Inc. ZM-4 Carbine.  | 
 | 
    (XXII) Heckler & Koch MR556.  | 
    (XXIII) High Standard HSA-15 rifles.  | 
    (XXIV) Jesse James Nomad AR-15 rifle.  | 
    (XXV) Knight's Armament SR-15.  | 
    (XXVI) Lancer L15 rifles.  | 
    (XXVII) MGI Hydra Series rifles.  | 
    (XXVIII) Mossberg MMR Tactical rifles.  | 
    (XXIX) Noreen Firearms BN 36 rifle.  | 
    (XXX) Olympic Arms.  | 
    (XXXI) POF USA P415.  | 
    (XXXII) Precision Firearms AR rifles.  | 
    (XXXIII) Remington R-15 rifles.  | 
    (XXXIV) Rhino Arms AR rifles.  | 
    (XXXV) Rock River Arms LAR-15 or Rock River  | 
 Arms LAR-47.  | 
    (XXXVI) Sig Sauer SIG516 rifles and MCX  | 
 rifles.  | 
    (XXXVII) Smith & Wesson M&P15 rifles.  | 
    (XXXVIII) Stag Arms AR rifles.  | 
    (XXXIX) Sturm, Ruger & Co. SR556 and AR-556  | 
 rifles.  | 
    (XL) Uselton Arms Air-Lite M-4 rifles.  | 
    (XLI) Windham Weaponry AR rifles.  | 
    (XLII) WMD Guns Big Beast.  | 
    (XLIII) Yankee Hill Machine Company, Inc.  | 
 YHM-15 rifles.  | 
 | 
   (iii) Barrett M107A1. | 
   (iv) Barrett M82A1. | 
   (v) Beretta CX4 Storm. | 
   (vi) Calico Liberty Series. | 
   (vii) CETME Sporter.  | 
   (viii) Daewoo K-1, K-2, Max 1, Max 2, AR 100, and  | 
 AR 110C.  | 
   (ix) Fabrique Nationale/FN Herstal FAL, LAR, 22  | 
 FNC, 308 Match, L1A1 Sporter, PS90, SCAR, and FS2000.  | 
   (x) Feather Industries AT-9.  | 
   (xi) Galil Model AR and Model ARM.  | 
   (xii) Hi-Point Carbine.  | 
   (xiii) HK-91, HK-93, HK-94, HK-PSG-1, and HK USC.  | 
   (xiv) IWI TAVOR, Galil ACE rifle.  | 
   (xv) Kel-Tec Sub-2000, SU-16, and RFB.  | 
   (xvi) SIG AMT, SIG PE-57, Sig Sauer SG 550, Sig  | 
 Sauer SG 551, and SIG MCX. | 
   (xvii) Springfield Armory SAR-48.  | 
   (xviii) Steyr AUG.  | 
   (xix) Sturm, Ruger & Co. Mini-14 Tactical Rifle  | 
 M-14/20CF.  | 
   (xx) All Thompson rifles, including the following:  | 
    (I) Thompson M1SB.  | 
    (II) Thompson T1100D.  | 
    (III) Thompson T150D.  | 
    (IV) Thompson T1B.  | 
 | 
    (VI) Krinkov pistol.  | 
    (VII) Mini Draco AK-47 pistol.  | 
    (VIII) PAP M92 pistol.  | 
    (IX) Yugo Krebs Krink pistol.  | 
   (ii) All AR types, including the following:  | 
    (I) American Spirit AR-15 pistol.  | 
    (II) Bushmaster Carbon 15 pistol.  | 
    (III) Chiappa Firearms M4 Pistol GEN II.  | 
    (IV) CORE Rifle Systems CORE15 Roscoe pistol.  | 
    (V) Daniel Defense MK18 pistol.  | 
    (VI) DoubleStar Corporation AR pistol.  | 
    (VII) DPMS AR-15 pistol.  | 
    (VIII) Jesse James Nomad AR-15 pistol.  | 
    (IX) Olympic Arms AR-15 pistol.  | 
    (X) Osprey Armament MK-18 pistol.  | 
    (XI) POF USA AR pistols.  | 
    (XII) Rock River Arms LAR 15 pistol.  | 
    (XIII) Uselton Arms Air-Lite M-4 pistol.  | 
   (iii) Calico pistols.  | 
   (iv) DSA SA58 PKP FAL pistol.  | 
   (v) Encom MP-9 and MP-45.  | 
   (vi) Heckler & Koch model SP-89 pistol.  | 
   (vii) Intratec AB-10, TEC-22 Scorpion, TEC-9, and  | 
 TEC-DC9.  | 
   (viii) IWI Galil Ace pistol, UZI PRO pistol.  | 
   (ix) Kel-Tec PLR 16 pistol.  | 
 | 
   (x) All MAC types, including the following:  | 
    (I) MAC-10.  | 
    (II) MAC-11.  | 
    (III) Masterpiece Arms MPA A930 Mini Pistol,  | 
 MPA460 Pistol, MPA Tactical Pistol, and MPA Mini  | 
 Tactical Pistol.  | 
    (IV) Military Armament Corp. Ingram M-11.  | 
    (V) Velocity Arms VMAC.  | 
   (xi) Sig Sauer P556 pistol.  | 
   (xii) Sites Spectre.  | 
   (xiii) All Thompson types, including the  | 
 following:  | 
    (I) Thompson TA510D.  | 
    (II) Thompson TA5.  | 
   (xiv) All UZI types, including Micro-UZI.  | 
  (L) All of the following shotguns, copies, duplicates,  | 
 variants, or altered facsimiles with the capability of any  | 
 such weapon thereof:  | 
   (i) DERYA Anakon MC-1980, Anakon SD12.  | 
   (ii) Doruk Lethal shotguns.  | 
   (iii) Franchi LAW-12 and SPAS 12.  | 
   (iv) All IZHMASH Saiga 12 types, including the  | 
 following:  | 
    (I) IZHMASH Saiga 12.  | 
    (II) IZHMASH Saiga 12S.  | 
    (III) IZHMASH Saiga 12S EXP-01.  | 
 | 
    (IV) IZHMASH Saiga 12K.  | 
    (V) IZHMASH Saiga 12K-030.  | 
    (VI) IZHMASH Saiga 12K-040 Taktika.  | 
   (v) Streetsweeper.  | 
   (vi) Striker 12.  | 
 (2) "Assault weapon" does not include:  | 
  (A) Any firearm that is an unserviceable firearm or  | 
 has been made permanently inoperable. | 
  (B) An antique firearm or a replica of an antique  | 
 firearm. | 
  (C) A firearm that is manually operated by bolt, pump,  | 
 lever or slide action, unless the firearm is a shotgun  | 
 with a revolving cylinder. | 
  (D) Any air rifle as defined in Section 24.8-0.1 of  | 
 this Code. | 
  (E) Any handgun, as defined under the Firearm  | 
 Concealed Carry Act, unless otherwise listed in this  | 
 Section.  | 
 (3) "Assault weapon attachment" means any device capable  | 
of being attached to a firearm that is specifically designed  | 
for making or converting a firearm into any of the firearms  | 
listed in paragraph (1) of this subsection (a). | 
 (4) "Antique firearm" has the meaning ascribed to it in 18  | 
U.S.C. 921(a)(16). | 
 (5) ".50 caliber rifle" means a centerfire rifle capable  | 
of firing a .50 caliber cartridge. The term does not include  | 
 | 
any antique firearm, any shotgun including a shotgun that has  | 
a rifle barrel, or any muzzle-loader which uses black powder  | 
for hunting or historical reenactments. | 
 (6) ".50 caliber cartridge" means a cartridge in .50 BMG  | 
caliber, either by designation or actual measurement, that is  | 
capable of being fired from a centerfire rifle. The term ".50  | 
caliber cartridge" does not include any memorabilia or display  | 
item that is filled with a permanent inert substance or that is  | 
otherwise permanently altered in a manner that prevents ready  | 
modification for use as live ammunition or shotgun ammunition  | 
with a caliber measurement that is equal to or greater than .50  | 
caliber. | 
 (7) "Detachable magazine" means an ammunition feeding  | 
device that may be removed from a firearm without disassembly  | 
of the firearm action, including an ammunition feeding device  | 
that may be readily removed from a firearm with the use of a  | 
bullet, cartridge, accessory, or other tool, or any other  | 
object that functions as a tool, including a bullet or  | 
cartridge. | 
 (8) "Fixed magazine" means an ammunition feeding device  | 
that is permanently attached to a firearm, or contained in and  | 
not removable from a firearm, or that is otherwise not a  | 
detachable magazine, but does not include an attached tubular  | 
device designed to accept, and capable of operating only with,  | 
.22 caliber rimfire ammunition.  | 
 (b) Except as provided in subsections (c), (d), and (e),  | 
 | 
on or after January 10, 2023 (the effective date of Public Act  | 
102-1116) this amendatory Act of the 102nd General Assembly,  | 
it is unlawful for any person within this State to knowingly  | 
manufacture, deliver, sell, import, or purchase or cause to be  | 
manufactured, delivered, sold, imported, or purchased by  | 
another, an assault weapon, assault weapon attachment, .50  | 
caliber rifle, or .50 caliber cartridge. | 
 (c) Except as otherwise provided in subsection (d),  | 
beginning January 1, 2024, it is unlawful for any person  | 
within this State to knowingly possess an assault weapon,  | 
assault weapon attachment, .50 caliber rifle, or .50 caliber  | 
cartridge.  | 
 (d) This Section does not apply to a person's possession  | 
of an assault weapon, assault weapon attachment, .50 caliber  | 
rifle, or .50 caliber cartridge device if the person lawfully  | 
possessed that assault weapon, assault weapon attachment, .50  | 
caliber rifle, or .50 caliber cartridge prohibited by  | 
subsection (c) of this Section, if the person has provided in  | 
an endorsement affidavit, prior to January 1, 2024, under oath  | 
or affirmation and in the form and manner prescribed by the  | 
Illinois State Police, no later than October 1, 2023: | 
  (1) the affiant's Firearm Owner's Identification Card  | 
 number; | 
  (2) an affirmation that the affiant: (i) possessed an  | 
 assault weapon, assault weapon attachment, .50 caliber  | 
 rifle, or .50 caliber cartridge before January 10, 2023  | 
 | 
 (the effective date of Public Act 102-1116) this  | 
 amendatory Act of the 102nd General Assembly; or (ii)  | 
 inherited the assault weapon, assault weapon attachment,  | 
 .50 caliber rifle, or .50 caliber cartridge from a person  | 
 with an endorsement under this Section or from a person  | 
 authorized under subdivisions (1) through (5) of  | 
 subsection (e) to possess the assault weapon, assault  | 
 weapon attachment, .50 caliber rifle, or .50 caliber  | 
 cartridge; and | 
  (3) the make, model, caliber, and serial number of the  | 
 .50 caliber rifle or assault weapon or assault weapons  | 
 listed in paragraphs (J), (K), and (L) of subdivision (1)  | 
 of subsection (a) of this Section possessed by the affiant  | 
 prior to January 10, 2023 (the effective date of Public  | 
 Act 102-1116) this amendatory Act of the 102nd General  | 
 Assembly and any assault weapons identified and published  | 
 by the Illinois State Police pursuant to this subdivision  | 
 (3). No later than October 1, 2023, and every October 1  | 
 thereafter, the Illinois State Police shall, via  | 
 rulemaking, identify, publish, and make available on its  | 
 website, the list of assault weapons subject to an  | 
 endorsement affidavit under this subsection (d). The list  | 
 shall identify, but is not limited to, the copies,  | 
 duplicates, variants, and altered facsimiles of the  | 
 assault weapons identified in paragraphs (J), (K), and (L)  | 
 of subdivision (1) of subsection (a) of this Section and  | 
 | 
 shall be consistent with the definition of "assault  | 
 weapon" identified in this Section. The Illinois State  | 
 Police may adopt emergency rulemaking in accordance with  | 
 Section 5-45 of the Illinois Administrative Procedure Act.  | 
 The adoption of emergency rules authorized by Section 5-45  | 
 of the Illinois Administrative Procedure Act and this  | 
 paragraph is deemed to be necessary for the public  | 
 interest, safety, and welfare. | 
 The affidavit form shall include the following statement  | 
printed in bold type: "Warning: Entering false information on  | 
this form is punishable as perjury under Section 32-2 of the  | 
Criminal Code of 2012. Entering false information on this form  | 
is a violation of the Firearm Owners Identification Card Act." | 
 In any administrative, civil, or criminal proceeding in  | 
this State, a completed endorsement affidavit submitted to the  | 
Illinois State Police by a person under this Section creates a  | 
rebuttable presumption that the person is entitled to possess  | 
and transport the assault weapon, assault weapon attachment,  | 
.50 caliber rifle, or .50 caliber cartridge.  | 
 Beginning 90 days after January 10, 2023 (the effective  | 
date of Public Act 102-1116) this amendatory Act of the 102nd  | 
General Assembly, a person authorized under this Section to  | 
possess an assault weapon, assault weapon attachment, .50  | 
caliber rifle, or .50 caliber cartridge shall possess such  | 
items only:  | 
  (1) on private property owned or immediately  | 
 | 
 controlled by the person; | 
  (2) on private property that is not open to the public  | 
 with the express permission of the person who owns or  | 
 immediately controls such property; | 
  (3) while on the premises of a licensed firearms  | 
 dealer or gunsmith for the purpose of lawful repair; | 
  (4) while engaged in the legal use of the assault  | 
 weapon, assault weapon attachment, .50 caliber rifle, or  | 
 .50 caliber cartridge at a properly licensed firing range  | 
 or sport shooting competition venue; or | 
  (5) while traveling to or from these locations,  | 
 provided that the assault weapon, assault weapon  | 
 attachment, or .50 caliber rifle is unloaded and the  | 
 assault weapon, assault weapon attachment, .50 caliber  | 
 rifle, or .50 caliber cartridge is enclosed in a case,  | 
 firearm carrying box, shipping box, or other container.  | 
 Beginning on January 1, 2024, the person with the  | 
endorsement for an assault weapon, assault weapon attachment,  | 
.50 caliber rifle, or .50 caliber cartridge or a person  | 
authorized under subdivisions (1) through (5) of subsection  | 
(e) to possess an assault weapon, assault weapon attachment,  | 
.50 caliber rifle, or .50 caliber cartridge may transfer the  | 
assault weapon, assault weapon attachment, .50 caliber rifle,  | 
or .50 caliber cartridge only to an heir, an individual  | 
residing in another state maintaining it in another state, or  | 
a dealer licensed as a federal firearms dealer under Section  | 
 | 
923 of the federal Gun Control Act of 1968. Within 10 days  | 
after transfer of the weapon except to an heir, the person  | 
shall notify the Illinois State Police of the name and address  | 
of the transferee and comply with the requirements of  | 
subsection (b) of Section 3 of the Firearm Owners  | 
Identification Card Act. The person to whom the weapon or  | 
ammunition is transferred shall, within 60 days of the  | 
transfer, complete an affidavit required under this Section. A  | 
person to whom the weapon is transferred may transfer it only  | 
as provided in this subsection. | 
 Except as provided in subsection (e) and beginning on  | 
January 1, 2024, any person who moves into this State in  | 
possession of an assault weapon, assault weapon attachment,  | 
.50 caliber rifle, or .50 caliber cartridge shall, within 60  | 
days, apply for a Firearm Owners Identification Card and  | 
complete an endorsement application as outlined in subsection  | 
(d). | 
 Notwithstanding any other law, information contained in  | 
the endorsement affidavit shall be confidential, is exempt  | 
from disclosure under the Freedom of Information Act, and  | 
shall not be disclosed, except to law enforcement agencies  | 
acting in the performance of their duties.  | 
 (e) The provisions of this Section regarding the purchase  | 
or possession of assault weapons, assault weapon attachments,  | 
.50 caliber rifles, and .50 cartridges, as well as the  | 
provisions of this Section that prohibit causing those items  | 
 | 
to be purchased or possessed, do not apply to: | 
  (1) Peace officers, as defined in Section 2-13 of this  | 
 Code. | 
  (2) Qualified law enforcement officers and qualified  | 
 retired law enforcement officers as defined in the Law  | 
 Enforcement Officers Safety Act of 2004 (18 U.S.C. 926B  | 
 and 926C) and as recognized under Illinois law.  | 
  (3) Acquisition and possession by a federal, State, or  | 
 local law enforcement agency for the purpose of equipping  | 
 the agency's peace officers as defined in paragraph (1) or  | 
 (2) of this subsection (e).  | 
  (4) Wardens, superintendents, and keepers of prisons,  | 
 penitentiaries, jails, and other institutions for the  | 
 detention of persons accused or convicted of an offense. | 
  (5) Members of the Armed Services or Reserve Forces of  | 
 the United States or the Illinois National Guard, while  | 
 performing their official duties or while traveling to or  | 
 from their places of duty. | 
  (6) Any company that employs armed security officers  | 
 in this State at a nuclear energy, storage, weapons, or  | 
 development site or facility regulated by the federal  | 
 Nuclear Regulatory Commission and any person employed as  | 
 an armed security force member at a nuclear energy,  | 
 storage, weapons, or development site or facility  | 
 regulated by the federal Nuclear Regulatory Commission who  | 
 has completed the background screening and training  | 
 | 
 mandated by the rules and regulations of the federal  | 
 Nuclear Regulatory Commission and while performing  | 
 official duties.  | 
  (7) Any private security contractor agency licensed  | 
 under the Private Detective, Private Alarm, Private  | 
 Security, Fingerprint Vendor, and Locksmith Act of 2004  | 
 that employs private security contractors and any private  | 
 security contractor who is licensed and has been issued a  | 
 firearm control card under the Private Detective, Private  | 
 Alarm, Private Security, Fingerprint Vendor, and Locksmith  | 
 Act of 2004 while performing official duties.  | 
 The provisions of this Section do not apply to the  | 
manufacture, delivery, sale, import, purchase, or possession  | 
of an assault weapon, assault weapon attachment, .50 caliber  | 
rifle, or .50 caliber cartridge or causing the manufacture,  | 
delivery, sale, importation, purchase, or possession of those  | 
items: | 
  (A) for sale or transfer to persons authorized under  | 
 subdivisions (1) through (7) of this subsection (e) to  | 
 possess those items; | 
  (B) for sale or transfer to the United States or any  | 
 department or agency thereof; or | 
  (C) for sale or transfer in another state or for  | 
 export. | 
 This Section does not apply to or affect any of the  | 
following:  | 
 | 
  (i) Possession of any firearm if that firearm is  | 
 sanctioned by the International Olympic Committee and by  | 
 USA Shooting, the national governing body for  | 
 international shooting competition in the United States,  | 
 but only when the firearm is in the actual possession of an  | 
 Olympic target shooting competitor or target shooting  | 
 coach for the purpose of storage, transporting to and from  | 
 Olympic target shooting practice or events if the firearm  | 
 is broken down in a nonfunctioning state, is not  | 
 immediately accessible, or is unloaded and enclosed in a  | 
 firearm case, carrying box, shipping box, or other similar  | 
 portable container designed for the safe transportation of  | 
 firearms, and when the Olympic target shooting competitor  | 
 or target shooting coach is engaging in those practices or  | 
 events. For the purposes of this paragraph (8), "firearm"  | 
 has the meaning provided in Section 1.1 of the Firearm  | 
 Owners Identification Card Act. | 
  (ii) Any nonresident who transports, within 24 hours,  | 
 a weapon for any lawful purpose from any place where the  | 
 nonresident may lawfully possess and carry that weapon to  | 
 any other place where the nonresident may lawfully possess  | 
 and carry that weapon if, during the transportation, the  | 
 weapon is unloaded, and neither the weapon nor any  | 
 ammunition being transported is readily accessible or is  | 
 directly accessible from the passenger compartment of the  | 
 transporting vehicle. In the case of a vehicle without a  | 
 | 
 compartment separate from the driver's compartment, the  | 
 weapon or ammunition shall be contained in a locked  | 
 container other than the glove compartment or console.  | 
  (iii) Possession of a weapon at an event taking place  | 
 at the World Shooting and Recreational Complex at Sparta,  | 
 only while engaged in the legal use of the weapon, or while  | 
 traveling to or from that location if the weapon is broken  | 
 down in a nonfunctioning state, is not immediately  | 
 accessible, or is unloaded and enclosed in a firearm case,  | 
 carrying box, shipping box, or other similar portable  | 
 container designed for the safe transportation of  | 
 firearms.  | 
  (iv) Possession of a weapon only for hunting use  | 
 expressly permitted under the Wildlife Code, or while  | 
 traveling to or from a location authorized for this  | 
 hunting use under the Wildlife Code if the weapon is  | 
 broken down in a nonfunctioning state, is not immediately  | 
 accessible, or is unloaded and enclosed in a firearm case,  | 
 carrying box, shipping box, or other similar portable  | 
 container designed for the safe transportation of  | 
 firearms. By October 1, 2023, the Illinois State Police,  | 
 in consultation with the Department of Natural Resources,  | 
 shall adopt rules concerning the list of applicable  | 
 weapons approved under this subparagraph (iv). The  | 
 Illinois State Police may adopt emergency rules in  | 
 accordance with Section 5-45 of the Illinois  | 
 | 
 Administrative Procedure Act. The adoption of emergency  | 
 rules authorized by Section 5-45 of the Illinois  | 
 Administrative Procedure Act and this paragraph is deemed  | 
 to be necessary for the public interest, safety, and  | 
 welfare.  | 
  (v) The manufacture, transportation, possession, sale,  | 
 or rental of blank-firing assault weapons and .50 caliber  | 
 rifles, or the weapon's respective attachments, to persons  | 
 authorized or permitted, or both authorized and permitted,  | 
 to acquire and possess these weapons or attachments for  | 
 the purpose of rental for use solely as props for a motion  | 
 picture, television, or video production or entertainment  | 
 event.  | 
 Any person not subject to this Section may submit an  | 
endorsement affidavit if the person chooses.  | 
 (f) Any sale or transfer with a background check initiated  | 
to the Illinois State Police on or before January 10, 2023 (the  | 
effective date of Public Act 102-1116) this amendatory Act of  | 
the 102nd General Assembly is allowed to be completed after  | 
January 10, 2023 the effective date of this amendatory Act  | 
once an approval is issued by the Illinois State Police and any  | 
applicable waiting period under Section 24-3 has expired. | 
 (g) The Illinois State Police shall take all steps  | 
necessary to carry out the requirements of this Section within  | 
by October 1, 2023.  | 
 (h) The Illinois Department of the State Police shall also  | 
 | 
develop and implement a public notice and public outreach  | 
campaign to promote awareness about the provisions of Public  | 
Act 102-1116 this amendatory Act of the 102nd General Assembly  | 
and to increase compliance with this Section.  | 
(Source: P.A. 102-1116, eff. 1-10-23; revised 4-6-23.)
 | 
 (720 ILCS 5/24-1.10) | 
 Sec. 24-1.10. Manufacture, delivery, sale, and possession  | 
of large capacity ammunition feeding devices. | 
 (a) In this Section: | 
 "Handgun" has the meaning ascribed to it in the Firearm  | 
Concealed Carry Act. | 
 "Long gun" means a rifle or shotgun.  | 
 "Large capacity ammunition feeding device" means: | 
  (1) a magazine, belt, drum, feed strip, or similar  | 
 device that has a capacity of, or that can be readily  | 
 restored or converted to accept, more than 10 rounds of  | 
 ammunition for long guns and more than 15 rounds of  | 
 ammunition for handguns; or | 
  (2) any combination of parts from which a device  | 
 described in paragraph (1) can be assembled. | 
 "Large capacity ammunition feeding device" does not  | 
include an attached tubular device designed to accept, and  | 
capable of operating only with, .22 caliber rimfire  | 
ammunition. "Large capacity ammunition feeding device" does  | 
not include a tubular magazine that is contained in a  | 
 | 
lever-action firearm or any device that has been made  | 
permanently inoperable. | 
 (b) Except as provided in subsections (e) and (f), it is  | 
unlawful for any person within this State to knowingly  | 
manufacture, deliver, sell, purchase, or cause to be  | 
manufactured, delivered, sold, or purchased a large capacity  | 
ammunition feeding device. | 
 (c) Except as provided in subsections (d), (e), and (f),  | 
and beginning 90 days after January 10, 2023 (the effective  | 
date of Public Act 102-1116) this amendatory Act of the 102nd  | 
General Assembly, it is unlawful to knowingly possess a large  | 
capacity ammunition feeding device.  | 
 (d) Subsection (c) does not apply to a person's possession  | 
of a large capacity ammunition feeding device if the person  | 
lawfully possessed that large capacity ammunition feeding  | 
device before January 10, 2023 (the effective date of Public  | 
Act 102-1116) this amendatory Act of the 102nd General  | 
Assembly, provided that the person shall possess such device  | 
only:  | 
  (1) on private property owned or immediately  | 
 controlled by the person; | 
  (2) on private property that is not open to the public  | 
 with the express permission of the person who owns or  | 
 immediately controls such property; | 
  (3) while on the premises of a licensed firearms  | 
 dealer or gunsmith for the purpose of lawful repair; | 
 | 
  (4) while engaged in the legal use of the large  | 
 capacity ammunition feeding device at a properly licensed  | 
 firing range or sport shooting competition venue; or | 
  (5) while traveling to or from these locations,  | 
 provided that the large capacity ammunition feeding device  | 
 is stored unloaded and enclosed in a case, firearm  | 
 carrying box, shipping box, or other container.  | 
 A person authorized under this Section to possess a large  | 
capacity ammunition feeding device may transfer the large  | 
capacity ammunition feeding device only to an heir, an  | 
individual residing in another state maintaining it in another  | 
state, or a dealer licensed as a federal firearms dealer under  | 
Section 923 of the federal Gun Control Act of 1968. Within 10  | 
days after transfer of the large capacity ammunition feeding  | 
device except to an heir, the person shall notify the Illinois  | 
State Police of the name and address of the transferee and  | 
comply with the requirements of subsection (b) of Section 3 of  | 
the Firearm Owners Identification Card Act. The person to whom  | 
the large capacity ammunition feeding device is transferred  | 
shall, within 60 days of the transfer, notify the Illinois  | 
State Police of the person's acquisition and comply with the  | 
requirements of subsection (b) of Section 3 of the Firearm  | 
Owners Identification Card Act. A person to whom the large  | 
capacity ammunition feeding device is transferred may transfer  | 
it only as provided in this subsection. | 
 Except as provided in subsections (e) and (f) and  | 
 | 
beginning 90 days after January 10, 2023 (the effective date  | 
of Public Act 102-1116) this amendatory Act of the 102nd  | 
General Assembly, any person who moves into this State in  | 
possession of a large capacity ammunition feeding device  | 
shall, within 60 days, apply for a Firearm Owners  | 
Identification Card. | 
 (e) The provisions of this Section regarding the purchase  | 
or possession of large capacity ammunition feeding devices, as  | 
well as the provisions of this Section that prohibit causing  | 
those items to be purchased or possessed, do not apply to: | 
  (1) Peace officers as defined in Section 2-13 of this  | 
 Code. | 
  (2) Qualified law enforcement officers and qualified  | 
 retired law enforcement officers as defined in the Law  | 
 Enforcement Officers Safety Act of 2004 (18 U.S.C. 926B  | 
 and 926C) and as recognized under Illinois law.  | 
  (3) A federal, State, or local law enforcement agency  | 
 for the purpose of equipping the agency's peace officers  | 
 as defined in paragraph (1) or (2) of this subsection (e).  | 
  (4) Wardens, superintendents, and keepers of prisons,  | 
 penitentiaries, jails, and other institutions for the  | 
 detention of persons accused or convicted of an offense. | 
  (5) Members of the Armed Services or Reserve Forces of  | 
 the United States or the Illinois National Guard, while  | 
 performing their official duties or while traveling to or  | 
 from their places of duty. | 
 | 
  (6) Any company that employs armed security officers  | 
 in this State at a nuclear energy, storage, weapons, or  | 
 development site or facility regulated by the federal  | 
 Nuclear Regulatory Commission and any person employed as  | 
 an armed security force member at a nuclear energy,  | 
 storage, weapons, or development site or facility  | 
 regulated by the federal Nuclear Regulatory Commission who  | 
 has completed the background screening and training  | 
 mandated by the rules and regulations of the federal  | 
 Nuclear Regulatory Commission and while performing  | 
 official duties.  | 
  (7) Any private security contractor agency licensed  | 
 under the Private Detective, Private Alarm, Private  | 
 Security, Fingerprint Vendor, and Locksmith Act of 2004  | 
 that employs private security contractors and any private  | 
 security contractor who is licensed and has been issued a  | 
 firearm control card under the Private Detective, Private  | 
 Alarm, Private Security, Fingerprint Vendor, and Locksmith  | 
 Act of 2004 while performing official duties.  | 
 (f) This Section does not apply to or affect any of the  | 
following:  | 
  (1) Manufacture, delivery, sale, importation,  | 
 purchase, or possession or causing to be manufactured,  | 
 delivered, sold, imported, purchased, or possessed a large  | 
 capacity ammunition feeding device: | 
   (A) for sale or transfer to persons authorized  | 
 | 
 under subdivisions (1) through (7) of subsection (e)  | 
 to possess those items; | 
   (B) for sale or transfer to the United States or  | 
 any department or agency thereof; or | 
   (C) for sale or transfer in another state or for  | 
 export. | 
  (2) Sale or rental of large capacity ammunition  | 
 feeding devices for blank-firing assault weapons and .50  | 
 caliber rifles, to persons authorized or permitted, or  | 
 both authorized and permitted, to acquire these devices  | 
 for the purpose of rental for use solely as props for a  | 
 motion picture, television, or video production or  | 
 entertainment event.  | 
 (g) Sentence. A person who knowingly manufactures,  | 
delivers, sells, purchases, possesses, or causes to be  | 
manufactured, delivered, sold, possessed, or purchased in  | 
violation of this Section a large capacity ammunition feeding  | 
device capable of holding more than 10 rounds of ammunition  | 
for long guns or more than 15 rounds of ammunition for handguns  | 
commits a petty offense with a fine of $1,000 for each  | 
violation. | 
 (h) The Illinois Department of the State Police shall also  | 
develop and implement a public notice and public outreach  | 
campaign to promote awareness about the provisions of Public  | 
Act 102-1116 this amendatory Act of the 102nd General Assembly  | 
and to increase compliance with this Section.  | 
 | 
(Source: P.A. 102-1116, eff. 1-10-23; revised 4-6-23.)
 | 
 (720 ILCS 5/24-5.1) | 
 Sec. 24-5.1. Serialization of unfinished frames or  | 
receivers; prohibition on unserialized firearms; exceptions;  | 
penalties. | 
 (a) In this Section: | 
 "Bona fide supplier" means an established business entity  | 
engaged in the development and sale of firearms parts to one or  | 
more federal firearms manufacturers or federal firearms  | 
importers.  | 
 "Federal firearms dealer" means a licensed manufacturer  | 
pursuant to 18 U.S.C. 921(a)(11). | 
 "Federal firearms importer" means a licensed importer  | 
pursuant to 18 U.S.C. 921(a)(9). | 
 "Federal firearms manufacturer" means a licensed  | 
manufacturer pursuant to 18 U.S.C. 921(a)(10). | 
 "Frame or receiver" means a part of a firearm that, when  | 
the complete weapon is assembled, is visible from the exterior  | 
and provides housing or a structure designed to hold or  | 
integrate one or more fire control components, even if pins or  | 
other attachments are required to connect those components to  | 
the housing or structure. For models of firearms in which  | 
multiple parts provide such housing or structure, the part or  | 
parts that the Director of the federal Bureau of Alcohol,  | 
Tobacco, Firearms and Explosives has determined are a frame or  | 
 | 
receiver constitute the frame or receiver. For purposes of  | 
this definition, "fire control component" means a component  | 
necessary for the firearm to initiate, complete, or continue  | 
the firing sequence, including any of the following: hammer,  | 
bolt, bolt carrier, breechblock, cylinder, trigger mechanism,  | 
firing pin, striker, or slide rails. | 
 "Security exemplar" means an object to be fabricated at  | 
the direction of the United States Attorney General that is  | 
(1) constructed of 3.7 ounces of material type 17-4 PH  | 
stainless steel in a shape resembling a handgun and (2)  | 
suitable for testing and calibrating metal detectors.  | 
 "Three-dimensional printer" means a computer or  | 
computer-drive machine capable of producing a  | 
three-dimensional object from a digital model. | 
 "Undetectable firearm" means (1) a firearm constructed  | 
entirely of non-metal substances; (2) a firearm that, after  | 
removal of all parts but the major components of the firearm,  | 
is not detectable by walk-through metal detectors calibrated  | 
and operated to detect the security exemplar; or (3) a firearm  | 
that includes a major component of a firearm, which, if  | 
subject to the types of detection devices commonly used at  | 
airports for security screening, would not generate an image  | 
that accurately depicts the shape of the component.  | 
"Undetectable firearm" does not include a firearm subject to  | 
the provisions of 18 U.S.C. 922(p)(3) through (6).  | 
 "Unfinished frame or receiver" means any forging, casting,  | 
 | 
printing, extrusion, machined body, or similar article that: | 
  (1) has reached a stage in manufacture where it may  | 
 readily be completed, assembled, or converted to be a  | 
 functional firearm; or | 
  (2) is marketed or sold to the public to become or be  | 
 used as the frame or receiver of a functional firearm once  | 
 completed, assembled, or converted. | 
 "Unserialized" means lacking a serial number imprinted by: | 
  (1) a federal firearms manufacturer, federal firearms  | 
 importer, federal firearms dealer, or other federal  | 
 licensee authorized to provide marking services, pursuant  | 
 to a requirement under federal law; or | 
  (2) a federal firearms dealer or other federal  | 
 licensee authorized to provide marking services pursuant  | 
 to subsection (f) of this Section.  | 
 (b) It is unlawful for any person to knowingly sell, offer  | 
to sell, or transfer an unserialized unfinished frame or  | 
receiver or unserialized firearm, including those produced  | 
using a three-dimensional printer, unless the party purchasing  | 
or receiving the unfinished frame or receiver or unserialized  | 
firearm is a federal firearms importer, federal firearms  | 
manufacturer, or federal firearms dealer. | 
 (c) Beginning 180 days after May 18, 2022 (the effective  | 
date of Public Act 102-889) this amendatory Act of the 102nd  | 
General Assembly, it is unlawful for any person to knowingly  | 
possess, transport, or receive an unfinished frame or  | 
 | 
receiver, unless: | 
  (1) the party possessing or receiving the unfinished  | 
 frame or receiver is a federal firearms importer or  | 
 federal firearms manufacturer; | 
  (2) the unfinished frame or receiver is possessed or  | 
 transported by a person for transfer to a federal firearms  | 
 importer or federal firearms manufacturer; or | 
  (3) the unfinished frame or receiver has been  | 
 imprinted with a serial number issued by a federal  | 
 firearms importer or federal firearms manufacturer in  | 
 compliance with subsection (f) of this Section.  | 
 (d) Beginning 180 days after May 18, 2022 (the effective  | 
date of Public Act 102-889) this amendatory Act of the 102nd  | 
General Assembly, unless the party receiving the firearm is a  | 
federal firearms importer or federal firearms manufacturer, it  | 
is unlawful for any person to knowingly possess, purchase,  | 
transport, or receive a firearm that is not imprinted with a  | 
serial number by (1) a federal firearms importer or federal  | 
firearms manufacturer in compliance with all federal laws and  | 
regulations regulating the manufacture and import of firearms  | 
or (2) a federal firearms manufacturer, federal firearms  | 
dealer, or other federal licensee authorized to provide  | 
marking services in compliance with the unserialized firearm  | 
serialization process under subsection (f) of this Section.  | 
 (e) Any firearm or unfinished frame or receiver  | 
manufactured using a three-dimensional printer must also be  | 
 | 
serialized in accordance with the requirements of subsection  | 
(f) within 30 days after May 18, 2022 (the effective date of  | 
Public Act 102-889) this amendatory Act of the 102nd General  | 
Assembly, or prior to reaching a stage of manufacture where it  | 
may be readily completed, assembled, or converted to be a  | 
functional firearm. | 
 (f) Unserialized unfinished frames or receivers and  | 
unserialized firearms serialized pursuant to this Section  | 
shall be serialized in compliance with all of the following: | 
  (1) An unserialized unfinished frame or receiver and  | 
 unserialized firearm shall be serialized by a federally  | 
 licensed firearms dealer or other federal licensee  | 
 authorized to provide marking services with the licensee's  | 
 abbreviated federal firearms license number as a prefix  | 
 (which is the first 3 and last 5 digits) followed by a  | 
 hyphen, and then followed by a number as a suffix, such as  | 
 12345678-(number). The serial number or numbers must be  | 
 placed in a manner that accords with the requirements  | 
 under federal law for affixing serial numbers to firearms,  | 
 including the requirements that the serial number or  | 
 numbers be at the minimum size and depth, and not  | 
 susceptible to being readily obliterated, altered, or  | 
 removed, and the licensee must retain records that accord  | 
 with the requirements under federal law in the case of the  | 
 sale of a firearm. The imprinting of any serial number  | 
 upon an a undetectable firearm must be done on a steel  | 
 | 
 plaque in compliance with 18 U.S.C. 922(p). | 
  (2) Every federally licensed firearms dealer or other  | 
 federal licensee that engraves, casts, stamps, or  | 
 otherwise conspicuously and permanently places a unique  | 
 serial number pursuant to this Section shall maintain a  | 
 record of such indefinitely. Licensees subject to the  | 
 Firearm Dealer License Certification Act shall make all  | 
 records accessible for inspection upon the request of the  | 
 Illinois State Police or a law enforcement agency in  | 
 accordance with Section 5-35 of the Firearm Dealer License  | 
 Certification Act. | 
  (3) Every federally licensed firearms dealer or other  | 
 federal licensee that engraves, casts, stamps, or  | 
 otherwise conspicuously and permanently places a unique  | 
 serial number pursuant to this Section shall record it at  | 
 the time of every transaction involving the transfer of a  | 
 firearm, rifle, shotgun, finished frame or receiver, or  | 
 unfinished frame or receiver that has been so marked in  | 
 compliance with the federal guidelines set forth in 27 CFR  | 
 478.124. | 
  (4) Every federally licensed firearms dealer or other  | 
 federal licensee that engraves, casts, stamps, or  | 
 otherwise conspicuously and permanently places a unique  | 
 serial number pursuant to this Section shall review and  | 
 confirm the validity of the owner's Firearm Owner's  | 
 Identification Card issued under the Firearm Owners  | 
 | 
 Identification Card Act prior to returning the firearm to  | 
 the owner. | 
 (g) Within 30 days after May 18, 2022 (the effective date  | 
of Public Act 102-889) this amendatory Act of the 102nd  | 
General Assembly, the Director of the Illinois State Police  | 
shall issue a public notice regarding the provisions of this  | 
Section. The notice shall include posting on the Illinois  | 
State Police website and may include written notification or  | 
any other means of communication statewide to all  | 
Illinois-based federal firearms manufacturers, federal  | 
firearms dealers, or other federal licensees authorized to  | 
provide marking services in compliance with the serialization  | 
process in subsection (f) in order to educate the public. | 
 (h) Exceptions. This Section does not apply to an  | 
unserialized unfinished frame or receiver or an unserialized  | 
firearm that: | 
  (1) has been rendered permanently inoperable; | 
  (2) is an antique firearm, as defined in 18 U.S.C.  | 
 921(a)(16); | 
  (3) was manufactured prior to October 22, 1968; | 
  (4) is an unfinished frame or receiver and is  | 
 possessed by a bona fide supplier exclusively for transfer  | 
 to a federal firearms manufacturer or federal firearms  | 
 importer, or is possessed by a federal firearms  | 
 manufacturer or federal firearms importer in compliance  | 
 with all federal laws and regulations regulating the  | 
 | 
 manufacture and import of firearms; except this exemption  | 
 does not apply if an unfinished frame or receiver is  | 
 possessed for transfer or is transferred to a person other  | 
 than a federal firearms manufacturer or federal firearms  | 
 importer; or  | 
  (5) is possessed by a person who received the  | 
 unserialized unfinished frame or receiver or unserialized  | 
 firearm through inheritance, and is not otherwise  | 
 prohibited from possessing the unserialized unfinished  | 
 frame or receiver or unserialized firearm, for a period  | 
 not exceeding 30 days after inheriting the unserialized  | 
 unfinished frame or receiver or unserialized firearm.  | 
 (i) Penalties. | 
  (1) A person who violates subsection (c) or (d) is  | 
 guilty of a Class A misdemeanor for a first violation and  | 
 is guilty of a Class 3 felony for a second or subsequent  | 
 violation. | 
  (2) A person who violates subsection (b) is guilty of  | 
 a Class 4 felony for a first violation and is guilty of a  | 
 Class 2 felony for a second or subsequent violation. | 
(Source: P.A. 102-889, eff. 5-18-22; revised 1-3-24.)
 | 
 Section 565. The Unified Code of Corrections is amended by  | 
changing Sections 3-2-13, 3-2.7-5, 3-2.7-10, 3-2.7-20,  | 
3-2.7-25, 3-2.7-30, 3-2.7-35, 3-2.7-40, 3-2.7-50, 3-2.7-55,  | 
3-5-1, 3-6-3, 3-8-10, 5-4-1, 5-4-3, 5-4.5-105, 5-6-3, 5-9-1.4,  | 
 | 
and 5-9-1.9 as follows:
 | 
 (730 ILCS 5/3-2-13) | 
 Sec. 3-2-13. Possession of a Firearm Owner's  | 
Identification Card. The Department of Corrections shall not  | 
make possession of a Firearm Owner's Identification Card a  | 
condition of continued employment as a Department employee  | 
authorized to possess firearms if the employee's Firearm  | 
Owner's Identification Card is revoked or seized because the  | 
employee has been a patient of a mental health facility and the  | 
employee has not been determined to pose a clear and present  | 
danger to himself, herself, or others as determined by a  | 
physician, clinical psychologist, or qualified examiner.  | 
Nothing in is this Section shall otherwise impair the  | 
Department's ability to determine an employee's fitness for  | 
duty. A collective bargaining agreement already in effect on  | 
this issue on January 1, 2022 (the effective date of Public Act  | 
102-645) this amendatory Act of the 102nd General Assembly  | 
cannot be modified, but on or after January 1, 2022 (the  | 
effective date of Public Act 102-645) this amendatory Act of  | 
the 102nd General Assembly, the Department cannot require a  | 
Firearm Owner's Identification Card as a condition of  | 
continued employment in a collective bargaining agreement. The  | 
Department shall document if and why an employee has been  | 
determined to pose a clear and present danger. In this  | 
Section, "mental health facility" and "qualified examiner"  | 
 | 
have the meanings provided in the Mental Health and  | 
Developmental Disabilities Code. | 
(Source: P.A. 102-645, eff. 1-1-22; revised 4-6-23.)
 | 
 (730 ILCS 5/3-2.7-5) | 
 (Text of Section before amendment by P.A. 103-397) | 
 Sec. 3-2.7-5. Purpose. The purpose of this Article is to  | 
create within the Department of Juvenile Justice the Office of  | 
Independent Juvenile Ombudsperson for the purpose of securing  | 
the rights of youth committed to the Department of Juvenile  | 
Justice, including youth released on aftercare before final  | 
discharge. | 
(Source: P.A. 103-22, eff. 8-8-23.)
 | 
 (Text of Section after amendment by P.A. 103-397) | 
 Sec. 3-2.7-5. Purpose. The purpose of this Article is to  | 
create within the Department of Juvenile Justice the Office of  | 
Independent Juvenile Ombudsperson for the purpose of securing  | 
the rights of youth committed to the Department of Juvenile  | 
Justice and county-operated juvenile detention centers,  | 
including youth released on aftercare before final discharge. | 
(Source: P.A. 103-22, eff. 8-8-23; 103-397, eff. 1-1-25;  | 
revised 9-14-23.)
 | 
 (730 ILCS 5/3-2.7-10) | 
 (Text of Section before amendment by P.A. 103-397) | 
 | 
 Sec. 3-2.7-10. Definitions. In this Article, unless the  | 
context requires otherwise: | 
 "Department" means the Department of Juvenile Justice.  | 
 "Immediate family or household member" means the spouse,  | 
child, parent, brother, sister, grandparent, or grandchild,  | 
whether of the whole blood or half blood or by adoption, or a  | 
person who shares a common dwelling.  | 
 "Juvenile justice system" means all activities by public  | 
or private agencies or persons pertaining to youth involved in  | 
or having contact with the police, courts, or corrections. | 
 "Office" means the Office of the Independent Juvenile  | 
Ombudsperson. | 
 "Ombudsperson" means the Department of Juvenile Justice  | 
Independent Juvenile Ombudsperson. | 
 "Youth" means any person committed by court order to the  | 
custody of the Department of Juvenile Justice, including youth  | 
released on aftercare before final discharge.  | 
(Source: P.A. 103-22, eff. 8-8-23.)
 | 
 (Text of Section after amendment by P.A. 103-397) | 
 Sec. 3-2.7-10. Definitions. In this Article, unless the  | 
context requires otherwise: | 
 "County-operated juvenile detention center" means any  | 
shelter care home or detention home as "shelter" and  | 
"detention" are defined in Section 1.1 of the County Shelter  | 
Care and Detention Home Act and any other facility that  | 
 | 
detains youth in the juvenile justice system that is  | 
specifically designated to detain or incarcerate youth.  | 
"County-operated juvenile detention center" does not include  | 
police or other temporary law enforcement holding locations.  | 
 "Department" means the Department of Juvenile Justice.  | 
 "Immediate family or household member" means the spouse,  | 
child, parent, brother, sister, grandparent, or grandchild,  | 
whether of the whole blood or half blood or by adoption, or a  | 
person who shares a common dwelling.  | 
 "Juvenile justice system" means all activities by public  | 
or private agencies or persons pertaining to youth involved in  | 
or having contact with the police, courts, or corrections. | 
 "Office" means the Office of the Independent Juvenile  | 
Ombudsperson. | 
 "Ombudsperson" means the Department of Juvenile Justice  | 
Independent Juvenile Ombudsperson. | 
 "Youth" means any person committed by court order to the  | 
custody of the Department of Juvenile Justice or a  | 
county-operated juvenile detention center, including youth  | 
released on aftercare before final discharge.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-397, eff. 1-1-25;  | 
revised 9-14-23.)
 | 
 (730 ILCS 5/3-2.7-20) | 
 (Text of Section before amendment by P.A. 103-397) | 
 Sec. 3-2.7-20. Conflicts of interest. A person may not  | 
 | 
serve as Ombudsperson or as a deputy if the person or the  | 
person's immediate family or household member: | 
  (1) is or has been employed by the Department of  | 
 Juvenile Justice or Department of Corrections within one  | 
 year prior to appointment, other than as Ombudsperson or  | 
 Deputy Ombudsperson; | 
  (2) participates in the management of a business  | 
 entity or other organization receiving funds from the  | 
 Department of Juvenile Justice; | 
  (3) owns or controls, directly or indirectly, any  | 
 interest in a business entity or other organization  | 
 receiving funds from the Department of Juvenile Justice; | 
  (4) uses or receives any amount of tangible goods,  | 
 services, or funds from the Department of Juvenile  | 
 Justice, other than as Ombudsperson or Deputy  | 
 Ombudsperson; or | 
  (5) is required to register as a lobbyist for an  | 
 organization that interacts with the juvenile justice  | 
 system.  | 
(Source: P.A. 103-22, eff. 8-8-23.)
 | 
 (Text of Section after amendment by P.A. 103-397) | 
 Sec. 3-2.7-20. Conflicts of interest. A person may not  | 
serve as Ombudsperson or as a deputy if the person or the  | 
person's immediate family or household member: | 
  (1) is or has been employed by the Department of  | 
 | 
 Juvenile Justice, Department of Corrections, or a  | 
 county-operated juvenile detention center within one year  | 
 prior to appointment, other than as Ombudsperson or Deputy  | 
 Ombudsperson; | 
  (2) participates in the management of a business  | 
 entity or other organization receiving funds from the  | 
 Department of Juvenile Justice or a county-operated  | 
 juvenile detention center; | 
  (3) owns or controls, directly or indirectly, any  | 
 interest in a business entity or other organization  | 
 receiving funds from the Department of Juvenile Justice or  | 
 a county-operated juvenile detention center; | 
  (4) uses or receives any amount of tangible goods,  | 
 services, or funds from the Department of Juvenile Justice  | 
 or a county-operated juvenile detention center, other than  | 
 as Ombudsperson or Deputy Ombudsperson; or | 
  (5) is required to register as a lobbyist for an  | 
 organization that interacts with the juvenile justice  | 
 system.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-397, eff. 1-1-25;  | 
revised 9-14-23.)
 | 
 (730 ILCS 5/3-2.7-25) | 
 (Text of Section before amendment by P.A. 103-397) | 
 Sec. 3-2.7-25. Duties and powers. | 
 (a) The Independent Juvenile Ombudsperson shall function  | 
 | 
independently within the Department of Juvenile Justice with  | 
respect to the operations of the Office in performance of the  | 
Ombudsperson's duties under this Article and shall report to  | 
the Governor. The Ombudsperson shall adopt rules and standards  | 
as may be necessary or desirable to carry out the  | 
Ombudsperson's duties. Funding for the Office shall be  | 
designated separately within Department funds. The Department  | 
shall provide necessary administrative services and facilities  | 
to the Office of the Independent Juvenile Ombudsperson. | 
 (b) The Office of Independent Juvenile Ombudsperson shall  | 
have the following duties: | 
  (1) review and monitor the implementation of the rules  | 
 and standards established by the Department of Juvenile  | 
 Justice and evaluate the delivery of services to youth to  | 
 ensure that the rights of youth are fully observed; | 
  (2) provide assistance to a youth or family whom the  | 
 Ombudsperson determines is in need of assistance,  | 
 including advocating with an agency, provider, or other  | 
 person in the best interests of the youth; | 
  (3) investigate and attempt to resolve complaints made  | 
 by or on behalf of youth, other than complaints alleging  | 
 criminal behavior or violations of the State Officials and  | 
 Employees Ethics Act, if the Office determines that the  | 
 investigation and resolution would further the purpose of  | 
 the Office, and: | 
   (A) a youth committed to the Department of  | 
 | 
 Juvenile Justice or the youth's family is in need of  | 
 assistance from the Office; or | 
   (B) a systemic issue in the Department of Juvenile  | 
 Justice's provision of services is raised by a  | 
 complaint; | 
  (4) review or inspect periodically the facilities and  | 
 procedures of any facility in which a youth has been  | 
 placed by the Department of Juvenile Justice to ensure  | 
 that the rights of youth are fully observed; and | 
  (5) be accessible to and meet confidentially and  | 
 regularly with youth committed to the Department and serve  | 
 as a resource by informing them of pertinent laws, rules,  | 
 and policies, and their rights thereunder. | 
 (c) The following cases shall be reported immediately to  | 
the Director of Juvenile Justice and the Governor: | 
  (1) cases of severe abuse or injury of a youth; | 
  (2) serious misconduct, misfeasance, malfeasance, or  | 
 serious violations of policies and procedures concerning  | 
 the administration of a Department of Juvenile Justice  | 
 program or operation; | 
  (3) serious problems concerning the delivery of  | 
 services in a facility operated by or under contract with  | 
 the Department of Juvenile Justice; | 
  (4) interference by the Department of Juvenile Justice  | 
 with an investigation conducted by the Office; and | 
  (5) other cases as deemed necessary by the  | 
 | 
 Ombudsperson.  | 
 (d) Notwithstanding any other provision of law, the  | 
Ombudsperson may not investigate alleged criminal behavior or  | 
violations of the State Officials and Employees Ethics Act. If  | 
the Ombudsperson determines that a possible criminal act has  | 
been committed, or that special expertise is required in the  | 
investigation, the Ombudsperson shall immediately notify the  | 
Illinois State Police. If the Ombudsperson determines that a  | 
possible violation of the State Officials and Employees Ethics  | 
Act has occurred, the Ombudsperson shall immediately refer the  | 
incident to the Office of the Governor's Executive Inspector  | 
General for investigation. If the Ombudsperson receives a  | 
complaint from a youth or third party regarding suspected  | 
abuse or neglect of a child, the Ombudsperson shall refer the  | 
incident to the Child Abuse and Neglect Hotline or to the  | 
Illinois State Police as mandated by the Abused and Neglected  | 
Child Reporting Act. Any investigation conducted by the  | 
Ombudsperson shall not be duplicative and shall be separate  | 
from any investigation mandated by the Abused and Neglected  | 
Child Reporting Act. All investigations conducted by the  | 
Ombudsperson shall be conducted in a manner designed to ensure  | 
the preservation of evidence for possible use in a criminal  | 
prosecution. | 
 (e) In performance of the Ombudsperson's duties, the  | 
Ombudsperson may: | 
  (1) review court files of youth; | 
 | 
  (2) recommend policies, rules, and legislation  | 
 designed to protect youth; | 
  (3) make appropriate referrals under any of the duties  | 
 and powers listed in this Section; | 
  (4) attend internal administrative and disciplinary  | 
 hearings to ensure the rights of youth are fully observed  | 
 and advocate for the best interest of youth when deemed  | 
 necessary; and | 
  (5) perform other acts, otherwise permitted or  | 
 required by law, in furtherance of the purpose of the  | 
 Office. | 
 (f) To assess if a youth's rights have been violated, the  | 
Ombudsperson may, in any matter that does not involve alleged  | 
criminal behavior, contact or consult with an administrator,  | 
employee, youth, parent, expert, or any other individual in  | 
the course of the Ombudsperson's investigation or to secure  | 
information as necessary to fulfill the Ombudsperson's duties. | 
(Source: P.A. 102-538, eff. 8-20-21; 103-22, eff. 8-8-23.)
 | 
 (Text of Section after amendment by P.A. 103-397) | 
 Sec. 3-2.7-25. Duties and powers. | 
 (a) The Independent Juvenile Ombudsperson shall function  | 
independently within the Department of Juvenile Justice and  | 
county-operated juvenile detention centers with respect to the  | 
operations of the Office in performance of the Ombudsperson's  | 
duties under this Article and shall report to the Governor and  | 
 | 
to local authorities as provided in Section 3-2.7-50. The  | 
Ombudsperson shall adopt rules and standards as may be  | 
necessary or desirable to carry out the Ombudsperson's duties.  | 
Funding for the Office shall be designated separately within  | 
Department funds and shall include funds for operations at  | 
county-operated juvenile detention centers. The Department  | 
shall provide necessary administrative services and facilities  | 
to the Office of the Independent Juvenile Ombudsperson.  | 
County-operated juvenile detention centers shall provide  | 
necessary administrative services and space, upon request,  | 
inside the facility to the Office of the Independent Juvenile  | 
Ombudsperson Ombudsman to meet confidentially with youth and  | 
otherwise in performance of the Ombudsperson's his or her  | 
duties under this Article. | 
 (b) The Office of Independent Juvenile Ombudsperson shall  | 
have the following duties: | 
  (1) review and monitor the implementation of the rules  | 
 and standards established by the Department of Juvenile  | 
 Justice and county-operated juvenile detention centers and  | 
 evaluate the delivery of services to youth to ensure that  | 
 the rights of youth are fully observed; | 
  (2) provide assistance to a youth or family whom the  | 
 Ombudsperson determines is in need of assistance,  | 
 including advocating with an agency, provider, or other  | 
 person in the best interests of the youth; | 
  (3) investigate and attempt to resolve complaints made  | 
 | 
 by or on behalf of youth, other than complaints alleging  | 
 criminal behavior or violations of the State Officials and  | 
 Employees Ethics Act, if the Office determines that the  | 
 investigation and resolution would further the purpose of  | 
 the Office, and: | 
   (A) a youth committed to the Department of  | 
 Juvenile Justice or a county-operated juvenile  | 
 detention center or the youth's family is in need of  | 
 assistance from the Office; or | 
   (B) a systemic issue in the Department of Juvenile  | 
 Justice's or county-operated juvenile detention  | 
 center's provision of services is raised by a  | 
 complaint; | 
  (4) review or inspect periodically the facilities and  | 
 procedures of any county-operated juvenile detention  | 
 center or any facility in which a youth has been placed by  | 
 the Department of Juvenile Justice to ensure that the  | 
 rights of youth are fully observed; and | 
  (5) be accessible to and meet confidentially and  | 
 regularly with youth committed to the Department or a  | 
 county-operated juvenile detention center and serve as a  | 
 resource by informing them of pertinent laws, rules, and  | 
 policies, and their rights thereunder. | 
 (c) The following cases shall be reported immediately to  | 
the Director of Juvenile Justice and the Governor, and for  | 
cases that arise in county-operated juvenile detention  | 
 | 
centers, to the chief judge of the applicable judicial circuit  | 
and the Director of the Administrative Office of the Illinois  | 
Courts: | 
  (1) cases of severe abuse or injury of a youth; | 
  (2) serious misconduct, misfeasance, malfeasance, or  | 
 serious violations of policies and procedures concerning  | 
 the administration of a Department of Juvenile Justice or  | 
 county-operated juvenile detention center program or  | 
 operation; | 
  (3) serious problems concerning the delivery of  | 
 services in a county-operated juvenile detention center or  | 
 a facility operated by or under contract with the  | 
 Department of Juvenile Justice; | 
  (4) interference by the Department of Juvenile Justice  | 
 or county-operated juvenile detention center with an  | 
 investigation conducted by the Office; and | 
  (5) other cases as deemed necessary by the  | 
 Ombudsperson.  | 
 (d) Notwithstanding any other provision of law, the  | 
Ombudsperson may not investigate alleged criminal behavior or  | 
violations of the State Officials and Employees Ethics Act. If  | 
the Ombudsperson determines that a possible criminal act has  | 
been committed, or that special expertise is required in the  | 
investigation, the Ombudsperson shall immediately notify the  | 
Illinois State Police. If the Ombudsperson determines that a  | 
possible violation of the State Officials and Employees Ethics  | 
 | 
Act has occurred, the Ombudsperson shall immediately refer the  | 
incident to the Office of the Governor's Executive Inspector  | 
General for investigation. If the Ombudsperson receives a  | 
complaint from a youth or third party regarding suspected  | 
abuse or neglect of a child, the Ombudsperson shall refer the  | 
incident to the Child Abuse and Neglect Hotline or to the  | 
Illinois State Police as mandated by the Abused and Neglected  | 
Child Reporting Act. Any investigation conducted by the  | 
Ombudsperson shall not be duplicative and shall be separate  | 
from any investigation mandated by the Abused and Neglected  | 
Child Reporting Act. All investigations conducted by the  | 
Ombudsperson shall be conducted in a manner designed to ensure  | 
the preservation of evidence for possible use in a criminal  | 
prosecution. | 
 (e) In performance of the Ombudsperson's duties, the  | 
Ombudsperson may: | 
  (1) review court files of youth; | 
  (2) recommend policies, rules, and legislation  | 
 designed to protect youth; | 
  (3) make appropriate referrals under any of the duties  | 
 and powers listed in this Section; | 
  (4) attend internal administrative and disciplinary  | 
 hearings to ensure the rights of youth are fully observed  | 
 and advocate for the best interest of youth when deemed  | 
 necessary; and | 
  (5) perform other acts, otherwise permitted or  | 
 | 
 required by law, in furtherance of the purpose of the  | 
 Office. | 
 (f) To assess if a youth's rights have been violated, the  | 
Ombudsperson may, in any matter that does not involve alleged  | 
criminal behavior, contact or consult with an administrator,  | 
employee, youth, parent, expert, or any other individual in  | 
the course of the Ombudsperson's investigation or to secure  | 
information as necessary to fulfill the Ombudsperson's duties. | 
(Source: P.A. 102-538, eff. 8-20-21; 103-22, eff. 8-8-23;  | 
103-397, eff. 1-1-25; revised 9-14-23.)
 | 
 (730 ILCS 5/3-2.7-30) | 
 (Text of Section before amendment by P.A. 103-397) | 
 Sec. 3-2.7-30. Duties of the Department of Juvenile  | 
Justice. | 
 (a) The Department of Juvenile Justice shall allow any  | 
youth to communicate with the Ombudsperson or a deputy at any  | 
time. The communication:  | 
  (1) may be in person, by phone, by mail, or by any  | 
 other means deemed appropriate in light of security  | 
 concerns; and | 
  (2) is confidential and privileged.  | 
 (b) The Department shall allow the Ombudsperson and  | 
deputies full and unannounced access to youth and Department  | 
facilities at any time. The Department shall furnish the  | 
Ombudsperson and deputies with appropriate meeting space in  | 
 | 
each facility in order to preserve confidentiality.  | 
 (c) The Department shall allow the Ombudsperson and  | 
deputies to participate in professional development  | 
opportunities provided by the Department of Juvenile Justice  | 
as practical and to attend appropriate professional training  | 
when requested by the Ombudsperson. | 
 (d) The Department shall provide the Ombudsperson copies  | 
of critical incident reports involving a youth residing in a  | 
facility operated by the Department. Critical incidents  | 
include, but are not limited to, severe injuries that result  | 
in hospitalization, suicide attempts that require medical  | 
intervention, sexual abuse, and escapes. | 
 (e) The Department shall provide the Ombudsperson with  | 
reasonable advance notice of all internal administrative and  | 
disciplinary hearings regarding a youth residing in a facility  | 
operated by the Department. | 
 (f) The Department of Juvenile Justice may not discharge,  | 
demote, discipline, or in any manner discriminate or retaliate  | 
against a youth or an employee who in good faith makes a  | 
complaint to the Office of the Independent Juvenile  | 
Ombudsperson or cooperates with the Office.  | 
(Source: P.A. 103-22, eff. 8-8-23.)
 | 
 (Text of Section after amendment by P.A. 103-397) | 
 Sec. 3-2.7-30. Duties of the Department of Juvenile  | 
Justice or county-operated juvenile detention center. | 
 | 
 (a) The Department of Juvenile Justice and every  | 
county-operated juvenile detention center shall allow any  | 
youth to communicate with the Ombudsperson or a deputy at any  | 
time. The communication:  | 
  (1) may be in person, by phone, by mail, or by any  | 
 other means deemed appropriate in light of security  | 
 concerns; and | 
  (2) is confidential and privileged.  | 
 (b) The Department and county-operated juvenile detention  | 
centers shall allow the Ombudsperson and deputies full and  | 
unannounced access to youth and Department facilities and  | 
county-operated juvenile detention centers at any time. The  | 
Department and county-operated juvenile detention centers  | 
shall furnish the Ombudsperson and deputies with appropriate  | 
meeting space in each facility in order to preserve  | 
confidentiality.  | 
 (c) The Department and county-operated juvenile detention  | 
centers shall allow the Ombudsperson and deputies to  | 
participate in professional development opportunities provided  | 
by the Department of Juvenile Justice and county-operated  | 
juvenile detention centers as practical and to attend  | 
appropriate professional training when requested by the  | 
Ombudsperson. | 
 (d) The Department and county-operated juvenile detention  | 
centers shall provide the Ombudsperson copies of critical  | 
incident reports involving a youth residing in a facility  | 
 | 
operated by the Department or a county-operated juvenile  | 
detention center. Critical incidents include, but are not  | 
limited to, severe injuries that result in hospitalization,  | 
suicide attempts that require medical intervention, sexual  | 
abuse, and escapes. | 
 (e) The Department and county-operated juvenile detention  | 
centers shall provide the Ombudsperson with reasonable advance  | 
notice of all internal administrative and disciplinary  | 
hearings regarding a youth residing in a facility operated by  | 
the Department or a county-operated juvenile detention center. | 
 (f) The Department of Juvenile Justice and county-operated  | 
juvenile detention centers may not discharge, demote,  | 
discipline, or in any manner discriminate or retaliate against  | 
a youth or an employee who in good faith makes a complaint to  | 
the Office of the Independent Juvenile Ombudsperson or  | 
cooperates with the Office.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-397, eff. 1-1-25;  | 
revised 9-14-23.)
 | 
 (730 ILCS 5/3-2.7-35) | 
 (Text of Section before amendment by P.A. 103-397) | 
 Sec. 3-2.7-35. Reports. The Independent Juvenile  | 
Ombudsperson shall provide to the General Assembly and the  | 
Governor, no later than January 1 of each year, a summary of  | 
activities done in furtherance of the purpose of the Office  | 
for the prior fiscal year. The summaries shall contain data  | 
 | 
both aggregated and disaggregated by individual facility and  | 
describe: | 
  (1) the work of the Ombudsperson; | 
  (2) the status of any review or investigation  | 
 undertaken by the Ombudsperson, but may not contain any  | 
 confidential or identifying information concerning the  | 
 subjects of the reports and investigations; and | 
  (3) any recommendations that the Independent Juvenile  | 
 Ombudsperson has relating to a systemic issue in the  | 
 Department of Juvenile Justice's provision of services and  | 
 any other matters for consideration by the General  | 
 Assembly and the Governor. | 
(Source: P.A. 103-22, eff. 8-8-23.)
 | 
 (Text of Section after amendment by P.A. 103-397) | 
 Sec. 3-2.7-35. Reports. The Independent Juvenile  | 
Ombudsperson shall provide to the General Assembly and the  | 
Governor, no later than January 1 of each year, a summary of  | 
activities done in furtherance of the purpose of the Office  | 
for the prior fiscal year. The summaries shall contain data  | 
both aggregated and disaggregated by individual facility and  | 
describe: | 
  (1) the work of the Ombudsperson; | 
  (2) the status of any review or investigation  | 
 undertaken by the Ombudsperson, but may not contain any  | 
 confidential or identifying information concerning the  | 
 | 
 subjects of the reports and investigations; and | 
  (3) any recommendations that the Independent Juvenile  | 
 Ombudsperson has relating to a systemic issue in the  | 
 Department of Juvenile Justice's or a county-operated  | 
 juvenile detention center's provision of services and any  | 
 other matters for consideration by the General Assembly  | 
 and the Governor. | 
 With respect to county-operated juvenile detention  | 
centers, the Ombudsperson Ombudsman shall provide data  | 
responsive to paragraphs (1) through (3) to the chief judge of  | 
the applicable judicial circuit and to the Director of the  | 
Administrative Office of the Illinois Courts, and shall make  | 
the data publicly available.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-397, eff. 1-1-25;  | 
revised 9-14-23.)
 | 
 (730 ILCS 5/3-2.7-40) | 
 (Text of Section before amendment by P.A. 103-397) | 
 Sec. 3-2.7-40. Complaints. The Office of Independent  | 
Juvenile Ombudsperson shall promptly and efficiently act on  | 
complaints made by or on behalf of youth filed with the Office  | 
that relate to the operations or staff of the Department of  | 
Juvenile Justice. The Office shall maintain information about  | 
parties to the complaint, the subject matter of the complaint,  | 
a summary of the results of the review or investigation of the  | 
complaint, including any resolution of or recommendations made  | 
 | 
as a result of the complaint. The Office shall make  | 
information available describing its procedures for complaint  | 
investigation and resolution. When applicable, the Office  | 
shall notify the complaining youth that an investigation and  | 
resolution may result in or will require disclosure of the  | 
complaining youth's identity. The Office shall periodically  | 
notify the complaint parties of the status of the complaint  | 
until final disposition. | 
(Source: P.A. 103-22, eff. 8-8-23.)
 | 
 (Text of Section after amendment by P.A. 103-397) | 
 Sec. 3-2.7-40. Complaints. The Office of Independent  | 
Juvenile Ombudsperson shall promptly and efficiently act on  | 
complaints made by or on behalf of youth filed with the Office  | 
that relate to the operations or staff of the Department of  | 
Juvenile Justice or a county-operated juvenile detention  | 
center. The Office shall maintain information about parties to  | 
the complaint, the subject matter of the complaint, a summary  | 
of the results of the review or investigation of the  | 
complaint, including any resolution of or recommendations made  | 
as a result of the complaint. The Office shall make  | 
information available describing its procedures for complaint  | 
investigation and resolution. When applicable, the Office  | 
shall notify the complaining youth that an investigation and  | 
resolution may result in or will require disclosure of the  | 
complaining youth's identity. The Office shall periodically  | 
 | 
notify the complaint parties of the status of the complaint  | 
until final disposition. | 
(Source: P.A. 103-22, eff. 8-8-23; 103-397, eff. 1-1-25;  | 
revised 9-18-23.)
 | 
 (730 ILCS 5/3-2.7-50) | 
 (Text of Section before amendment by P.A. 103-397) | 
 Sec. 3-2.7-50. Promotion and awareness of Office.  The  | 
Independent Juvenile Ombudsperson shall promote awareness  | 
among the public and youth of: | 
  (1) the rights of youth committed to the Department; | 
  (2) the purpose of the Office;  | 
  (3) how the Office may be contacted; | 
  (4) the confidential nature of communications; and | 
  (5) the services the Office provides.  | 
(Source: P.A. 103-22, eff. 8-8-23.)
 | 
 (Text of Section after amendment by P.A. 103-397) | 
 Sec. 3-2.7-50. Promotion and awareness of Office.  The  | 
Independent Juvenile Ombudsperson shall promote awareness  | 
among the public and youth of: | 
  (1) the rights of youth committed to the Department  | 
 and county-operated juvenile detention centers; | 
  (2) the purpose of the Office;  | 
  (3) how the Office may be contacted; | 
  (4) the confidential nature of communications; and | 
 | 
  (5) the services the Office provides.  | 
(Source: P.A. 103-22, eff. 8-8-23; 103-397, eff. 1-1-25;  | 
revised 9-18-23.)
 | 
 (730 ILCS 5/3-2.7-55) | 
 (Text of Section before amendment by P.A. 103-397) | 
 Sec. 3-2.7-55. Access to information of governmental  | 
entities. The Department of Juvenile Justice shall provide the  | 
Independent Juvenile Ombudsperson unrestricted access to all  | 
master record files of youth under Section 3-5-1 of this Code.  | 
Access to educational, social, psychological, mental health,  | 
substance abuse, and medical records shall not be disclosed  | 
except as provided in Section 5-910 of the Juvenile Court Act  | 
of 1987, the Mental Health and Developmental Disabilities  | 
Confidentiality Act, the School Code, and any applicable  | 
federal laws that govern access to those records. | 
(Source: P.A. 103-22, eff. 8-8-23.)
 | 
 (Text of Section after amendment by P.A. 103-397) | 
 Sec. 3-2.7-55. Access to information of governmental  | 
entities. The Department of Juvenile Justice and  | 
county-operated juvenile detention centers shall provide the  | 
Independent Juvenile Ombudsperson unrestricted access to all  | 
master record files of youth under Section 3-5-1 of this Code  | 
or any other files of youth in the custody of county-operated  | 
juvenile detention centers, or both. Access to educational,  | 
 | 
social, psychological, mental health, substance abuse, and  | 
medical records shall not be disclosed except as provided in  | 
Section 5-910 of the Juvenile Court Act of 1987, the Mental  | 
Health and Developmental Disabilities Confidentiality Act, the  | 
School Code, and any applicable federal laws that govern  | 
access to those records. | 
(Source: P.A. 103-22, eff. 8-8-23; 103-397, eff. 1-1-25;  | 
revised 9-15-23.)
 | 
 (730 ILCS 5/3-5-1) | 
 Sec. 3-5-1. Master record file.  | 
 (a) The Department of Corrections and the Department of  | 
Juvenile Justice shall maintain a master record file on each  | 
person committed to it, which shall contain the following  | 
information: | 
  (1) all information from the committing court; | 
  (1.5) ethnic and racial background data collected in  | 
 accordance with Section 4.5 of the Criminal Identification  | 
 Act and Section 2-5 of the No Representation Without  | 
 Population Act;  | 
  (1.6) the committed person's last known complete  | 
 street address prior to incarceration or legal residence  | 
 collected in accordance with Section 2-5 of the No  | 
 Representation Without Population Act;  | 
  (2) reception summary; | 
  (3) evaluation and assignment reports and  | 
 | 
 recommendations; | 
  (4) reports as to program assignment and progress; | 
  (5) reports of disciplinary infractions and  | 
 disposition, including tickets and Administrative Review  | 
 Board action; | 
  (6) any parole or aftercare release plan; | 
  (7) any parole or aftercare release reports; | 
  (8) the date and circumstances of final discharge;  | 
  (9) criminal history; | 
  (10) current and past gang affiliations and ranks; | 
  (11) information regarding associations and family  | 
 relationships; | 
  (12) any grievances filed and responses to those  | 
 grievances; | 
  (13) other information that the respective Department  | 
 determines is relevant to the secure confinement and  | 
 rehabilitation of the committed person; | 
  (14) the last known address provided by the person  | 
 committed; and  | 
  (15) all medical and dental records.  | 
 (b) All files shall be confidential and access shall be  | 
limited to authorized personnel of the respective Department  | 
or by disclosure in accordance with a court order or subpoena.  | 
Personnel of other correctional, welfare or law enforcement  | 
agencies may have access to files under rules and regulations  | 
of the respective Department. The respective Department shall  | 
 | 
keep a record of all outside personnel who have access to  | 
files, the files reviewed, any file material copied, and the  | 
purpose of access. If the respective Department or the  | 
Prisoner Review Board makes a determination under this Code  | 
which affects the length of the period of confinement or  | 
commitment, the committed person and his counsel shall be  | 
advised of factual information relied upon by the respective  | 
Department or Board to make the determination, provided that  | 
the Department or Board shall not be required to advise a  | 
person committed to the Department of Juvenile Justice any  | 
such information which in the opinion of the Department of  | 
Juvenile Justice or Board would be detrimental to his  | 
treatment or rehabilitation. | 
 (c) The master file shall be maintained at a place  | 
convenient to its use by personnel of the respective  | 
Department in charge of the person. When custody of a person is  | 
transferred from the Department to another department or  | 
agency, a summary of the file shall be forwarded to the  | 
receiving agency with such other information required by law  | 
or requested by the agency under rules and regulations of the  | 
respective Department. | 
 (d) The master file of a person no longer in the custody of  | 
the respective Department shall be placed on inactive status  | 
and its use shall be restricted subject to rules and  | 
regulations of the Department. | 
 (e) All public agencies may make available to the  | 
 | 
respective Department on request any factual data not  | 
otherwise privileged as a matter of law in their possession in  | 
respect to individuals committed to the respective Department. | 
 (f) A committed person may request a summary of the  | 
committed person's master record file once per year and the  | 
committed person's attorney may request one summary of the  | 
committed person's master record file once per year. The  | 
Department shall create a form for requesting this summary,  | 
and shall make that form available to committed persons and to  | 
the public on its website. Upon receipt of the request form,  | 
the Department shall provide the summary within 15 days. The  | 
summary must contain, unless otherwise prohibited by law: | 
  (1) the person's name, ethnic, racial, last known  | 
 street address prior to incarceration or legal residence,  | 
 and other identifying information; | 
  (2) all digitally available information from the  | 
 committing court; | 
  (3) all information in the Offender 360 system on the  | 
 person's criminal history; | 
  (4) the person's complete assignment history in the  | 
 Department of Corrections; | 
  (5) the person's disciplinary card; | 
  (6) additional records about up to 3 specific  | 
 disciplinary incidents as identified by the requester; | 
  (7) any available records about up to 5 specific  | 
 grievances filed by the person, as identified by the  | 
 | 
 requester; and | 
  (8) the records of all grievances filed on or after  | 
 January 1, 2023. | 
 Notwithstanding any provision of this subsection (f) to  | 
the contrary, a committed person's master record file is not  | 
subject to disclosure and copying under the Freedom of  | 
Information Act.  | 
 (g) Subject to appropriation, on or before July 1, 2025,  | 
the Department of Corrections shall digitalize all newly  | 
committed persons' master record files who become incarcerated  | 
and all other new information that the Department maintains  | 
concerning its correctional institutions, facilities, and  | 
individuals incarcerated. | 
 (h) Subject to appropriation, on or before July 1, 2027,  | 
the Department of Corrections shall digitalize all medical and  | 
dental records in the master record files and all other  | 
information that the Department maintains concerning its  | 
correctional institutions and facilities in relation to  | 
medical records, dental records, and medical and dental needs  | 
of committed persons. | 
 (i) Subject to appropriation, on or before July 1, 2029,  | 
the Department of Corrections shall digitalize all information  | 
in the master record files and all other information that the  | 
Department maintains concerning its correctional institutions  | 
and facilities. | 
 (j) The Department of Corrections shall adopt rules to  | 
 | 
implement subsections (g), (h), and (i) if appropriations are  | 
available to implement these provisions. | 
 (k) Subject to appropriation, the Department of  | 
Corrections, in consultation with the Department of Innovation  | 
and Technology, shall conduct a study on the best way to  | 
digitize all Department of Corrections records and the impact  | 
of that digitizing on State agencies, including the impact on  | 
the Department of Innovation and Technology. The study shall  | 
be completed on or before January 1, 2024.  | 
(Source: P.A. 102-776, eff. 1-1-23; 102-784, eff. 5-13-22;  | 
103-18, eff. 1-1-24; 103-71, eff. 6-9-23; 103-154, eff.  | 
6-30-23; revised 12-15-23.)
 | 
 (730 ILCS 5/3-6-3) | 
 Sec. 3-6-3. Rules and regulations for sentence credit.  | 
 (a)(1) The Department of Corrections shall prescribe rules  | 
and regulations for awarding and revoking sentence credit for  | 
persons committed to the Department of Corrections and the  | 
Department of Juvenile Justice shall prescribe rules and  | 
regulations for awarding and revoking sentence credit for  | 
persons committed to the Department of Juvenile Justice under  | 
Section 5-8-6 of the Unified Code of Corrections, which shall  | 
be subject to review by the Prisoner Review Board. | 
 (1.5) As otherwise provided by law, sentence credit may be  | 
awarded for the following:  | 
  (A) successful completion of programming while in  | 
 | 
 custody of the Department of Corrections or the Department  | 
 of Juvenile Justice or while in custody prior to  | 
 sentencing;  | 
  (B) compliance with the rules and regulations of the  | 
 Department; or  | 
  (C) service to the institution, service to a  | 
 community, or service to the State.  | 
 (2) Except as provided in paragraph (4.7) of this  | 
subsection (a), the rules and regulations on sentence credit  | 
shall provide, with respect to offenses listed in clause (i),  | 
(ii), or (iii) of this paragraph (2) committed on or after June  | 
19, 1998 or with respect to the offense listed in clause (iv)  | 
of this paragraph (2) committed on or after June 23, 2005 (the  | 
effective date of Public Act 94-71) or with respect to offense  | 
listed in clause (vi) committed on or after June 1, 2008 (the  | 
effective date of Public Act 95-625) or with respect to the  | 
offense of being an armed habitual criminal committed on or  | 
after August 2, 2005 (the effective date of Public Act 94-398)  | 
or with respect to the offenses listed in clause (v) of this  | 
paragraph (2) committed on or after August 13, 2007 (the  | 
effective date of Public Act 95-134) or with respect to the  | 
offense of aggravated domestic battery committed on or after  | 
July 23, 2010 (the effective date of Public Act 96-1224) or  | 
with respect to the offense of attempt to commit terrorism  | 
committed on or after January 1, 2013 (the effective date of  | 
Public Act 97-990), the following: | 
 | 
  (i) that a prisoner who is serving a term of  | 
 imprisonment for first degree murder or for the offense of  | 
 terrorism shall receive no sentence credit and shall serve  | 
 the entire sentence imposed by the court; | 
  (ii) that a prisoner serving a sentence for attempt to  | 
 commit terrorism, attempt to commit first degree murder,  | 
 solicitation of murder, solicitation of murder for hire,  | 
 intentional homicide of an unborn child, predatory  | 
 criminal sexual assault of a child, aggravated criminal  | 
 sexual assault, criminal sexual assault, aggravated  | 
 kidnapping, aggravated battery with a firearm as described  | 
 in Section 12-4.2 or subdivision (e)(1), (e)(2), (e)(3),  | 
 or (e)(4) of Section 12-3.05, heinous battery as described  | 
 in Section 12-4.1 or subdivision (a)(2) of Section  | 
 12-3.05, being an armed habitual criminal, aggravated  | 
 battery of a senior citizen as described in Section 12-4.6  | 
 or subdivision (a)(4) of Section 12-3.05, or aggravated  | 
 battery of a child as described in Section 12-4.3 or  | 
 subdivision (b)(1) of Section 12-3.05 shall receive no  | 
 more than 4.5 days of sentence credit for each month of his  | 
 or her sentence of imprisonment; | 
  (iii) that a prisoner serving a sentence for home  | 
 invasion, armed robbery, aggravated vehicular hijacking,  | 
 aggravated discharge of a firearm, or armed violence with  | 
 a category I weapon or category II weapon, when the court  | 
 has made and entered a finding, pursuant to subsection  | 
 | 
 (c-1) of Section 5-4-1 of this Code, that the conduct  | 
 leading to conviction for the enumerated offense resulted  | 
 in great bodily harm to a victim, shall receive no more  | 
 than 4.5 days of sentence credit for each month of his or  | 
 her sentence of imprisonment; | 
  (iv) that a prisoner serving a sentence for aggravated  | 
 discharge of a firearm, whether or not the conduct leading  | 
 to conviction for the offense resulted in great bodily  | 
 harm to the victim, shall receive no more than 4.5 days of  | 
 sentence credit for each month of his or her sentence of  | 
 imprisonment;  | 
  (v) that a person serving a sentence for gunrunning,  | 
 narcotics racketeering, controlled substance trafficking,  | 
 methamphetamine trafficking, drug-induced homicide,  | 
 aggravated methamphetamine-related child endangerment,  | 
 money laundering pursuant to clause (c) (4) or (5) of  | 
 Section 29B-1 of the Criminal Code of 1961 or the Criminal  | 
 Code of 2012, or a Class X felony conviction for delivery  | 
 of a controlled substance, possession of a controlled  | 
 substance with intent to manufacture or deliver,  | 
 calculated criminal drug conspiracy, criminal drug  | 
 conspiracy, street gang criminal drug conspiracy,  | 
 participation in methamphetamine manufacturing,  | 
 aggravated participation in methamphetamine  | 
 manufacturing, delivery of methamphetamine, possession  | 
 with intent to deliver methamphetamine, aggravated  | 
 | 
 delivery of methamphetamine, aggravated possession with  | 
 intent to deliver methamphetamine, methamphetamine  | 
 conspiracy when the substance containing the controlled  | 
 substance or methamphetamine is 100 grams or more shall  | 
 receive no more than 7.5 days sentence credit for each  | 
 month of his or her sentence of imprisonment;  | 
  (vi) that a prisoner serving a sentence for a second  | 
 or subsequent offense of luring a minor shall receive no  | 
 more than 4.5 days of sentence credit for each month of his  | 
 or her sentence of imprisonment; and  | 
  (vii) that a prisoner serving a sentence for  | 
 aggravated domestic battery shall receive no more than 4.5  | 
 days of sentence credit for each month of his or her  | 
 sentence of imprisonment.  | 
 (2.1) For all offenses, other than those enumerated in  | 
subdivision (a)(2)(i), (ii), or (iii) committed on or after  | 
June 19, 1998 or subdivision (a)(2)(iv) committed on or after  | 
June 23, 2005 (the effective date of Public Act 94-71) or  | 
subdivision (a)(2)(v) committed on or after August 13, 2007  | 
(the effective date of Public Act 95-134) or subdivision  | 
(a)(2)(vi) committed on or after June 1, 2008 (the effective  | 
date of Public Act 95-625) or subdivision (a)(2)(vii)  | 
committed on or after July 23, 2010 (the effective date of  | 
Public Act 96-1224), and other than the offense of aggravated  | 
driving under the influence of alcohol, other drug or drugs,  | 
or intoxicating compound or compounds, or any combination  | 
 | 
thereof as defined in subparagraph (F) of paragraph (1) of  | 
subsection (d) of Section 11-501 of the Illinois Vehicle Code,  | 
and other than the offense of aggravated driving under the  | 
influence of alcohol, other drug or drugs, or intoxicating  | 
compound or compounds, or any combination thereof as defined  | 
in subparagraph (C) of paragraph (1) of subsection (d) of  | 
Section 11-501 of the Illinois Vehicle Code committed on or  | 
after January 1, 2011 (the effective date of Public Act  | 
96-1230), the rules and regulations shall provide that a  | 
prisoner who is serving a term of imprisonment shall receive  | 
one day of sentence credit for each day of his or her sentence  | 
of imprisonment or recommitment under Section 3-3-9. Each day  | 
of sentence credit shall reduce by one day the prisoner's  | 
period of imprisonment or recommitment under Section 3-3-9. | 
 (2.2) A prisoner serving a term of natural life  | 
imprisonment shall receive no sentence credit. | 
 (2.3) Except as provided in paragraph (4.7) of this  | 
subsection (a), the rules and regulations on sentence credit  | 
shall provide that a prisoner who is serving a sentence for  | 
aggravated driving under the influence of alcohol, other drug  | 
or drugs, or intoxicating compound or compounds, or any  | 
combination thereof as defined in subparagraph (F) of  | 
paragraph (1) of subsection (d) of Section 11-501 of the  | 
Illinois Vehicle Code, shall receive no more than 4.5 days of  | 
sentence credit for each month of his or her sentence of  | 
imprisonment. | 
 | 
 (2.4) Except as provided in paragraph (4.7) of this  | 
subsection (a), the rules and regulations on sentence credit  | 
shall provide with respect to the offenses of aggravated  | 
battery with a machine gun or a firearm equipped with any  | 
device or attachment designed or used for silencing the report  | 
of a firearm or aggravated discharge of a machine gun or a  | 
firearm equipped with any device or attachment designed or  | 
used for silencing the report of a firearm, committed on or  | 
after July 15, 1999 (the effective date of Public Act 91-121),  | 
that a prisoner serving a sentence for any of these offenses  | 
shall receive no more than 4.5 days of sentence credit for each  | 
month of his or her sentence of imprisonment. | 
 (2.5) Except as provided in paragraph (4.7) of this  | 
subsection (a), the rules and regulations on sentence credit  | 
shall provide that a prisoner who is serving a sentence for  | 
aggravated arson committed on or after July 27, 2001 (the  | 
effective date of Public Act 92-176) shall receive no more  | 
than 4.5 days of sentence credit for each month of his or her  | 
sentence of imprisonment. | 
 (2.6) Except as provided in paragraph (4.7) of this  | 
subsection (a), the rules and regulations on sentence credit  | 
shall provide that a prisoner who is serving a sentence for  | 
aggravated driving under the influence of alcohol, other drug  | 
or drugs, or intoxicating compound or compounds or any  | 
combination thereof as defined in subparagraph (C) of  | 
paragraph (1) of subsection (d) of Section 11-501 of the  | 
 | 
Illinois Vehicle Code committed on or after January 1, 2011  | 
(the effective date of Public Act 96-1230) shall receive no  | 
more than 4.5 days of sentence credit for each month of his or  | 
her sentence of imprisonment. | 
 (3) In addition to the sentence credits earned under  | 
paragraphs (2.1), (4), (4.1), (4.2), and (4.7) of this  | 
subsection (a), the rules and regulations shall also provide  | 
that the Director of Corrections or the Director of Juvenile  | 
Justice may award up to 180 days of earned sentence credit for  | 
prisoners serving a sentence of incarceration of less than 5  | 
years, and up to 365 days of earned sentence credit for  | 
prisoners serving a sentence of 5 years or longer. The  | 
Director may grant this credit for good conduct in specific  | 
instances as either Director deems proper for eligible persons  | 
in the custody of each Director's respective Department. The  | 
good conduct may include, but is not limited to, compliance  | 
with the rules and regulations of the Department, service to  | 
the Department, service to a community, or service to the  | 
State. | 
 Eligible inmates for an award of earned sentence credit  | 
under this paragraph (3) may be selected to receive the credit  | 
at either Director's or his or her designee's sole discretion.  | 
Eligibility for the additional earned sentence credit under  | 
this paragraph (3) may be based on, but is not limited to,  | 
participation in programming offered by the Department as  | 
appropriate for the prisoner based on the results of any  | 
 | 
available risk/needs assessment or other relevant assessments  | 
or evaluations administered by the Department using a  | 
validated instrument, the circumstances of the crime,  | 
demonstrated commitment to rehabilitation by a prisoner with a  | 
history of conviction for a forcible felony enumerated in  | 
Section 2-8 of the Criminal Code of 2012, the inmate's  | 
behavior and improvements in disciplinary history while  | 
incarcerated, and the inmate's commitment to rehabilitation,  | 
including participation in programming offered by the  | 
Department.  | 
 The Director of Corrections or the Director of Juvenile  | 
Justice shall not award sentence credit under this paragraph  | 
(3) to an inmate unless the inmate has served a minimum of 60  | 
days of the sentence, including time served in a county jail;  | 
except nothing in this paragraph shall be construed to permit  | 
either Director to extend an inmate's sentence beyond that  | 
which was imposed by the court. Prior to awarding credit under  | 
this paragraph (3), each Director shall make a written  | 
determination that the inmate: | 
  (A) is eligible for the earned sentence credit; | 
  (B) has served a minimum of 60 days, or as close to 60  | 
 days as the sentence will allow; | 
  (B-1) has received a risk/needs assessment or other  | 
 relevant evaluation or assessment administered by the  | 
 Department using a validated instrument; and | 
  (C) has met the eligibility criteria established by  | 
 | 
 rule for earned sentence credit. | 
 The Director of Corrections or the Director of Juvenile  | 
Justice shall determine the form and content of the written  | 
determination required in this subsection. | 
 (3.5) The Department shall provide annual written reports  | 
to the Governor and the General Assembly on the award of earned  | 
sentence credit no later than February 1 of each year. The  | 
Department must publish both reports on its website within 48  | 
hours of transmitting the reports to the Governor and the  | 
General Assembly. The reports must include: | 
  (A) the number of inmates awarded earned sentence  | 
 credit; | 
  (B) the average amount of earned sentence credit  | 
 awarded; | 
  (C) the holding offenses of inmates awarded earned  | 
 sentence credit; and | 
  (D) the number of earned sentence credit revocations.  | 
 (4)(A) Except as provided in paragraph (4.7) of this  | 
subsection (a), the rules and regulations shall also provide  | 
that any prisoner who is engaged full-time in substance abuse  | 
programs, correctional industry assignments, educational  | 
programs, work-release programs or activities in accordance  | 
with Article 13 of Chapter III of this Code, behavior  | 
modification programs, life skills courses, or re-entry  | 
planning provided by the Department under this paragraph (4)  | 
and satisfactorily completes the assigned program as  | 
 | 
determined by the standards of the Department, shall receive  | 
one day of sentence credit for each day in which that prisoner  | 
is engaged in the activities described in this paragraph. The  | 
rules and regulations shall also provide that sentence credit  | 
may be provided to an inmate who was held in pre-trial  | 
detention prior to his or her current commitment to the  | 
Department of Corrections and successfully completed a  | 
full-time, 60-day or longer substance abuse program,  | 
educational program, behavior modification program, life  | 
skills course, or re-entry planning provided by the county  | 
department of corrections or county jail. Calculation of this  | 
county program credit shall be done at sentencing as provided  | 
in Section 5-4.5-100 of this Code and shall be included in the  | 
sentencing order. The rules and regulations shall also provide  | 
that sentence credit may be provided to an inmate who is in  | 
compliance with programming requirements in an adult  | 
transition center. | 
 (B) The Department shall award sentence credit under this  | 
paragraph (4) accumulated prior to January 1, 2020 (the  | 
effective date of Public Act 101-440) in an amount specified  | 
in subparagraph (C) of this paragraph (4) to an inmate serving  | 
a sentence for an offense committed prior to June 19, 1998, if  | 
the Department determines that the inmate is entitled to this  | 
sentence credit, based upon: | 
  (i) documentation provided by the Department that the  | 
 inmate engaged in any full-time substance abuse programs,  | 
 | 
 correctional industry assignments, educational programs,  | 
 behavior modification programs, life skills courses, or  | 
 re-entry planning provided by the Department under this  | 
 paragraph (4) and satisfactorily completed the assigned  | 
 program as determined by the standards of the Department  | 
 during the inmate's current term of incarceration; or | 
  (ii) the inmate's own testimony in the form of an  | 
 affidavit or documentation, or a third party's  | 
 documentation or testimony in the form of an affidavit  | 
 that the inmate likely engaged in any full-time substance  | 
 abuse programs, correctional industry assignments,  | 
 educational programs, behavior modification programs, life  | 
 skills courses, or re-entry planning provided by the  | 
 Department under paragraph (4) and satisfactorily  | 
 completed the assigned program as determined by the  | 
 standards of the Department during the inmate's current  | 
 term of incarceration. | 
 (C) If the inmate can provide documentation that he or she  | 
is entitled to sentence credit under subparagraph (B) in  | 
excess of 45 days of participation in those programs, the  | 
inmate shall receive 90 days of sentence credit. If the inmate  | 
cannot provide documentation of more than 45 days of  | 
participation in those programs, the inmate shall receive 45  | 
days of sentence credit. In the event of a disagreement  | 
between the Department and the inmate as to the amount of  | 
credit accumulated under subparagraph (B), if the Department  | 
 | 
provides documented proof of a lesser amount of days of  | 
participation in those programs, that proof shall control. If  | 
the Department provides no documentary proof, the inmate's  | 
proof as set forth in clause (ii) of subparagraph (B) shall  | 
control as to the amount of sentence credit provided. | 
 (D) If the inmate has been convicted of a sex offense as  | 
defined in Section 2 of the Sex Offender Registration Act,  | 
sentencing credits under subparagraph (B) of this paragraph  | 
(4) shall be awarded by the Department only if the conditions  | 
set forth in paragraph (4.6) of subsection (a) are satisfied.  | 
No inmate serving a term of natural life imprisonment shall  | 
receive sentence credit under subparagraph (B) of this  | 
paragraph (4). | 
 (E) The rules and regulations shall provide for the  | 
recalculation of program credits awarded pursuant to this  | 
paragraph (4) prior to July 1, 2021 (the effective date of  | 
Public Act 101-652) at the rate set for such credits on and  | 
after July 1, 2021.  | 
 Educational, vocational, substance abuse, behavior  | 
modification programs, life skills courses, re-entry planning,  | 
and correctional industry programs under which sentence credit  | 
may be earned under this paragraph (4) and paragraph (4.1) of  | 
this subsection (a) shall be evaluated by the Department on  | 
the basis of documented standards. The Department shall report  | 
the results of these evaluations to the Governor and the  | 
General Assembly by September 30th of each year. The reports  | 
 | 
shall include data relating to the recidivism rate among  | 
program participants. | 
 Availability of these programs shall be subject to the  | 
limits of fiscal resources appropriated by the General  | 
Assembly for these purposes. Eligible inmates who are denied  | 
immediate admission shall be placed on a waiting list under  | 
criteria established by the Department. The rules and  | 
regulations shall provide that a prisoner who has been placed  | 
on a waiting list but is transferred for non-disciplinary  | 
reasons before beginning a program shall receive priority  | 
placement on the waitlist for appropriate programs at the new  | 
facility. The inability of any inmate to become engaged in any  | 
such programs by reason of insufficient program resources or  | 
for any other reason established under the rules and  | 
regulations of the Department shall not be deemed a cause of  | 
action under which the Department or any employee or agent of  | 
the Department shall be liable for damages to the inmate. The  | 
rules and regulations shall provide that a prisoner who begins  | 
an educational, vocational, substance abuse, work-release  | 
programs or activities in accordance with Article 13 of  | 
Chapter III of this Code, behavior modification program, life  | 
skills course, re-entry planning, or correctional industry  | 
programs but is unable to complete the program due to illness,  | 
disability, transfer, lockdown, or another reason outside of  | 
the prisoner's control shall receive prorated sentence credits  | 
for the days in which the prisoner did participate.  | 
 | 
 (4.1) Except as provided in paragraph (4.7) of this  | 
subsection (a), the rules and regulations shall also provide  | 
that an additional 90 days of sentence credit shall be awarded  | 
to any prisoner who passes high school equivalency testing  | 
while the prisoner is committed to the Department of  | 
Corrections. The sentence credit awarded under this paragraph  | 
(4.1) shall be in addition to, and shall not affect, the award  | 
of sentence credit under any other paragraph of this Section,  | 
but shall also be pursuant to the guidelines and restrictions  | 
set forth in paragraph (4) of subsection (a) of this Section.  | 
The sentence credit provided for in this paragraph shall be  | 
available only to those prisoners who have not previously  | 
earned a high school diploma or a State of Illinois High School  | 
Diploma. If, after an award of the high school equivalency  | 
testing sentence credit has been made, the Department  | 
determines that the prisoner was not eligible, then the award  | 
shall be revoked. The Department may also award 90 days of  | 
sentence credit to any committed person who passed high school  | 
equivalency testing while he or she was held in pre-trial  | 
detention prior to the current commitment to the Department of  | 
Corrections. Except as provided in paragraph (4.7) of this  | 
subsection (a), the rules and regulations shall provide that  | 
an additional 120 days of sentence credit shall be awarded to  | 
any prisoner who obtains an associate degree while the  | 
prisoner is committed to the Department of Corrections,  | 
regardless of the date that the associate degree was obtained,  | 
 | 
including if prior to July 1, 2021 (the effective date of  | 
Public Act 101-652). The sentence credit awarded under this  | 
paragraph (4.1) shall be in addition to, and shall not affect,  | 
the award of sentence credit under any other paragraph of this  | 
Section, but shall also be under the guidelines and  | 
restrictions set forth in paragraph (4) of subsection (a) of  | 
this Section. The sentence credit provided for in this  | 
paragraph (4.1) shall be available only to those prisoners who  | 
have not previously earned an associate degree prior to the  | 
current commitment to the Department of Corrections. If, after  | 
an award of the associate degree sentence credit has been made  | 
and the Department determines that the prisoner was not  | 
eligible, then the award shall be revoked. The Department may  | 
also award 120 days of sentence credit to any committed person  | 
who earned an associate degree while he or she was held in  | 
pre-trial detention prior to the current commitment to the  | 
Department of Corrections.  | 
 Except as provided in paragraph (4.7) of this subsection  | 
(a), the rules and regulations shall provide that an  | 
additional 180 days of sentence credit shall be awarded to any  | 
prisoner who obtains a bachelor's degree while the prisoner is  | 
committed to the Department of Corrections. The sentence  | 
credit awarded under this paragraph (4.1) shall be in addition  | 
to, and shall not affect, the award of sentence credit under  | 
any other paragraph of this Section, but shall also be under  | 
the guidelines and restrictions set forth in paragraph (4) of  | 
 | 
this subsection (a). The sentence credit provided for in this  | 
paragraph shall be available only to those prisoners who have  | 
not earned a bachelor's degree prior to the current commitment  | 
to the Department of Corrections. If, after an award of the  | 
bachelor's degree sentence credit has been made, the  | 
Department determines that the prisoner was not eligible, then  | 
the award shall be revoked. The Department may also award 180  | 
days of sentence credit to any committed person who earned a  | 
bachelor's degree while he or she was held in pre-trial  | 
detention prior to the current commitment to the Department of  | 
Corrections. | 
 Except as provided in paragraph (4.7) of this subsection  | 
(a), the rules and regulations shall provide that an  | 
additional 180 days of sentence credit shall be awarded to any  | 
prisoner who obtains a master's or professional degree while  | 
the prisoner is committed to the Department of Corrections.  | 
The sentence credit awarded under this paragraph (4.1) shall  | 
be in addition to, and shall not affect, the award of sentence  | 
credit under any other paragraph of this Section, but shall  | 
also be under the guidelines and restrictions set forth in  | 
paragraph (4) of this subsection (a). The sentence credit  | 
provided for in this paragraph shall be available only to  | 
those prisoners who have not previously earned a master's or  | 
professional degree prior to the current commitment to the  | 
Department of Corrections. If, after an award of the master's  | 
or professional degree sentence credit has been made, the  | 
 | 
Department determines that the prisoner was not eligible, then  | 
the award shall be revoked. The Department may also award 180  | 
days of sentence credit to any committed person who earned a  | 
master's or professional degree while he or she was held in  | 
pre-trial detention prior to the current commitment to the  | 
Department of Corrections. | 
 (4.2)(A) The rules and regulations shall also provide that  | 
any prisoner engaged in self-improvement programs, volunteer  | 
work, or work assignments that are not otherwise eligible  | 
activities under paragraph (4), shall receive up to 0.5 days  | 
of sentence credit for each day in which the prisoner is  | 
engaged in activities described in this paragraph.  | 
 (B) The rules and regulations shall provide for the award  | 
of sentence credit under this paragraph (4.2) for qualifying  | 
days of engagement in eligible activities occurring prior to  | 
July 1, 2021 (the effective date of Public Act 101-652).  | 
 (4.5) The rules and regulations on sentence credit shall  | 
also provide that when the court's sentencing order recommends  | 
a prisoner for substance abuse treatment and the crime was  | 
committed on or after September 1, 2003 (the effective date of  | 
Public Act 93-354), the prisoner shall receive no sentence  | 
credit awarded under clause (3) of this subsection (a) unless  | 
he or she participates in and completes a substance abuse  | 
treatment program. The Director of Corrections may waive the  | 
requirement to participate in or complete a substance abuse  | 
treatment program in specific instances if the prisoner is not  | 
 | 
a good candidate for a substance abuse treatment program for  | 
medical, programming, or operational reasons. Availability of  | 
substance abuse treatment shall be subject to the limits of  | 
fiscal resources appropriated by the General Assembly for  | 
these purposes. If treatment is not available and the  | 
requirement to participate and complete the treatment has not  | 
been waived by the Director, the prisoner shall be placed on a  | 
waiting list under criteria established by the Department. The  | 
Director may allow a prisoner placed on a waiting list to  | 
participate in and complete a substance abuse education class  | 
or attend substance abuse self-help meetings in lieu of a  | 
substance abuse treatment program. A prisoner on a waiting  | 
list who is not placed in a substance abuse program prior to  | 
release may be eligible for a waiver and receive sentence  | 
credit under clause (3) of this subsection (a) at the  | 
discretion of the Director. | 
 (4.6) The rules and regulations on sentence credit shall  | 
also provide that a prisoner who has been convicted of a sex  | 
offense as defined in Section 2 of the Sex Offender  | 
Registration Act shall receive no sentence credit unless he or  | 
she either has successfully completed or is participating in  | 
sex offender treatment as defined by the Sex Offender  | 
Management Board. However, prisoners who are waiting to  | 
receive treatment, but who are unable to do so due solely to  | 
the lack of resources on the part of the Department, may, at  | 
either Director's sole discretion, be awarded sentence credit  | 
 | 
at a rate as the Director shall determine. | 
 (4.7) On or after January 1, 2018 (the effective date of  | 
Public Act 100-3), sentence credit under paragraph (3), (4),  | 
or (4.1) of this subsection (a) may be awarded to a prisoner  | 
who is serving a sentence for an offense described in  | 
paragraph (2), (2.3), (2.4), (2.5), or (2.6) for credit earned  | 
on or after January 1, 2018 (the effective date of Public Act  | 
100-3); provided, the award of the credits under this  | 
paragraph (4.7) shall not reduce the sentence of the prisoner  | 
to less than the following amounts: | 
  (i) 85% of his or her sentence if the prisoner is  | 
 required to serve 85% of his or her sentence; or  | 
  (ii) 60% of his or her sentence if the prisoner is  | 
 required to serve 75% of his or her sentence, except if the  | 
 prisoner is serving a sentence for gunrunning his or her  | 
 sentence shall not be reduced to less than 75%. | 
  (iii) 100% of his or her sentence if the prisoner is  | 
 required to serve 100% of his or her sentence. | 
 (5) Whenever the Department is to release any inmate  | 
earlier than it otherwise would because of a grant of earned  | 
sentence credit under paragraph (3) of subsection (a) of this  | 
Section given at any time during the term, the Department  | 
shall give reasonable notice of the impending release not less  | 
than 14 days prior to the date of the release to the State's  | 
Attorney of the county where the prosecution of the inmate  | 
took place, and if applicable, the State's Attorney of the  | 
 | 
county into which the inmate will be released. The Department  | 
must also make identification information and a recent photo  | 
of the inmate being released accessible on the Internet by  | 
means of a hyperlink labeled "Community Notification of Inmate  | 
Early Release" on the Department's World Wide Web homepage.  | 
The identification information shall include the inmate's:  | 
name, any known alias, date of birth, physical  | 
characteristics, commitment offense, and county where  | 
conviction was imposed. The identification information shall  | 
be placed on the website within 3 days of the inmate's release  | 
and the information may not be removed until either:  | 
completion of the first year of mandatory supervised release  | 
or return of the inmate to custody of the Department. | 
 (b) Whenever a person is or has been committed under  | 
several convictions, with separate sentences, the sentences  | 
shall be construed under Section 5-8-4 in granting and  | 
forfeiting of sentence credit. | 
 (c) (1) The Department shall prescribe rules and  | 
regulations for revoking sentence credit, including revoking  | 
sentence credit awarded under paragraph (3) of subsection (a)  | 
of this Section. The Department shall prescribe rules and  | 
regulations establishing and requiring the use of a sanctions  | 
matrix for revoking sentence credit. The Department shall  | 
prescribe rules and regulations for suspending or reducing the  | 
rate of accumulation of sentence credit for specific rule  | 
violations, during imprisonment. These rules and regulations  | 
 | 
shall provide that no inmate may be penalized more than one  | 
year of sentence credit for any one infraction. | 
 (2) When the Department seeks to revoke, suspend, or  | 
reduce the rate of accumulation of any sentence credits for an  | 
alleged infraction of its rules, it shall bring charges  | 
therefor against the prisoner sought to be so deprived of  | 
sentence credits before the Prisoner Review Board as provided  | 
in subparagraph (a)(4) of Section 3-3-2 of this Code, if the  | 
amount of credit at issue exceeds 30 days, whether from one  | 
infraction or cumulatively from multiple infractions arising  | 
out of a single event, or when, during any 12-month period, the  | 
cumulative amount of credit revoked exceeds 30 days except  | 
where the infraction is committed or discovered within 60 days  | 
of scheduled release. In those cases, the Department of  | 
Corrections may revoke up to 30 days of sentence credit. The  | 
Board may subsequently approve the revocation of additional  | 
sentence credit, if the Department seeks to revoke sentence  | 
credit in excess of 30 days. However, the Board shall not be  | 
empowered to review the Department's decision with respect to  | 
the loss of 30 days of sentence credit within any calendar year  | 
for any prisoner or to increase any penalty beyond the length  | 
requested by the Department. | 
 (3) The Director of Corrections or the Director of  | 
Juvenile Justice, in appropriate cases, may restore sentence  | 
credits which have been revoked, suspended, or reduced. The  | 
Department shall prescribe rules and regulations governing the  | 
 | 
restoration of sentence credits. These rules and regulations  | 
shall provide for the automatic restoration of sentence  | 
credits following a period in which the prisoner maintains a  | 
record without a disciplinary violation. | 
 Nothing contained in this Section shall prohibit the  | 
Prisoner Review Board from ordering, pursuant to Section  | 
3-3-9(a)(3)(i)(B), that a prisoner serve up to one year of the  | 
sentence imposed by the court that was not served due to the  | 
accumulation of sentence credit. | 
 (d) If a lawsuit is filed by a prisoner in an Illinois or  | 
federal court against the State, the Department of  | 
Corrections, or the Prisoner Review Board, or against any of  | 
their officers or employees, and the court makes a specific  | 
finding that a pleading, motion, or other paper filed by the  | 
prisoner is frivolous, the Department of Corrections shall  | 
conduct a hearing to revoke up to 180 days of sentence credit  | 
by bringing charges against the prisoner sought to be deprived  | 
of the sentence credits before the Prisoner Review Board as  | 
provided in subparagraph (a)(8) of Section 3-3-2 of this Code.  | 
If the prisoner has not accumulated 180 days of sentence  | 
credit at the time of the finding, then the Prisoner Review  | 
Board may revoke all sentence credit accumulated by the  | 
prisoner. | 
 For purposes of this subsection (d): | 
  (1) "Frivolous" means that a pleading, motion, or  | 
 other filing which purports to be a legal document filed  | 
 | 
 by a prisoner in his or her lawsuit meets any or all of the  | 
 following criteria: | 
   (A) it lacks an arguable basis either in law or in  | 
 fact; | 
   (B) it is being presented for any improper  | 
 purpose, such as to harass or to cause unnecessary  | 
 delay or needless increase in the cost of litigation; | 
   (C) the claims, defenses, and other legal  | 
 contentions therein are not warranted by existing law  | 
 or by a nonfrivolous argument for the extension,  | 
 modification, or reversal of existing law or the  | 
 establishment of new law; | 
   (D) the allegations and other factual contentions  | 
 do not have evidentiary support or, if specifically so  | 
 identified, are not likely to have evidentiary support  | 
 after a reasonable opportunity for further  | 
 investigation or discovery; or | 
   (E) the denials of factual contentions are not  | 
 warranted on the evidence, or if specifically so  | 
 identified, are not reasonably based on a lack of  | 
 information or belief. | 
  (2) "Lawsuit" means a motion pursuant to Section 116-3  | 
 of the Code of Criminal Procedure of 1963, a habeas corpus  | 
 action under Article X of the Code of Civil Procedure or  | 
 under federal law (28 U.S.C. 2254), a petition for claim  | 
 under the Court of Claims Act, an action under the federal  | 
 | 
 Civil Rights Act (42 U.S.C. 1983), or a second or  | 
 subsequent petition for post-conviction relief under  | 
 Article 122 of the Code of Criminal Procedure of 1963  | 
 whether filed with or without leave of court or a second or  | 
 subsequent petition for relief from judgment under Section  | 
 2-1401 of the Code of Civil Procedure. | 
 (e) Nothing in Public Act 90-592 or 90-593 affects the  | 
validity of Public Act 89-404. | 
 (f) Whenever the Department is to release any inmate who  | 
has been convicted of a violation of an order of protection  | 
under Section 12-3.4 or 12-30 of the Criminal Code of 1961 or  | 
the Criminal Code of 2012, earlier than it otherwise would  | 
because of a grant of sentence credit, the Department, as a  | 
condition of release, shall require that the person, upon  | 
release, be placed under electronic surveillance as provided  | 
in Section 5-8A-7 of this Code.  | 
(Source: P.A. 102-28, eff. 6-25-21; 102-558, eff. 8-20-21;  | 
102-784, eff. 5-13-22; 102-1100, eff. 1-1-23; 103-51, eff.  | 
1-1-24; 103-154, eff. 6-30-23; 103-330, eff. 1-1-24; revised  | 
12-15-23.)
 | 
 (730 ILCS 5/3-8-10) (from Ch. 38, par. 1003-8-10) | 
 Sec. 3-8-10. Intrastate detainers. Subsections Subsection  | 
(b), (c), and (e) of Section 103-5 of the Code of Criminal  | 
Procedure of 1963 shall also apply to persons committed to any  | 
institution or facility or program of the Illinois Department  | 
 | 
of Corrections who have untried complaints, charges or  | 
indictments pending in any county of this State, and such  | 
person shall include in the demand under subsection (b), a  | 
statement of the place of present commitment, the term, and  | 
length of the remaining term, the charges pending against him  | 
or her to be tried and the county of the charges, and the  | 
demand shall be addressed to the state's attorney of the  | 
county where he or she is charged with a copy to the clerk of  | 
that court and a copy to the chief administrative officer of  | 
the Department of Corrections institution or facility to which  | 
he or she is committed. The state's attorney shall then  | 
procure the presence of the defendant for trial in his county  | 
by habeas corpus. Additional time may be granted by the court  | 
for the process of bringing and serving an order of habeas  | 
corpus ad prosequendum. In the event that the person is not  | 
brought to trial within the allotted time, then the charge for  | 
which he or she has requested a speedy trial shall be  | 
dismissed. The provisions of this Section do not apply to  | 
persons no longer committed to a facility or program of the  | 
Illinois Department of Corrections. A person serving a period  | 
of parole or mandatory supervised release under the  | 
supervision of the Department of Corrections, for the purpose  | 
of this Section, shall not be deemed to be committed to the  | 
Department.  | 
(Source: P.A. 103-51, eff. 1-1-24; revised 1-2-24.)
 | 
 | 
 (730 ILCS 5/5-4-1) (from Ch. 38, par. 1005-4-1) | 
 Sec. 5-4-1. Sentencing hearing.  | 
 (a) After a determination of guilt, a hearing shall be  | 
held to impose the sentence. However, prior to the imposition  | 
of sentence on an individual being sentenced for an offense  | 
based upon a charge for a violation of Section 11-501 of the  | 
Illinois Vehicle Code or a similar provision of a local  | 
ordinance, the individual must undergo a professional  | 
evaluation to determine if an alcohol or other drug abuse  | 
problem exists and the extent of such a problem. Programs  | 
conducting these evaluations shall be licensed by the  | 
Department of Human Services. However, if the individual is  | 
not a resident of Illinois, the court may, in its discretion,  | 
accept an evaluation from a program in the state of such  | 
individual's residence. The court shall make a specific  | 
finding about whether the defendant is eligible for  | 
participation in a Department impact incarceration program as  | 
provided in Section 5-8-1.1 or 5-8-1.3, and if not, provide an  | 
explanation as to why a sentence to impact incarceration is  | 
not an appropriate sentence. The court may in its sentencing  | 
order recommend a defendant for placement in a Department of  | 
Corrections substance abuse treatment program as provided in  | 
paragraph (a) of subsection (1) of Section 3-2-2 conditioned  | 
upon the defendant being accepted in a program by the  | 
Department of Corrections. At the hearing the court shall: | 
  (1) consider the evidence, if any, received upon the  | 
 | 
 trial; | 
  (2) consider any presentence reports; | 
  (3) consider the financial impact of incarceration  | 
 based on the financial impact statement filed with the  | 
 clerk of the court by the Department of Corrections; | 
  (4) consider evidence and information offered by the  | 
 parties in aggravation and mitigation; | 
  (4.5) consider substance abuse treatment, eligibility  | 
 screening, and an assessment, if any, of the defendant by  | 
 an agent designated by the State of Illinois to provide  | 
 assessment services for the Illinois courts;  | 
  (5) hear arguments as to sentencing alternatives; | 
  (6) afford the defendant the opportunity to make a  | 
 statement in his own behalf; | 
  (7) afford the victim of a violent crime or a  | 
 violation of Section 11-501 of the Illinois Vehicle Code,  | 
 or a similar provision of a local ordinance, the  | 
 opportunity to present an oral or written statement, as  | 
 guaranteed by Article I, Section 8.1 of the Illinois  | 
 Constitution and provided in Section 6 of the Rights of  | 
 Crime Victims and Witnesses Act. The court shall allow a  | 
 victim to make an oral statement if the victim is present  | 
 in the courtroom and requests to make an oral or written  | 
 statement. An oral or written statement includes the  | 
 victim or a representative of the victim reading the  | 
 written statement. The court may allow persons impacted by  | 
 | 
 the crime who are not victims under subsection (a) of  | 
 Section 3 of the Rights of Crime Victims and Witnesses Act  | 
 to present an oral or written statement. A victim and any  | 
 person making an oral statement shall not be put under  | 
 oath or subject to cross-examination. All statements  | 
 offered under this paragraph (7) shall become part of the  | 
 record of the court. In this paragraph (7), "victim of a  | 
 violent crime" means a person who is a victim of a violent  | 
 crime for which the defendant has been convicted after a  | 
 bench or jury trial or a person who is the victim of a  | 
 violent crime with which the defendant was charged and the  | 
 defendant has been convicted under a plea agreement of a  | 
 crime that is not a violent crime as defined in subsection  | 
 (c) of 3 of the Rights of Crime Victims and Witnesses Act; | 
  (7.5) afford a qualified person affected by: (i) a  | 
 violation of Section 405, 405.1, 405.2, or 407 of the  | 
 Illinois Controlled Substances Act or a violation of  | 
 Section 55 or Section 65 of the Methamphetamine Control  | 
 and Community Protection Act; or (ii) a Class 4 felony  | 
 violation of Section 11-14, 11-14.3 except as described in  | 
 subdivisions (a)(2)(A) and (a)(2)(B), 11-15, 11-17, 11-18,  | 
 11-18.1, or 11-19 of the Criminal Code of 1961 or the  | 
 Criminal Code of 2012, committed by the defendant the  | 
 opportunity to make a statement concerning the impact on  | 
 the qualified person and to offer evidence in aggravation  | 
 or mitigation; provided that the statement and evidence  | 
 | 
 offered in aggravation or mitigation shall first be  | 
 prepared in writing in conjunction with the State's  | 
 Attorney before it may be presented orally at the hearing.  | 
 Sworn testimony offered by the qualified person is subject  | 
 to the defendant's right to cross-examine. All statements  | 
 and evidence offered under this paragraph (7.5) shall  | 
 become part of the record of the court. In this paragraph  | 
 (7.5), "qualified person" means any person who: (i) lived  | 
 or worked within the territorial jurisdiction where the  | 
 offense took place when the offense took place; or (ii) is  | 
 familiar with various public places within the territorial  | 
 jurisdiction where the offense took place when the offense  | 
 took place. "Qualified person" includes any peace officer  | 
 or any member of any duly organized State, county, or  | 
 municipal peace officer unit assigned to the territorial  | 
 jurisdiction where the offense took place when the offense  | 
 took place; | 
  (8) in cases of reckless homicide afford the victim's  | 
 spouse, guardians, parents or other immediate family  | 
 members an opportunity to make oral statements; | 
  (9) in cases involving a felony sex offense as defined  | 
 under the Sex Offender Management Board Act, consider the  | 
 results of the sex offender evaluation conducted pursuant  | 
 to Section 5-3-2 of this Act; and  | 
  (10) make a finding of whether a motor vehicle was  | 
 used in the commission of the offense for which the  | 
 | 
 defendant is being sentenced.  | 
 (b) All sentences shall be imposed by the judge based upon  | 
his independent assessment of the elements specified above and  | 
any agreement as to sentence reached by the parties. The judge  | 
who presided at the trial or the judge who accepted the plea of  | 
guilty shall impose the sentence unless he is no longer  | 
sitting as a judge in that court. Where the judge does not  | 
impose sentence at the same time on all defendants who are  | 
convicted as a result of being involved in the same offense,  | 
the defendant or the State's Attorney may advise the  | 
sentencing court of the disposition of any other defendants  | 
who have been sentenced. | 
 (b-1) In imposing a sentence of imprisonment or periodic  | 
imprisonment for a Class 3 or Class 4 felony for which a  | 
sentence of probation or conditional discharge is an available  | 
sentence, if the defendant has no prior sentence of probation  | 
or conditional discharge and no prior conviction for a violent  | 
crime, the defendant shall not be sentenced to imprisonment  | 
before review and consideration of a presentence report and  | 
determination and explanation of why the particular evidence,  | 
information, factor in aggravation, factual finding, or other  | 
reasons support a sentencing determination that one or more of  | 
the factors under subsection (a) of Section 5-6-1 of this Code  | 
apply and that probation or conditional discharge is not an  | 
appropriate sentence.  | 
 (c) In imposing a sentence for a violent crime or for an  | 
 | 
offense of operating or being in physical control of a vehicle  | 
while under the influence of alcohol, any other drug or any  | 
combination thereof, or a similar provision of a local  | 
ordinance, when such offense resulted in the personal injury  | 
to someone other than the defendant, the trial judge shall  | 
specify on the record the particular evidence, information,  | 
factors in mitigation and aggravation or other reasons that  | 
led to his sentencing determination. The full verbatim record  | 
of the sentencing hearing shall be filed with the clerk of the  | 
court and shall be a public record. | 
 (c-1) In imposing a sentence for the offense of aggravated  | 
kidnapping for ransom, home invasion, armed robbery,  | 
aggravated vehicular hijacking, aggravated discharge of a  | 
firearm, or armed violence with a category I weapon or  | 
category II weapon, the trial judge shall make a finding as to  | 
whether the conduct leading to conviction for the offense  | 
resulted in great bodily harm to a victim, and shall enter that  | 
finding and the basis for that finding in the record. | 
 (c-1.5) Notwithstanding any other provision of law to the  | 
contrary, in imposing a sentence for an offense that requires  | 
a mandatory minimum sentence of imprisonment, the court may  | 
instead sentence the offender to probation, conditional  | 
discharge, or a lesser term of imprisonment it deems  | 
appropriate if: (1) the offense involves the use or possession  | 
of drugs, retail theft, or driving on a revoked license due to  | 
unpaid financial obligations; (2) the court finds that the  | 
 | 
defendant does not pose a risk to public safety; and (3) the  | 
interest of justice requires imposing a term of probation,  | 
conditional discharge, or a lesser term of imprisonment. The  | 
court must state on the record its reasons for imposing  | 
probation, conditional discharge, or a lesser term of  | 
imprisonment. | 
 (c-2) If the defendant is sentenced to prison, other than  | 
when a sentence of natural life imprisonment is imposed, at  | 
the time the sentence is imposed the judge shall state on the  | 
record in open court the approximate period of time the  | 
defendant will serve in custody according to the then current  | 
statutory rules and regulations for sentence credit found in  | 
Section 3-6-3 and other related provisions of this Code. This  | 
statement is intended solely to inform the public, has no  | 
legal effect on the defendant's actual release, and may not be  | 
relied on by the defendant on appeal. | 
 The judge's statement, to be given after pronouncing the  | 
sentence, other than when the sentence is imposed for one of  | 
the offenses enumerated in paragraph (a)(4) of Section 3-6-3,  | 
shall include the following: | 
 "The purpose of this statement is to inform the public of  | 
the actual period of time this defendant is likely to spend in  | 
prison as a result of this sentence. The actual period of  | 
prison time served is determined by the statutes of Illinois  | 
as applied to this sentence by the Illinois Department of  | 
Corrections and the Illinois Prisoner Review Board. In this  | 
 | 
case, assuming the defendant receives all of his or her  | 
sentence credit, the period of estimated actual custody is ...  | 
years and ... months, less up to 180 days additional earned  | 
sentence credit. If the defendant, because of his or her own  | 
misconduct or failure to comply with the institutional  | 
regulations, does not receive those credits, the actual time  | 
served in prison will be longer. The defendant may also  | 
receive an additional one-half day sentence credit for each  | 
day of participation in vocational, industry, substance abuse,  | 
and educational programs as provided for by Illinois statute." | 
 When the sentence is imposed for one of the offenses  | 
enumerated in paragraph (a)(2) of Section 3-6-3, other than  | 
first degree murder, and the offense was committed on or after  | 
June 19, 1998, and when the sentence is imposed for reckless  | 
homicide as defined in subsection (e) of Section 9-3 of the  | 
Criminal Code of 1961 or the Criminal Code of 2012 if the  | 
offense was committed on or after January 1, 1999, and when the  | 
sentence is imposed for aggravated driving under the influence  | 
of alcohol, other drug or drugs, or intoxicating compound or  | 
compounds, or any combination thereof as defined in  | 
subparagraph (F) of paragraph (1) of subsection (d) of Section  | 
11-501 of the Illinois Vehicle Code, and when the sentence is  | 
imposed for aggravated arson if the offense was committed on  | 
or after July 27, 2001 (the effective date of Public Act  | 
92-176), and when the sentence is imposed for aggravated  | 
driving under the influence of alcohol, other drug or drugs,  | 
 | 
or intoxicating compound or compounds, or any combination  | 
thereof as defined in subparagraph (C) of paragraph (1) of  | 
subsection (d) of Section 11-501 of the Illinois Vehicle Code  | 
committed on or after January 1, 2011 (the effective date of  | 
Public Act 96-1230), the judge's statement, to be given after  | 
pronouncing the sentence, shall include the following: | 
 "The purpose of this statement is to inform the public of  | 
the actual period of time this defendant is likely to spend in  | 
prison as a result of this sentence. The actual period of  | 
prison time served is determined by the statutes of Illinois  | 
as applied to this sentence by the Illinois Department of  | 
Corrections and the Illinois Prisoner Review Board. In this  | 
case, the defendant is entitled to no more than 4 1/2 days of  | 
sentence credit for each month of his or her sentence of  | 
imprisonment. Therefore, this defendant will serve at least  | 
85% of his or her sentence. Assuming the defendant receives 4  | 
1/2 days credit for each month of his or her sentence, the  | 
period of estimated actual custody is ... years and ...  | 
months. If the defendant, because of his or her own misconduct  | 
or failure to comply with the institutional regulations  | 
receives lesser credit, the actual time served in prison will  | 
be longer." | 
 When a sentence of imprisonment is imposed for first  | 
degree murder and the offense was committed on or after June  | 
19, 1998, the judge's statement, to be given after pronouncing  | 
the sentence, shall include the following: | 
 | 
 "The purpose of this statement is to inform the public of  | 
the actual period of time this defendant is likely to spend in  | 
prison as a result of this sentence. The actual period of  | 
prison time served is determined by the statutes of Illinois  | 
as applied to this sentence by the Illinois Department of  | 
Corrections and the Illinois Prisoner Review Board. In this  | 
case, the defendant is not entitled to sentence credit.  | 
Therefore, this defendant will serve 100% of his or her  | 
sentence." | 
 When the sentencing order recommends placement in a  | 
substance abuse program for any offense that results in  | 
incarceration in a Department of Corrections facility and the  | 
crime was committed on or after September 1, 2003 (the  | 
effective date of Public Act 93-354), the judge's statement,  | 
in addition to any other judge's statement required under this  | 
Section, to be given after pronouncing the sentence, shall  | 
include the following: | 
 "The purpose of this statement is to inform the public of  | 
the actual period of time this defendant is likely to spend in  | 
prison as a result of this sentence. The actual period of  | 
prison time served is determined by the statutes of Illinois  | 
as applied to this sentence by the Illinois Department of  | 
Corrections and the Illinois Prisoner Review Board. In this  | 
case, the defendant shall receive no earned sentence credit  | 
under clause (3) of subsection (a) of Section 3-6-3 until he or  | 
she participates in and completes a substance abuse treatment  | 
 | 
program or receives a waiver from the Director of Corrections  | 
pursuant to clause (4.5) of subsection (a) of Section 3-6-3." | 
 (c-4) Before the sentencing hearing and as part of the  | 
presentence investigation under Section 5-3-1, the court shall  | 
inquire of the defendant whether the defendant is currently  | 
serving in or is a veteran of the Armed Forces of the United  | 
States. If the defendant is currently serving in the Armed  | 
Forces of the United States or is a veteran of the Armed Forces  | 
of the United States and has been diagnosed as having a mental  | 
illness by a qualified psychiatrist or clinical psychologist  | 
or physician, the court may: | 
  (1) order that the officer preparing the presentence  | 
 report consult with the United States Department of  | 
 Veterans Affairs, Illinois Department of Veterans'  | 
 Affairs, or another agency or person with suitable  | 
 knowledge or experience for the purpose of providing the  | 
 court with information regarding treatment options  | 
 available to the defendant, including federal, State, and  | 
 local programming; and | 
  (2) consider the treatment recommendations of any  | 
 diagnosing or treating mental health professionals  | 
 together with the treatment options available to the  | 
 defendant in imposing sentence. | 
 For the purposes of this subsection (c-4), "qualified  | 
psychiatrist" means a reputable physician licensed in Illinois  | 
to practice medicine in all its branches, who has specialized  | 
 | 
in the diagnosis and treatment of mental and nervous disorders  | 
for a period of not less than 5 years.  | 
 (c-6) In imposing a sentence, the trial judge shall  | 
specify, on the record, the particular evidence and other  | 
reasons which led to his or her determination that a motor  | 
vehicle was used in the commission of the offense.  | 
 (c-7) In imposing a sentence for a Class 3 or 4 felony,  | 
other than a violent crime as defined in Section 3 of the  | 
Rights of Crime Victims and Witnesses Act, the court shall  | 
determine and indicate in the sentencing order whether the  | 
defendant has 4 or more or fewer than 4 months remaining on his  | 
or her sentence accounting for time served.  | 
 (d) When the defendant is committed to the Department of  | 
Corrections, the State's Attorney shall and counsel for the  | 
defendant may file a statement with the clerk of the court to  | 
be transmitted to the department, agency or institution to  | 
which the defendant is committed to furnish such department,  | 
agency or institution with the facts and circumstances of the  | 
offense for which the person was committed together with all  | 
other factual information accessible to them in regard to the  | 
person prior to his commitment relative to his habits,  | 
associates, disposition and reputation and any other facts and  | 
circumstances which may aid such department, agency or  | 
institution during its custody of such person. The clerk shall  | 
within 10 days after receiving any such statements transmit a  | 
copy to such department, agency or institution and a copy to  | 
 | 
the other party, provided, however, that this shall not be  | 
cause for delay in conveying the person to the department,  | 
agency or institution to which he has been committed. | 
 (e) The clerk of the court shall transmit to the  | 
department, agency or institution, if any, to which the  | 
defendant is committed, the following: | 
  (1) the sentence imposed; | 
  (2) any statement by the court of the basis for  | 
 imposing the sentence; | 
  (3) any presentence reports; | 
  (3.3) the person's last known complete street address  | 
 prior to incarceration or legal residence, the person's  | 
 race, whether the person is of Hispanic or Latino origin,  | 
 and whether the person is 18 years of age or older;  | 
  (3.5) any sex offender evaluations;  | 
  (3.6) any substance abuse treatment eligibility  | 
 screening and assessment of the defendant by an agent  | 
 designated by the State of Illinois to provide assessment  | 
 services for the Illinois courts;  | 
  (4) the number of days, if any, which the defendant  | 
 has been in custody and for which he is entitled to credit  | 
 against the sentence, which information shall be provided  | 
 to the clerk by the sheriff; | 
  (4.1) any finding of great bodily harm made by the  | 
 court with respect to an offense enumerated in subsection  | 
 (c-1); | 
 | 
  (5) all statements filed under subsection (d) of this  | 
 Section; | 
  (6) any medical or mental health records or summaries  | 
 of the defendant; | 
  (7) the municipality where the arrest of the offender  | 
 or the commission of the offense has occurred, where such  | 
 municipality has a population of more than 25,000 persons; | 
  (8) all statements made and evidence offered under  | 
 paragraph (7) of subsection (a) of this Section; and | 
  (9) all additional matters which the court directs the  | 
 clerk to transmit. | 
 (f) In cases in which the court finds that a motor vehicle  | 
was used in the commission of the offense for which the  | 
defendant is being sentenced, the clerk of the court shall,  | 
within 5 days thereafter, forward a report of such conviction  | 
to the Secretary of State.  | 
(Source: P.A. 102-813, eff. 5-13-22; 103-18, eff. 1-1-24;  | 
103-51, eff. 1-1-24; revised 12-15-23.)
 | 
 (730 ILCS 5/5-4-3) (from Ch. 38, par. 1005-4-3) | 
 Sec. 5-4-3. Specimens; genetic marker groups.  | 
 (a) Any person convicted of, found guilty under the  | 
Juvenile Court Act of 1987 for, or who received a disposition  | 
of court supervision for, a qualifying offense or attempt of a  | 
qualifying offense, convicted or found guilty of any offense  | 
classified as a felony under Illinois law, convicted or found  | 
 | 
guilty of any offense requiring registration under the Sex  | 
Offender Registration Act, found guilty or given supervision  | 
for any offense classified as a felony under the Juvenile  | 
Court Act of 1987, convicted or found guilty of, under the  | 
Juvenile Court Act of 1987, any offense requiring registration  | 
under the Sex Offender Registration Act, or institutionalized  | 
as a sexually dangerous person under the Sexually Dangerous  | 
Persons Act, or committed as a sexually violent person under  | 
the Sexually Violent Persons Commitment Act shall, regardless  | 
of the sentence or disposition imposed, be required to submit  | 
specimens of blood, saliva, or tissue to the Illinois State  | 
Police in accordance with the provisions of this Section,  | 
provided such person is: | 
  (1) convicted of a qualifying offense or attempt of a  | 
 qualifying offense on or after July 1, 1990 and sentenced  | 
 to a term of imprisonment, periodic imprisonment, fine,  | 
 probation, conditional discharge or any other form of  | 
 sentence, or given a disposition of court supervision for  | 
 the offense; | 
  (1.5) found guilty or given supervision under the  | 
 Juvenile Court Act of 1987 for a qualifying offense or  | 
 attempt of a qualifying offense on or after January 1,  | 
 1997; | 
  (2) ordered institutionalized as a sexually dangerous  | 
 person on or after July 1, 1990; | 
  (3) convicted of a qualifying offense or attempt of a  | 
 | 
 qualifying offense before July 1, 1990 and is presently  | 
 confined as a result of such conviction in any State  | 
 correctional facility or county jail or is presently  | 
 serving a sentence of probation, conditional discharge or  | 
 periodic imprisonment as a result of such conviction; | 
  (3.5) convicted or found guilty of any offense  | 
 classified as a felony under Illinois law or found guilty  | 
 or given supervision for such an offense under the  | 
 Juvenile Court Act of 1987 on or after August 22, 2002; | 
  (4) presently institutionalized as a sexually  | 
 dangerous person or presently institutionalized as a  | 
 person found guilty but mentally ill of a sexual offense  | 
 or attempt to commit a sexual offense; or | 
  (4.5) ordered committed as a sexually violent person  | 
 on or after January 1, 1998 (the effective date of the  | 
 Sexually Violent Persons Commitment Act). | 
 (a-1) Any person incarcerated in a facility of the  | 
Illinois Department of Corrections or the Illinois Department  | 
of Juvenile Justice on or after August 22, 2002, whether for a  | 
term of years or natural life, who has not yet submitted a  | 
specimen of blood, saliva, or tissue shall be required to  | 
submit a specimen of blood, saliva, or tissue prior to his or  | 
her final discharge, or release on parole, aftercare release,  | 
or mandatory supervised release, as a condition of his or her  | 
parole, aftercare release, or mandatory supervised release, or  | 
within 6 months from August 13, 2009 (the effective date of  | 
 | 
Public Act 96-426), whichever is sooner. A person incarcerated  | 
on or after August 13, 2009 (the effective date of Public Act  | 
96-426) shall be required to submit a specimen within 45 days  | 
of incarceration, or prior to his or her final discharge, or  | 
release on parole, aftercare release, or mandatory supervised  | 
release, as a condition of his or her parole, aftercare  | 
release, or mandatory supervised release, whichever is sooner.  | 
These specimens shall be placed into the State or national DNA  | 
database, to be used in accordance with other provisions of  | 
this Section, by the Illinois State Police. | 
 (a-2) Any person sentenced to life imprisonment in a  | 
facility of the Illinois Department of Corrections after June  | 
13, 2005 (the effective date of Public Act 94-16) this  | 
amendatory Act of the 94th General Assembly shall be required  | 
to provide a specimen of blood, saliva, or tissue within 45  | 
days after sentencing or disposition at a collection site  | 
designated by the Illinois State Police. Any person serving a  | 
sentence of life imprisonment in a facility of the Illinois  | 
Department of Corrections on June 13, 2005 (the effective date  | 
of Public Act 94-16) this amendatory Act of the 94th General  | 
Assembly or any person who is under a sentence of death on June  | 
13, 2005 (the effective date of Public Act 94-16) this  | 
amendatory Act of the 94th General Assembly shall be required  | 
to provide a specimen of blood, saliva, or tissue upon request  | 
at a collection site designated by the Illinois State Police.  | 
 (a-3) Any person seeking transfer to or residency in  | 
 | 
Illinois under Sections 3-3-11.05 through 3-3-11.5 of this  | 
Code, the Interstate Compact for Adult Offender Supervision,  | 
or the Interstate Agreements on Sexually Dangerous Persons Act  | 
shall be required to provide a specimen of blood, saliva, or  | 
tissue within 45 days after transfer to or residency in  | 
Illinois at a collection site designated by the Illinois State  | 
Police.  | 
 (a-3.1) Any person required by an order of the court to  | 
submit a DNA specimen shall be required to provide a specimen  | 
of blood, saliva, or tissue within 45 days after the court  | 
order at a collection site designated by the Illinois State  | 
Police. | 
 (a-3.2) On or after January 1, 2012 (the effective date of  | 
Public Act 97-383), any person arrested for any of the  | 
following offenses, after an indictment has been returned by a  | 
grand jury, or following a hearing pursuant to Section 109-3  | 
of the Code of Criminal Procedure of 1963 and a judge finds  | 
there is probable cause to believe the arrestee has committed  | 
one of the designated offenses, or an arrestee has waived a  | 
preliminary hearing shall be required to provide a specimen of  | 
blood, saliva, or tissue within 14 days after such indictment  | 
or hearing at a collection site designated by the Illinois  | 
State Police: | 
  (A) first degree murder; | 
  (B) home invasion; | 
  (C) predatory criminal sexual assault of a child; | 
 | 
  (D) aggravated criminal sexual assault; or | 
  (E) criminal sexual assault. | 
 (a-3.3) Any person required to register as a sex offender  | 
under the Sex Offender Registration Act, regardless of the  | 
date of conviction as set forth in subsection (c-5.2) shall be  | 
required to provide a specimen of blood, saliva, or tissue  | 
within the time period prescribed in subsection (c-5.2) at a  | 
collection site designated by the Illinois State Police.  | 
 (a-5) Any person who was otherwise convicted of or  | 
received a disposition of court supervision for any other  | 
offense under the Criminal Code of 1961 or the Criminal Code of  | 
2012 or who was found guilty or given supervision for such a  | 
violation under the Juvenile Court Act of 1987, may,  | 
regardless of the sentence imposed, be required by an order of  | 
the court to submit specimens of blood, saliva, or tissue to  | 
the Illinois State Police in accordance with the provisions of  | 
this Section. | 
 (b) Any person required by paragraphs (a)(1), (a)(1.5),  | 
(a)(2), (a)(3.5), and (a-5) to provide specimens of blood,  | 
saliva, or tissue shall provide specimens of blood, saliva, or  | 
tissue within 45 days after sentencing or disposition at a  | 
collection site designated by the Illinois State Police. | 
 (c) Any person required by paragraphs (a)(3), (a)(4), and  | 
(a)(4.5) to provide specimens of blood, saliva, or tissue  | 
shall be required to provide such specimens prior to final  | 
discharge or within 6 months from August 13, 2009 (the  | 
 | 
effective date of Public Act 96-426), whichever is sooner.  | 
These specimens shall be placed into the State or national DNA  | 
database, to be used in accordance with other provisions of  | 
this Act, by the Illinois State Police. | 
 (c-5) Any person required by paragraph (a-3) to provide  | 
specimens of blood, saliva, or tissue shall, where feasible,  | 
be required to provide the specimens before being accepted for  | 
conditioned residency in Illinois under the interstate compact  | 
or agreement, but no later than 45 days after arrival in this  | 
State. | 
 (c-5.2) Unless it is determined that a registered sex  | 
offender has previously submitted a specimen of blood, saliva,  | 
or tissue that has been placed into the State DNA database, a  | 
person registering as a sex offender shall be required to  | 
submit a specimen at the time of his or her initial  | 
registration pursuant to the Sex Offender Registration Act or,  | 
for a person registered as a sex offender on or prior to  | 
January 1, 2012 (the effective date of Public Act 97-383),  | 
within one year of January 1, 2012 (the effective date of  | 
Public Act 97-383) or at the time of his or her next required  | 
registration.  | 
 (c-6) The Illinois State Police may determine which type  | 
of specimen or specimens, blood, saliva, or tissue, is  | 
acceptable for submission to the Division of Forensic Services  | 
for analysis. The Illinois State Police may require the  | 
submission of fingerprints from anyone required to give a  | 
 | 
specimen under this Act. | 
 (d) The Illinois State Police shall provide all equipment  | 
and instructions necessary for the collection of blood  | 
specimens. The collection of specimens shall be performed in a  | 
medically approved manner. Only a physician authorized to  | 
practice medicine, a registered nurse or other qualified  | 
person trained in venipuncture may withdraw blood for the  | 
purposes of this Act. The specimens shall thereafter be  | 
forwarded to the Illinois State Police, Division of Forensic  | 
Services, for analysis and categorizing into genetic marker  | 
groupings. | 
 (d-1) The Illinois State Police shall provide all  | 
equipment and instructions necessary for the collection of  | 
saliva specimens. The collection of saliva specimens shall be  | 
performed in a medically approved manner. Only a person  | 
trained in the instructions promulgated by the Illinois State  | 
Police on collecting saliva may collect saliva for the  | 
purposes of this Section. The specimens shall thereafter be  | 
forwarded to the Illinois State Police, Division of Forensic  | 
Services, for analysis and categorizing into genetic marker  | 
groupings. | 
 (d-2) The Illinois State Police shall provide all  | 
equipment and instructions necessary for the collection of  | 
tissue specimens. The collection of tissue specimens shall be  | 
performed in a medically approved manner. Only a person  | 
trained in the instructions promulgated by the Illinois State  | 
 | 
Police on collecting tissue may collect tissue for the  | 
purposes of this Section. The specimens shall thereafter be  | 
forwarded to the Illinois State Police, Division of Forensic  | 
Services, for analysis and categorizing into genetic marker  | 
groupings. | 
 (d-5) To the extent that funds are available, the Illinois  | 
State Police shall contract with qualified personnel and  | 
certified laboratories for the collection, analysis, and  | 
categorization of known specimens, except as provided in  | 
subsection (n) of this Section. | 
 (d-6) Agencies designated by the Illinois State Police and  | 
the Illinois State Police may contract with third parties to  | 
provide for the collection or analysis of DNA, or both, of an  | 
offender's blood, saliva, and tissue specimens, except as  | 
provided in subsection (n) of this Section. | 
 (e) The genetic marker groupings shall be maintained by  | 
the Illinois State Police, Division of Forensic Services. | 
 (f) The genetic marker grouping analysis information  | 
obtained pursuant to this Act shall be confidential and shall  | 
be released only to peace officers of the United States, of  | 
other states or territories, of the insular possessions of the  | 
United States, of foreign countries duly authorized to receive  | 
the same, to all peace officers of the State of Illinois and to  | 
all prosecutorial agencies, and to defense counsel as provided  | 
by Section 116-5 of the Code of Criminal Procedure of 1963. The  | 
genetic marker grouping analysis information obtained pursuant  | 
 | 
to this Act shall be used only for (i) valid law enforcement  | 
identification purposes and as required by the Federal Bureau  | 
of Investigation for participation in the National DNA  | 
database, (ii) technology validation purposes, (iii) a  | 
population statistics database, (iv) quality assurance  | 
purposes if personally identifying information is removed, (v)  | 
assisting in the defense of the criminally accused pursuant to  | 
Section 116-5 of the Code of Criminal Procedure of 1963, or  | 
(vi) identifying and assisting in the prosecution of a person  | 
who is suspected of committing a sexual assault as defined in  | 
Section 1a of the Sexual Assault Survivors Emergency Treatment  | 
Act. Notwithstanding any other statutory provision to the  | 
contrary, all information obtained under this Section shall be  | 
maintained in a single State data base, which may be uploaded  | 
into a national database, and which information may be subject  | 
to expungement only as set forth in subsection (f-1). | 
 (f-1) Upon receipt of notification of a reversal of a  | 
conviction based on actual innocence, or of the granting of a  | 
pardon pursuant to Section 12 of Article V of the Illinois  | 
Constitution, if that pardon document specifically states that  | 
the reason for the pardon is the actual innocence of an  | 
individual whose DNA record has been stored in the State or  | 
national DNA identification index in accordance with this  | 
Section by the Illinois State Police, the DNA record shall be  | 
expunged from the DNA identification index, and the Department  | 
shall by rule prescribe procedures to ensure that the record  | 
 | 
and any specimens, analyses, or other documents relating to  | 
such record, whether in the possession of the Department or  | 
any law enforcement or police agency, or any forensic DNA  | 
laboratory, including any duplicates or copies thereof, are  | 
destroyed and a letter is sent to the court verifying the  | 
expungement is completed. For specimens required to be  | 
collected prior to conviction, unless the individual has other  | 
charges or convictions that require submission of a specimen,  | 
the DNA record for an individual shall be expunged from the DNA  | 
identification databases and the specimen destroyed upon  | 
receipt of a certified copy of a final court order for each  | 
charge against an individual in which the charge has been  | 
dismissed, resulted in acquittal, or that the charge was not  | 
filed within the applicable time period. The Department shall  | 
by rule prescribe procedures to ensure that the record and any  | 
specimens in the possession or control of the Department are  | 
destroyed and a letter is sent to the court verifying the  | 
expungement is completed. | 
 (f-5) Any person who intentionally uses genetic marker  | 
grouping analysis information, or any other information  | 
derived from a DNA specimen, beyond the authorized uses as  | 
provided under this Section, or any other Illinois law, is  | 
guilty of a Class 4 felony, and shall be subject to a fine of  | 
not less than $5,000. | 
 (f-6) The Illinois State Police may contract with third  | 
parties for the purposes of implementing Public Act 93-216  | 
 | 
this amendatory Act of the 93rd General Assembly, except as  | 
provided in subsection (n) of this Section. Any other party  | 
contracting to carry out the functions of this Section shall  | 
be subject to the same restrictions and requirements of this  | 
Section insofar as applicable, as the Illinois State Police,  | 
and to any additional restrictions imposed by the Illinois  | 
State Police. | 
 (g) For the purposes of this Section, "qualifying offense"  | 
means any of the following: | 
  (1) any violation or inchoate violation of Section  | 
 11-1.50, 11-1.60, 11-6, 11-9.1, 11-11, 11-18.1, 12-15, or  | 
 12-16 of the Criminal Code of 1961 or the Criminal Code of  | 
 2012; | 
  (1.1) any violation or inchoate violation of Section  | 
 9-1, 9-2, 10-1, 10-2, 12-11, 12-11.1, 18-1, 18-2, 18-3,  | 
 18-4, 18-6, 19-1, 19-2, or 19-6 of the Criminal Code of  | 
 1961 or the Criminal Code of 2012 for which persons are  | 
 convicted on or after July 1, 2001; | 
  (2) any former statute of this State which defined a  | 
 felony sexual offense; | 
  (3) (blank); | 
  (4) any inchoate violation of Section 9-3.1, 9-3.4,  | 
 11-9.3, 12-7.3, or 12-7.4 of the Criminal Code of 1961 or  | 
 the Criminal Code of 2012; or | 
  (5) any violation or inchoate violation of Article 29D  | 
 of the Criminal Code of 1961 or the Criminal Code of 2012. | 
 | 
 (g-5) (Blank). | 
 (h) The Illinois State Police shall be the State central  | 
repository for all genetic marker grouping analysis  | 
information obtained pursuant to this Act. The Illinois State  | 
Police may promulgate rules for the form and manner of the  | 
collection of blood, saliva, or tissue specimens and other  | 
procedures for the operation of this Act. The provisions of  | 
the Administrative Review Law shall apply to all actions taken  | 
under the rules so promulgated. | 
 (i)(1) A person required to provide a blood, saliva, or  | 
tissue specimen shall cooperate with the collection of the  | 
specimen and any deliberate act by that person intended to  | 
impede, delay or stop the collection of the blood, saliva, or  | 
tissue specimen is a Class 4 felony. | 
 (2) In the event that a person's DNA specimen is not  | 
adequate for any reason, the person shall provide another DNA  | 
specimen for analysis. Duly authorized law enforcement and  | 
corrections personnel may employ reasonable force in cases in  | 
which an individual refuses to provide a DNA specimen required  | 
under this Act. | 
 (j) (Blank). | 
 (k) All analysis and categorization assessments provided  | 
under the Criminal and Traffic Assessment Assessments Act to  | 
the State Crime Laboratory Fund shall be regulated as follows: | 
  (1) (Blank). | 
  (2) (Blank). | 
 | 
  (3) Moneys deposited into the State Crime Laboratory  | 
 Fund shall be used by Illinois State Police crime  | 
 laboratories as designated by the Director of the Illinois  | 
 State Police. These funds shall be in addition to any  | 
 allocations made pursuant to existing laws and shall be  | 
 designated for the exclusive use of State crime  | 
 laboratories. These uses may include, but are not limited  | 
 to, the following: | 
   (A) Costs incurred in providing analysis and  | 
 genetic marker categorization as required by  | 
 subsection (d). | 
   (B) Costs incurred in maintaining genetic marker  | 
 groupings as required by subsection (e). | 
   (C) Costs incurred in the purchase and maintenance  | 
 of equipment for use in performing analyses. | 
   (D) Costs incurred in continuing research and  | 
 development of new techniques for analysis and genetic  | 
 marker categorization. | 
   (E) Costs incurred in continuing education,  | 
 training, and professional development of forensic  | 
 scientists regularly employed by these laboratories. | 
 (l) The failure of a person to provide a specimen, or of  | 
any person or agency to collect a specimen, shall in no way  | 
alter the obligation of the person to submit such specimen, or  | 
the authority of the Illinois State Police or persons  | 
designated by the Illinois State Police to collect the  | 
 | 
specimen, or the authority of the Illinois State Police to  | 
accept, analyze and maintain the specimen or to maintain or  | 
upload results of genetic marker grouping analysis information  | 
into a State or national database. | 
 (m) If any provision of Public Act 93-216 this amendatory  | 
Act of the 93rd General Assembly is held unconstitutional or  | 
otherwise invalid, the remainder of Public Act 93-216 this  | 
amendatory Act of the 93rd General Assembly is not affected. | 
 (n) Neither the Illinois State Police, the Division of  | 
Forensic Services, nor any laboratory of the Division of  | 
Forensic Services may contract out forensic testing for the  | 
purpose of an active investigation or a matter pending before  | 
a court of competent jurisdiction without the written consent  | 
of the prosecuting agency. For the purposes of this subsection  | 
(n), "forensic testing" includes the analysis of physical  | 
evidence in an investigation or other proceeding for the  | 
prosecution of a violation of the Criminal Code of 1961 or the  | 
Criminal Code of 2012 or for matters adjudicated under the  | 
Juvenile Court Act of 1987, and includes the use of forensic  | 
databases and databanks, including DNA, firearm, and  | 
fingerprint databases, and expert testimony. | 
 (o) Mistake does not invalidate a database match. The  | 
detention, arrest, or conviction of a person based upon a  | 
database match or database information is not invalidated if  | 
it is determined that the specimen was obtained or placed in  | 
the database by mistake.  | 
 | 
 (p) This Section may be referred to as the Illinois DNA  | 
Database Law of 2011.  | 
(Source: P.A. 102-505, eff. 8-20-21; 102-538, eff. 8-20-21;  | 
103-51, eff. 1-1-24; revised 1-2-24.)
 | 
 (730 ILCS 5/5-4.5-105) | 
 Sec. 5-4.5-105. SENTENCING OF INDIVIDUALS UNDER THE AGE OF  | 
18 AT THE TIME OF THE COMMISSION OF AN OFFENSE. | 
 (a) On or after January 1, 2016 (the effective date of  | 
Public Act 99-69) this amendatory Act of the 99th General  | 
Assembly, when a person commits an offense and the person is  | 
under 18 years of age at the time of the commission of the  | 
offense, the court, at the sentencing hearing conducted under  | 
Section 5-4-1, shall consider the following additional factors  | 
in mitigation in determining the appropriate sentence: | 
  (1) the person's age, impetuosity, and level of  | 
 maturity at the time of the offense, including the ability  | 
 to consider risks and consequences of behavior, and the  | 
 presence of cognitive or developmental disability, or  | 
 both, if any; | 
  (2) whether the person was subjected to outside  | 
 pressure, including peer pressure, familial pressure, or  | 
 negative influences; | 
  (3) the person's family, home environment, educational  | 
 and social background, including any history of parental  | 
 neglect, domestic or sexual violence, sexual exploitation,  | 
 | 
 physical abuse, or other childhood trauma including  | 
 adverse childhood experiences (or ACEs); | 
  (4) the person's potential for rehabilitation or  | 
 evidence of rehabilitation, or both; | 
  (5) the circumstances of the offense; | 
  (6) the person's degree of participation and specific  | 
 role in the offense, including the level of planning by  | 
 the defendant before the offense; | 
  (7) whether the person was able to meaningfully  | 
 participate in his or her defense; | 
  (8) the person's prior juvenile or criminal history; | 
  (9) the person's involvement in the child welfare  | 
 system; | 
  (10) involvement of the person in the community; | 
  (11) if a comprehensive mental health evaluation of  | 
 the person was conducted by a qualified mental health  | 
 professional, the outcome of the evaluation; and  | 
  (12) 12 any other information the court finds relevant  | 
 and reliable, including an expression of remorse, if  | 
 appropriate. However, if the person, on advice of counsel  | 
 chooses not to make a statement, the court shall not  | 
 consider a lack of an expression of remorse as an  | 
 aggravating factor. | 
 (b) The trial judge shall specify on the record its  | 
consideration of the factors under subsection (a) of this  | 
Section. | 
 | 
 (c) Notwithstanding any other provision of law, if the  | 
court determines by clear and convincing evidence that the  | 
individual against whom the person is convicted of committing  | 
the offense previously committed a crime under Section 10-9,  | 
Section 11-1.20, Section 11-1.30, Section 11-1.40, Section  | 
11-1.50, Section 11-1.60, Section 11-6, Section 11-6.5,  | 
Section 11-6.6, Section 11-9.1, Section 11-14.3, Section  | 
11-14.4 or Section 11-18.1 of the under Criminal Code of 2012  | 
against the person within 3 years before the offense in which  | 
the person was convicted, the court may, in its discretion: | 
  (1) transfer the person to juvenile court for  | 
 sentencing under Section 5-710 of the Juvenile Court Act  | 
 of 1987; | 
  (2) depart from any mandatory minimum sentence,  | 
 maximum sentence, or sentencing enhancement; or | 
  (3) suspend any portion of an otherwise applicable  | 
 sentence. | 
 (d) Subsection (c) shall be construed as prioritizing the  | 
successful treatment and rehabilitation of persons under 18  | 
years of age who are sex crime victims who commit acts of  | 
violence against their abusers. It is the General Assembly's  | 
intent that these persons be viewed as victims and provided  | 
treatment and services in the community and in the , juvenile  | 
or family court system.  | 
 (e) Except as provided in subsections (f) and (g) (d), the  | 
court may sentence the defendant to any disposition authorized  | 
 | 
for the class of the offense of which he or she was found  | 
guilty as described in Article 4.5 of this Code, and may, in  | 
its discretion, decline to impose any otherwise applicable  | 
sentencing enhancement based upon firearm possession,  | 
possession with personal discharge, or possession with  | 
personal discharge that proximately causes great bodily harm,  | 
permanent disability, permanent disfigurement, or death to  | 
another person. | 
 (f) Notwithstanding any other provision of law, if the  | 
defendant is convicted of first degree murder and would  | 
otherwise be subject to sentencing under clause (iii), (iv),  | 
(v), or (vii) of subparagraph (c) of paragraph (1) of  | 
subsection (a) of Section 5-8-1 of this Code based on the  | 
category of persons identified therein, the court shall impose  | 
a sentence of not less than 40 years of imprisonment, except  | 
for persons convicted of first degree murder where subsection  | 
(c) applies. In addition, the court may, in its discretion,  | 
decline to impose the sentencing enhancements based upon the  | 
possession or use of a firearm during the commission of the  | 
offense included in subsection (d) of Section 5-8-1.  | 
 (g) (d) Fines and assessments, such as fees or  | 
administrative costs, shall not be ordered or imposed against  | 
a minor subject to this Code or against the minor's parent,  | 
guardian, or legal custodian. For the purposes of this  | 
subsection (g) this amendatory Act of the 103rd General  | 
Assembly, "minor" has the meaning provided in Section 1-3 of  | 
 | 
the Juvenile Court Act of 1987 and includes any minor under the  | 
age of 18 transferred to adult court or excluded from juvenile  | 
court jurisdiction under Article V of the Juvenile Court Act  | 
of 1987.  | 
(Source: P.A. 103-191, eff. 1-1-24; 103-379, eff. 7-28-23;  | 
revised 9-14-23.)
 | 
 (730 ILCS 5/5-6-3) (from Ch. 38, par. 1005-6-3) | 
 Sec. 5-6-3. Conditions of probation and of conditional  | 
discharge.  | 
 (a) The conditions of probation and of conditional  | 
discharge shall be that the person:  | 
  (1) not violate any criminal statute of any  | 
 jurisdiction;  | 
  (2) report to or appear in person before such person  | 
 or agency as directed by the court. To comply with the  | 
 provisions of this paragraph (2), in lieu of requiring the  | 
 person on probation or conditional discharge to appear in  | 
 person for the required reporting or meetings, the officer  | 
 may utilize technology, including cellular and other  | 
 electronic communication devices or platforms, that allow  | 
 for communication between the supervised person and the  | 
 officer in accordance with standards and guidelines  | 
 established by the Administrative Office of the Illinois  | 
 Courts;  | 
  (3) refrain from possessing a firearm or other  | 
 | 
 dangerous weapon where the offense is a felony or, if a  | 
 misdemeanor, the offense involved the intentional or  | 
 knowing infliction of bodily harm or threat of bodily  | 
 harm;  | 
  (4) not leave the State without the consent of the  | 
 court or, in circumstances in which the reason for the  | 
 absence is of such an emergency nature that prior consent  | 
 by the court is not possible, without the prior  | 
 notification and approval of the person's probation  | 
 officer. Transfer of a person's probation or conditional  | 
 discharge supervision to another state is subject to  | 
 acceptance by the other state pursuant to the Interstate  | 
 Compact for Adult Offender Supervision;  | 
  (5) permit the probation officer to visit him at his  | 
 home or elsewhere to the extent necessary to discharge his  | 
 duties;  | 
  (6) perform no less than 30 hours of community service  | 
 and not more than 120 hours of community service, if  | 
 community service is available in the jurisdiction and is  | 
 funded and approved by the county board where the offense  | 
 was committed, where the offense was related to or in  | 
 furtherance of the criminal activities of an organized  | 
 gang and was motivated by the offender's membership in or  | 
 allegiance to an organized gang. The community service  | 
 shall include, but not be limited to, the cleanup and  | 
 repair of any damage caused by a violation of Section  | 
 | 
 21-1.3 of the Criminal Code of 1961 or the Criminal Code of  | 
 2012 and similar damage to property located within the  | 
 municipality or county in which the violation occurred.  | 
 When possible and reasonable, the community service should  | 
 be performed in the offender's neighborhood. For purposes  | 
 of this Section, "organized gang" has the meaning ascribed  | 
 to it in Section 10 of the Illinois Streetgang Terrorism  | 
 Omnibus Prevention Act. The court may give credit toward  | 
 the fulfillment of community service hours for  | 
 participation in activities and treatment as determined by  | 
 court services. Community service shall not interfere with  | 
 the school hours, school-related activities, or work  | 
 commitments of the minor or the minor's parent, guardian,  | 
 or legal custodian;  | 
  (7) if he or she is at least 17 years of age and has  | 
 been sentenced to probation or conditional discharge for a  | 
 misdemeanor or felony in a county of 3,000,000 or more  | 
 inhabitants and has not been previously convicted of a  | 
 misdemeanor or felony, may be required by the sentencing  | 
 court to attend educational courses designed to prepare  | 
 the defendant for a high school diploma and to work toward  | 
 a high school diploma or to work toward passing high  | 
 school equivalency testing or to work toward completing a  | 
 vocational training program approved by the court. The  | 
 person on probation or conditional discharge must attend a  | 
 public institution of education to obtain the educational  | 
 | 
 or vocational training required by this paragraph (7). The  | 
 court shall revoke the probation or conditional discharge  | 
 of a person who willfully fails to comply with this  | 
 paragraph (7). The person on probation or conditional  | 
 discharge shall be required to pay for the cost of the  | 
 educational courses or high school equivalency testing if  | 
 a fee is charged for those courses or testing. The court  | 
 shall resentence the offender whose probation or  | 
 conditional discharge has been revoked as provided in  | 
 Section 5-6-4. This paragraph (7) does not apply to a  | 
 person who has a high school diploma or has successfully  | 
 passed high school equivalency testing. This paragraph (7)  | 
 does not apply to a person who is determined by the court  | 
 to be a person with a developmental disability or  | 
 otherwise mentally incapable of completing the educational  | 
 or vocational program;  | 
  (8) if convicted of possession of a substance  | 
 prohibited by the Cannabis Control Act, the Illinois  | 
 Controlled Substances Act, or the Methamphetamine Control  | 
 and Community Protection Act after a previous conviction  | 
 or disposition of supervision for possession of a  | 
 substance prohibited by the Cannabis Control Act or  | 
 Illinois Controlled Substances Act or after a sentence of  | 
 probation under Section 10 of the Cannabis Control Act,  | 
 Section 410 of the Illinois Controlled Substances Act, or  | 
 Section 70 of the Methamphetamine Control and Community  | 
 | 
 Protection Act and upon a finding by the court that the  | 
 person is addicted, undergo treatment at a substance abuse  | 
 program approved by the court;  | 
  (8.5) if convicted of a felony sex offense as defined  | 
 in the Sex Offender Management Board Act, the person shall  | 
 undergo and successfully complete sex offender treatment  | 
 by a treatment provider approved by the Board and  | 
 conducted in conformance with the standards developed  | 
 under the Sex Offender Management Board Act; | 
  (8.6) if convicted of a sex offense as defined in the  | 
 Sex Offender Management Board Act, refrain from residing  | 
 at the same address or in the same condominium unit or  | 
 apartment unit or in the same condominium complex or  | 
 apartment complex with another person he or she knows or  | 
 reasonably should know is a convicted sex offender or has  | 
 been placed on supervision for a sex offense; the  | 
 provisions of this paragraph do not apply to a person  | 
 convicted of a sex offense who is placed in a Department of  | 
 Corrections licensed transitional housing facility for sex  | 
 offenders; | 
  (8.7) if convicted for an offense committed on or  | 
 after June 1, 2008 (the effective date of Public Act  | 
 95-464) that would qualify the accused as a child sex  | 
 offender as defined in Section 11-9.3 or 11-9.4 of the  | 
 Criminal Code of 1961 or the Criminal Code of 2012,  | 
 refrain from communicating with or contacting, by means of  | 
 | 
 the Internet, a person who is not related to the accused  | 
 and whom the accused reasonably believes to be under 18  | 
 years of age; for purposes of this paragraph (8.7),  | 
 "Internet" has the meaning ascribed to it in Section  | 
 16-0.1 of the Criminal Code of 2012; and a person is not  | 
 related to the accused if the person is not: (i) the  | 
 spouse, brother, or sister of the accused; (ii) a  | 
 descendant of the accused; (iii) a first or second cousin  | 
 of the accused; or (iv) a step-child or adopted child of  | 
 the accused; | 
  (8.8) if convicted for an offense under Section 11-6,  | 
 11-9.1, 11-14.4 that involves soliciting for a juvenile  | 
 prostitute, 11-15.1, 11-20.1, 11-20.1B, 11-20.3, or 11-21  | 
 of the Criminal Code of 1961 or the Criminal Code of 2012,  | 
 or any attempt to commit any of these offenses, committed  | 
 on or after June 1, 2009 (the effective date of Public Act  | 
 95-983): | 
   (i) not access or use a computer or any other  | 
 device with Internet capability without the prior  | 
 written approval of the offender's probation officer,  | 
 except in connection with the offender's employment or  | 
 search for employment with the prior approval of the  | 
 offender's probation officer; | 
   (ii) submit to periodic unannounced examinations  | 
 of the offender's computer or any other device with  | 
 Internet capability by the offender's probation  | 
 | 
 officer, a law enforcement officer, or assigned  | 
 computer or information technology specialist,  | 
 including the retrieval and copying of all data from  | 
 the computer or device and any internal or external  | 
 peripherals and removal of such information,  | 
 equipment, or device to conduct a more thorough  | 
 inspection; | 
   (iii) submit to the installation on the offender's  | 
 computer or device with Internet capability, at the  | 
 offender's expense, of one or more hardware or  | 
 software systems to monitor the Internet use; and | 
   (iv) submit to any other appropriate restrictions  | 
 concerning the offender's use of or access to a  | 
 computer or any other device with Internet capability  | 
 imposed by the offender's probation officer;  | 
  (8.9) if convicted of a sex offense as defined in the  | 
 Sex Offender Registration Act committed on or after  | 
 January 1, 2010 (the effective date of Public Act 96-262),  | 
 refrain from accessing or using a social networking  | 
 website as defined in Section 17-0.5 of the Criminal Code  | 
 of 2012;  | 
  (9) if convicted of a felony or of any misdemeanor  | 
 violation of Section 12-1, 12-2, 12-3, 12-3.2, 12-3.4, or  | 
 12-3.5 of the Criminal Code of 1961 or the Criminal Code of  | 
 2012 that was determined, pursuant to Section 112A-11.1 of  | 
 the Code of Criminal Procedure of 1963, to trigger the  | 
 | 
 prohibitions of 18 U.S.C. 922(g)(9), physically surrender  | 
 at a time and place designated by the court, his or her  | 
 Firearm Owner's Identification Card and any and all  | 
 firearms in his or her possession. The Court shall return  | 
 to the Illinois State Police Firearm Owner's  | 
 Identification Card Office the person's Firearm Owner's  | 
 Identification Card;  | 
  (10) if convicted of a sex offense as defined in  | 
 subsection (a-5) of Section 3-1-2 of this Code, unless the  | 
 offender is a parent or guardian of the person under 18  | 
 years of age present in the home and no non-familial  | 
 minors are present, not participate in a holiday event  | 
 involving children under 18 years of age, such as  | 
 distributing candy or other items to children on  | 
 Halloween, wearing a Santa Claus costume on or preceding  | 
 Christmas, being employed as a department store Santa  | 
 Claus, or wearing an Easter Bunny costume on or preceding  | 
 Easter;  | 
  (11) if convicted of a sex offense as defined in  | 
 Section 2 of the Sex Offender Registration Act committed  | 
 on or after January 1, 2010 (the effective date of Public  | 
 Act 96-362) that requires the person to register as a sex  | 
 offender under that Act, may not knowingly use any  | 
 computer scrub software on any computer that the sex  | 
 offender uses;  | 
  (12) if convicted of a violation of the  | 
 | 
 Methamphetamine Control and Community Protection Act, the  | 
 Methamphetamine Precursor Control Act, or a  | 
 methamphetamine related offense: | 
   (A) prohibited from purchasing, possessing, or  | 
 having under his or her control any product containing  | 
 pseudoephedrine unless prescribed by a physician; and | 
   (B) prohibited from purchasing, possessing, or  | 
 having under his or her control any product containing  | 
 ammonium nitrate; and | 
  (13) if convicted of a hate crime involving the  | 
 protected class identified in subsection (a) of Section  | 
 12-7.1 of the Criminal Code of 2012 that gave rise to the  | 
 offense the offender committed, perform public or  | 
 community service of no less than 200 hours and enroll in  | 
 an educational program discouraging hate crimes that  | 
 includes racial, ethnic, and cultural sensitivity training  | 
 ordered by the court.  | 
 (b) The Court may in addition to other reasonable  | 
conditions relating to the nature of the offense or the  | 
rehabilitation of the defendant as determined for each  | 
defendant in the proper discretion of the Court require that  | 
the person:  | 
  (1) serve a term of periodic imprisonment under  | 
 Article 7 for a period not to exceed that specified in  | 
 paragraph (d) of Section 5-7-1;  | 
  (2) pay a fine and costs;  | 
 | 
  (3) work or pursue a course of study or vocational  | 
 training;  | 
  (4) undergo medical, psychological or psychiatric  | 
 treatment; or treatment for drug addiction or alcoholism;  | 
  (5) attend or reside in a facility established for the  | 
 instruction or residence of defendants on probation;  | 
  (6) support his dependents;  | 
  (7) and in addition, if a minor:  | 
   (i) reside with his parents or in a foster home;  | 
   (ii) attend school;  | 
   (iii) attend a non-residential program for youth;  | 
   (iv) provide nonfinancial contributions to his own  | 
 support at home or in a foster home;  | 
   (v) with the consent of the superintendent of the  | 
 facility, attend an educational program at a facility  | 
 other than the school in which the offense was  | 
 committed if he or she is convicted of a crime of  | 
 violence as defined in Section 2 of the Crime Victims  | 
 Compensation Act committed in a school, on the real  | 
 property comprising a school, or within 1,000 feet of  | 
 the real property comprising a school;  | 
  (8) make restitution as provided in Section 5-5-6 of  | 
 this Code;  | 
  (9) perform some reasonable public or community  | 
 service;  | 
  (10) serve a term of home confinement. In addition to  | 
 | 
 any other applicable condition of probation or conditional  | 
 discharge, the conditions of home confinement shall be  | 
 that the offender:  | 
   (i) remain within the interior premises of the  | 
 place designated for his confinement during the hours  | 
 designated by the court;  | 
   (ii) admit any person or agent designated by the  | 
 court into the offender's place of confinement at any  | 
 time for purposes of verifying the offender's  | 
 compliance with the conditions of his confinement; and  | 
   (iii) if further deemed necessary by the court or  | 
 the probation or court services department Probation  | 
 or Court Services Department, be placed on an approved  | 
 electronic monitoring device, subject to Article 8A of  | 
 Chapter V;  | 
   (iv) for persons convicted of any alcohol,  | 
 cannabis or controlled substance violation who are  | 
 placed on an approved monitoring device as a condition  | 
 of probation or conditional discharge, the court shall  | 
 impose a reasonable fee for each day of the use of the  | 
 device, as established by the county board in  | 
 subsection (g) of this Section, unless after  | 
 determining the inability of the offender to pay the  | 
 fee, the court assesses a lesser fee or no fee as the  | 
 case may be. This fee shall be imposed in addition to  | 
 the fees imposed under subsections (g) and (i) of this  | 
 | 
 Section. The fee shall be collected by the clerk of the  | 
 circuit court, except as provided in an administrative  | 
 order of the Chief Judge of the circuit court. The  | 
 clerk of the circuit court shall pay all monies  | 
 collected from this fee to the county treasurer for  | 
 deposit in the substance abuse services fund under  | 
 Section 5-1086.1 of the Counties Code, except as  | 
 provided in an administrative order of the Chief Judge  | 
 of the circuit court. | 
   The Chief Judge of the circuit court of the county  | 
 may by administrative order establish a program for  | 
 electronic monitoring of offenders, in which a vendor  | 
 supplies and monitors the operation of the electronic  | 
 monitoring device, and collects the fees on behalf of  | 
 the county. The program shall include provisions for  | 
 indigent offenders and the collection of unpaid fees.  | 
 The program shall not unduly burden the offender and  | 
 shall be subject to review by the Chief Judge. | 
   The Chief Judge of the circuit court may suspend  | 
 any additional charges or fees for late payment,  | 
 interest, or damage to any device; and  | 
   (v) for persons convicted of offenses other than  | 
 those referenced in clause (iv) above and who are  | 
 placed on an approved monitoring device as a condition  | 
 of probation or conditional discharge, the court shall  | 
 impose a reasonable fee for each day of the use of the  | 
 | 
 device, as established by the county board in  | 
 subsection (g) of this Section, unless after  | 
 determining the inability of the defendant to pay the  | 
 fee, the court assesses a lesser fee or no fee as the  | 
 case may be. This fee shall be imposed in addition to  | 
 the fees imposed under subsections (g) and (i) of this  | 
 Section. The fee shall be collected by the clerk of the  | 
 circuit court, except as provided in an administrative  | 
 order of the Chief Judge of the circuit court. The  | 
 clerk of the circuit court shall pay all monies  | 
 collected from this fee to the county treasurer who  | 
 shall use the monies collected to defray the costs of  | 
 corrections. The county treasurer shall deposit the  | 
 fee collected in the probation and court services  | 
 fund. The Chief Judge of the circuit court of the  | 
 county may by administrative order establish a program  | 
 for electronic monitoring of offenders, in which a  | 
 vendor supplies and monitors the operation of the  | 
 electronic monitoring device, and collects the fees on  | 
 behalf of the county. The program shall include  | 
 provisions for indigent offenders and the collection  | 
 of unpaid fees. The program shall not unduly burden  | 
 the offender and shall be subject to review by the  | 
 Chief Judge.  | 
   The Chief Judge of the circuit court may suspend  | 
 any additional charges or fees for late payment,  | 
 | 
 interest, or damage to any device.  | 
  (11) comply with the terms and conditions of an order  | 
 of protection issued by the court pursuant to the Illinois  | 
 Domestic Violence Act of 1986, as now or hereafter  | 
 amended, or an order of protection issued by the court of  | 
 another state, tribe, or United States territory. A copy  | 
 of the order of protection shall be transmitted to the  | 
 probation officer or agency having responsibility for the  | 
 case;  | 
  (12) reimburse any "local anti-crime program" as  | 
 defined in Section 7 of the Anti-Crime Advisory Council  | 
 Act for any reasonable expenses incurred by the program on  | 
 the offender's case, not to exceed the maximum amount of  | 
 the fine authorized for the offense for which the  | 
 defendant was sentenced;  | 
  (13) contribute a reasonable sum of money, not to  | 
 exceed the maximum amount of the fine authorized for the  | 
 offense for which the defendant was sentenced, (i) to a  | 
 "local anti-crime program", as defined in Section 7 of the  | 
 Anti-Crime Advisory Council Act, or (ii) for offenses  | 
 under the jurisdiction of the Department of Natural  | 
 Resources, to the fund established by the Department of  | 
 Natural Resources for the purchase of evidence for  | 
 investigation purposes and to conduct investigations as  | 
 outlined in Section 805-105 of the Department of Natural  | 
 Resources (Conservation) Law;  | 
 | 
  (14) refrain from entering into a designated  | 
 geographic area except upon such terms as the court finds  | 
 appropriate. Such terms may include consideration of the  | 
 purpose of the entry, the time of day, other persons  | 
 accompanying the defendant, and advance approval by a  | 
 probation officer, if the defendant has been placed on  | 
 probation or advance approval by the court, if the  | 
 defendant was placed on conditional discharge;  | 
  (15) refrain from having any contact, directly or  | 
 indirectly, with certain specified persons or particular  | 
 types of persons, including, but not limited to, members  | 
 of street gangs and drug users or dealers;  | 
  (16) refrain from having in his or her body the  | 
 presence of any illicit drug prohibited by the Illinois  | 
 Controlled Substances Act or the Methamphetamine Control  | 
 and Community Protection Act, unless prescribed by a  | 
 physician, and submit samples of his or her blood or urine  | 
 or both for tests to determine the presence of any illicit  | 
 drug; | 
  (17) if convicted for an offense committed on or after  | 
 June 1, 2008 (the effective date of Public Act 95-464)  | 
 that would qualify the accused as a child sex offender as  | 
 defined in Section 11-9.3 or 11-9.4 of the Criminal Code  | 
 of 1961 or the Criminal Code of 2012, refrain from  | 
 communicating with or contacting, by means of the  | 
 Internet, a person who is related to the accused and whom  | 
 | 
 the accused reasonably believes to be under 18 years of  | 
 age; for purposes of this paragraph (17), "Internet" has  | 
 the meaning ascribed to it in Section 16-0.1 of the  | 
 Criminal Code of 2012; and a person is related to the  | 
 accused if the person is: (i) the spouse, brother, or  | 
 sister of the accused; (ii) a descendant of the accused;  | 
 (iii) a first or second cousin of the accused; or (iv) a  | 
 step-child or adopted child of the accused; | 
  (18) if convicted for an offense committed on or after  | 
 June 1, 2009 (the effective date of Public Act 95-983)  | 
 that would qualify as a sex offense as defined in the Sex  | 
 Offender Registration Act: | 
   (i) not access or use a computer or any other  | 
 device with Internet capability without the prior  | 
 written approval of the offender's probation officer,  | 
 except in connection with the offender's employment or  | 
 search for employment with the prior approval of the  | 
 offender's probation officer; | 
   (ii) submit to periodic unannounced examinations  | 
 of the offender's computer or any other device with  | 
 Internet capability by the offender's probation  | 
 officer, a law enforcement officer, or assigned  | 
 computer or information technology specialist,  | 
 including the retrieval and copying of all data from  | 
 the computer or device and any internal or external  | 
 peripherals and removal of such information,  | 
 | 
 equipment, or device to conduct a more thorough  | 
 inspection; | 
   (iii) submit to the installation on the offender's  | 
 computer or device with Internet capability, at the  | 
 subject's expense, of one or more hardware or software  | 
 systems to monitor the Internet use; and | 
   (iv) submit to any other appropriate restrictions  | 
 concerning the offender's use of or access to a  | 
 computer or any other device with Internet capability  | 
 imposed by the offender's probation officer; and  | 
  (19) refrain from possessing a firearm or other  | 
 dangerous weapon where the offense is a misdemeanor that  | 
 did not involve the intentional or knowing infliction of  | 
 bodily harm or threat of bodily harm.  | 
 (c) The court may as a condition of probation or of  | 
conditional discharge require that a person under 18 years of  | 
age found guilty of any alcohol, cannabis or controlled  | 
substance violation, refrain from acquiring a driver's license  | 
during the period of probation or conditional discharge. If  | 
such person is in possession of a permit or license, the court  | 
may require that the minor refrain from driving or operating  | 
any motor vehicle during the period of probation or  | 
conditional discharge, except as may be necessary in the  | 
course of the minor's lawful employment.  | 
 (d) An offender sentenced to probation or to conditional  | 
discharge shall be given a certificate setting forth the  | 
 | 
conditions thereof.  | 
 (e) Except where the offender has committed a fourth or  | 
subsequent violation of subsection (c) of Section 6-303 of the  | 
Illinois Vehicle Code, the court shall not require as a  | 
condition of the sentence of probation or conditional  | 
discharge that the offender be committed to a period of  | 
imprisonment in excess of 6 months. This 6-month limit shall  | 
not include periods of confinement given pursuant to a  | 
sentence of county impact incarceration under Section 5-8-1.2. | 
 Persons committed to imprisonment as a condition of  | 
probation or conditional discharge shall not be committed to  | 
the Department of Corrections.  | 
 (f) The court may combine a sentence of periodic  | 
imprisonment under Article 7 or a sentence to a county impact  | 
incarceration program under Article 8 with a sentence of  | 
probation or conditional discharge.  | 
 (g) An offender sentenced to probation or to conditional  | 
discharge and who during the term of either undergoes  | 
mandatory drug or alcohol testing, or both, or is assigned to  | 
be placed on an approved electronic monitoring device, shall  | 
be ordered to pay all costs incidental to such mandatory drug  | 
or alcohol testing, or both, and all costs incidental to such  | 
approved electronic monitoring in accordance with the  | 
defendant's ability to pay those costs. The county board with  | 
the concurrence of the Chief Judge of the judicial circuit in  | 
which the county is located shall establish reasonable fees  | 
 | 
for the cost of maintenance, testing, and incidental expenses  | 
related to the mandatory drug or alcohol testing, or both, and  | 
all costs incidental to approved electronic monitoring,  | 
involved in a successful probation program for the county. The  | 
concurrence of the Chief Judge shall be in the form of an  | 
administrative order. The fees shall be collected by the clerk  | 
of the circuit court, except as provided in an administrative  | 
order of the Chief Judge of the circuit court. The clerk of the  | 
circuit court shall pay all moneys collected from these fees  | 
to the county treasurer who shall use the moneys collected to  | 
defray the costs of drug testing, alcohol testing, and  | 
electronic monitoring. The county treasurer shall deposit the  | 
fees collected in the county working cash fund under Section  | 
6-27001 or Section 6-29002 of the Counties Code, as the case  | 
may be. The Chief Judge of the circuit court of the county may  | 
by administrative order establish a program for electronic  | 
monitoring of offenders, in which a vendor supplies and  | 
monitors the operation of the electronic monitoring device,  | 
and collects the fees on behalf of the county. The program  | 
shall include provisions for indigent offenders and the  | 
collection of unpaid fees. The program shall not unduly burden  | 
the offender and shall be subject to review by the Chief Judge.  | 
A person shall not be assessed costs or fees for mandatory  | 
testing for drugs, alcohol, or both, if the person is an  | 
indigent person as defined in paragraph (2) of subsection (a)  | 
of Section 5-105 of the Code of Civil Procedure. | 
 | 
 The Chief Judge of the circuit court may suspend any  | 
additional charges or fees for late payment, interest, or  | 
damage to any device.  | 
 (h) Jurisdiction over an offender may be transferred from  | 
the sentencing court to the court of another circuit with the  | 
concurrence of both courts. Further transfers or retransfers  | 
of jurisdiction are also authorized in the same manner. The  | 
court to which jurisdiction has been transferred shall have  | 
the same powers as the sentencing court. The probation  | 
department within the circuit to which jurisdiction has been  | 
transferred, or which has agreed to provide supervision, may  | 
impose probation fees upon receiving the transferred offender,  | 
as provided in subsection (i). For all transfer cases, as  | 
defined in Section 9b of the Probation and Probation Officers  | 
Act, the probation department from the original sentencing  | 
court shall retain all probation fees collected prior to the  | 
transfer. After the transfer, all probation fees shall be paid  | 
to the probation department within the circuit to which  | 
jurisdiction has been transferred. | 
 (i) The court shall impose upon an offender sentenced to  | 
probation after January 1, 1989 or to conditional discharge  | 
after January 1, 1992 or to community service under the  | 
supervision of a probation or court services department after  | 
January 1, 2004, as a condition of such probation or  | 
conditional discharge or supervised community service, a fee  | 
of $50 for each month of probation or conditional discharge  | 
 | 
supervision or supervised community service ordered by the  | 
court, unless after determining the inability of the person  | 
sentenced to probation or conditional discharge or supervised  | 
community service to pay the fee, the court assesses a lesser  | 
fee. The court may not impose the fee on a minor who is placed  | 
in the guardianship or custody of the Department of Children  | 
and Family Services under the Juvenile Court Act of 1987 while  | 
the minor is in placement. The fee shall be imposed only upon  | 
an offender who is actively supervised by the probation and  | 
court services department. The fee shall be collected by the  | 
clerk of the circuit court. The clerk of the circuit court  | 
shall pay all monies collected from this fee to the county  | 
treasurer for deposit in the probation and court services fund  | 
under Section 15.1 of the Probation and Probation Officers  | 
Act.  | 
 A circuit court may not impose a probation fee under this  | 
subsection (i) in excess of $25 per month unless the circuit  | 
court has adopted, by administrative order issued by the Chief  | 
Judge chief judge, a standard probation fee guide determining  | 
an offender's ability to pay. Of the amount collected as a  | 
probation fee, up to $5 of that fee collected per month may be  | 
used to provide services to crime victims and their families. | 
 The Court may only waive probation fees based on an  | 
offender's ability to pay. The probation department may  | 
re-evaluate an offender's ability to pay every 6 months, and,  | 
with the approval of the Director of Court Services or the  | 
 | 
Chief Probation Officer, adjust the monthly fee amount. An  | 
offender may elect to pay probation fees due in a lump sum. Any  | 
offender that has been assigned to the supervision of a  | 
probation department, or has been transferred either under  | 
subsection (h) of this Section or under any interstate  | 
compact, shall be required to pay probation fees to the  | 
department supervising the offender, based on the offender's  | 
ability to pay.  | 
 Public Act 93-970 deletes the $10 increase in the fee  | 
under this subsection that was imposed by Public Act 93-616.  | 
This deletion is intended to control over any other Act of the  | 
93rd General Assembly that retains or incorporates that fee  | 
increase. | 
 (i-5) In addition to the fees imposed under subsection (i)  | 
of this Section, in the case of an offender convicted of a  | 
felony sex offense (as defined in the Sex Offender Management  | 
Board Act) or an offense that the court or probation  | 
department has determined to be sexually motivated (as defined  | 
in the Sex Offender Management Board Act), the court or the  | 
probation department shall assess additional fees to pay for  | 
all costs of treatment, assessment, evaluation for risk and  | 
treatment, and monitoring the offender, based on that  | 
offender's ability to pay those costs either as they occur or  | 
under a payment plan. | 
 (j) All fines and costs imposed under this Section for any  | 
violation of Chapters 3, 4, 6, and 11 of the Illinois Vehicle  | 
 | 
Code, or a similar provision of a local ordinance, and any  | 
violation of the Child Passenger Protection Act, or a similar  | 
provision of a local ordinance, shall be collected and  | 
disbursed by the circuit clerk as provided under the Criminal  | 
and Traffic Assessment Act.  | 
 (k) Any offender who is sentenced to probation or  | 
conditional discharge for a felony sex offense as defined in  | 
the Sex Offender Management Board Act or any offense that the  | 
court or probation department has determined to be sexually  | 
motivated as defined in the Sex Offender Management Board Act  | 
shall be required to refrain from any contact, directly or  | 
indirectly, with any persons specified by the court and shall  | 
be available for all evaluations and treatment programs  | 
required by the court or the probation department.  | 
 (l) The court may order an offender who is sentenced to  | 
probation or conditional discharge for a violation of an order  | 
of protection be placed under electronic surveillance as  | 
provided in Section 5-8A-7 of this Code. | 
 (m) Except for restitution, and assessments issued for  | 
adjudications under Section 5-125 of the Juvenile Court Act of  | 
1987, fines and assessments, such as fees or administrative  | 
costs, authorized under this Section shall not be ordered or  | 
imposed on a minor subject to Article III, IV, or V of the  | 
Juvenile Court Act of 1987, or a minor under the age of 18  | 
transferred to adult court or excluded from juvenile court  | 
jurisdiction under Article V of the Juvenile Court Act of  | 
 | 
1987, or the minor's parent, guardian, or legal custodian.  | 
 (n) (m) A person on probation, conditional discharge, or  | 
supervision shall not be ordered to refrain from having  | 
cannabis or alcohol in his or her body unless: | 
  (1) the person is under 21 years old; | 
  (2) the person was sentenced to probation, conditional  | 
 discharge, or supervision for an offense which had as an  | 
 element of the offense the presence of an intoxicating  | 
 compound in the person's body; | 
  (3) the person is participating in a problem-solving  | 
 court certified by the Illinois Supreme Court; | 
  (4) the person has undergone a validated clinical  | 
 assessment and the clinical treatment plan includes  | 
 alcohol or cannabis testing; or | 
  (5) a court ordered evaluation recommends that the  | 
 person refrain from using alcohol or cannabis, provided  | 
 the evaluation is a validated clinical assessment and the  | 
 recommendation originates from a clinical treatment plan. | 
 If the court has made findings that alcohol use was a  | 
contributing factor in the commission of the underlying  | 
offense, the court may order a person on probation,  | 
conditional discharge, or supervision to refrain from having  | 
alcohol in his or her body during the time between sentencing  | 
and the completion of a validated clinical assessment,  | 
provided that such order shall not exceed 30 days and shall be  | 
terminated if the clinical treatment plan does not recommend  | 
 | 
abstinence or testing, or both.  | 
 In this subsection (n) (m), "validated clinical  | 
assessment" and "clinical treatment plan" have the meanings  | 
ascribed to them in Section 10 of the Drug Court Treatment Act.  | 
 In any instance in which the court orders testing for  | 
cannabis or alcohol, the court shall state the reasonable  | 
relation the condition has to the person's crime for which the  | 
person was placed on probation, conditional discharge, or  | 
supervision. | 
 (o) (n) A person on probation, conditional discharge, or  | 
supervision shall not be ordered to refrain from use or  | 
consumption of any substance lawfully prescribed by a medical  | 
provider or authorized by the Compassionate Use of Medical  | 
Cannabis Program Act, except where use is prohibited in  | 
paragraph (3) or (4) of subsection (n) (m).  | 
(Source: P.A. 102-538, eff. 8-20-21; 102-558, eff. 8-20-21;  | 
103-271, eff. 1-1-24; 103-379, eff. 7-28-23; 103-391, eff.  | 
1-1-24; revised 12-15-23.)
 | 
 (730 ILCS 5/5-9-1.4) (from Ch. 38, par. 1005-9-1.4) | 
 Sec. 5-9-1.4. (a) "Crime laboratory" means any  | 
not-for-profit laboratory registered with the Drug Enforcement  | 
Administration of the United States Department of Justice,  | 
substantially funded by a unit or combination of units of  | 
local government or the State of Illinois, which regularly  | 
employs at least one person engaged in the analysis of  | 
 | 
controlled substances, cannabis, methamphetamine, or steroids  | 
for criminal justice agencies in criminal matters and provides  | 
testimony with respect to such examinations. | 
 (b) (Blank). | 
 (c) (Blank). | 
 (c-1) A criminal laboratory analysis assessment, or  | 
equivalent fine or assessment, such as fees or administrative  | 
costs, shall not be ordered or imposed on a minor subject to  | 
Article III, IV, or V of the Juvenile Court Act of 1987, or a  | 
minor under the age of 18 transferred to adult court or  | 
excluded from juvenile court jurisdiction under Article V of  | 
the Juvenile Court Act of 1987, or the minor's parent,  | 
guardian, or legal custodian.  | 
 (d) Notwithstanding subsection (c-1) of this Section, all  | 
funds provided for by this Section shall be collected by the  | 
clerk of the court and forwarded to the appropriate crime  | 
laboratory fund as provided in subsection (f). | 
 (e) Crime laboratory funds shall be established as  | 
follows: | 
  (1) Any unit of local government which maintains a  | 
 crime laboratory may establish a crime laboratory fund  | 
 within the office of the county or municipal treasurer. | 
  (2) Any combination of units of local government which  | 
 maintains a crime laboratory may establish a crime  | 
 laboratory fund within the office of the treasurer of the  | 
 county where the crime laboratory is situated. | 
 | 
  (3) The State Crime Laboratory Fund is hereby created  | 
 as a special fund in the State Treasury. | 
 (f) Funds shall be forwarded to the office of the  | 
treasurer of the unit of local government that performed the  | 
analysis if that unit of local government has established a  | 
crime laboratory fund, or to the State Crime Laboratory Fund  | 
if the analysis was performed by a laboratory operated by the  | 
Illinois State Police. If the analysis was performed by a  | 
crime laboratory funded by a combination of units of local  | 
government, the funds shall be forwarded to the treasurer of  | 
the county where the crime laboratory is situated if a crime  | 
laboratory fund has been established in that county. If the  | 
unit of local government or combination of units of local  | 
government has not established a crime laboratory fund, then  | 
the funds shall be forwarded to the State Crime Laboratory  | 
Fund. | 
 (g) Moneys deposited into a crime laboratory fund created  | 
pursuant to paragraph (1) or (2) of subsection (e) of this  | 
Section shall be in addition to any allocations made pursuant  | 
to existing law and shall be designated for the exclusive use  | 
of the crime laboratory. These uses may include, but are not  | 
limited to, the following: | 
  (1) costs incurred in providing analysis for  | 
 controlled substances in connection with criminal  | 
 investigations conducted within this State; | 
  (2) purchase and maintenance of equipment for use in  | 
 | 
 performing analyses; and | 
  (3) continuing education, training, and professional  | 
 development of forensic scientists regularly employed by  | 
 these laboratories. | 
 (h) Moneys deposited in the State Crime Laboratory Fund  | 
created pursuant to paragraph (3) of subsection (d) of this  | 
Section shall be used by State crime laboratories as  | 
designated by the Director of the Illinois State Police. These  | 
funds shall be in addition to any allocations made pursuant to  | 
existing law and shall be designated for the exclusive use of  | 
State crime laboratories or for the sexual assault evidence  | 
tracking system created under Section 50 of the Sexual Assault  | 
Evidence Submission Act. These uses may include those  | 
enumerated in subsection (g) of this Section. | 
(Source: P.A. 102-505, eff. 8-20-21; 102-538, eff. 8-20-21;  | 
102-813, eff. 5-13-22; 103-363, eff. 7-28-23; 103-379, eff.  | 
7-28-23; revised 9-14-23.)
 | 
 (730 ILCS 5/5-9-1.9) | 
 Sec. 5-9-1.9. DUI analysis.  | 
 (a) "Crime laboratory" means a not-for-profit laboratory  | 
substantially funded by a single unit or combination of units  | 
of local government or the State of Illinois that regularly  | 
employs at least one person engaged in the DUI analysis of  | 
blood, other bodily substance, and urine for criminal justice  | 
agencies in criminal matters and provides testimony with  | 
 | 
respect to such examinations. | 
 "DUI analysis" means an analysis of blood, other bodily  | 
substance, or urine for purposes of determining whether a  | 
violation of Section 11-501 of the Illinois Vehicle Code has  | 
occurred. | 
 (b) (Blank). | 
 (c) (Blank). | 
 (c-1) A criminal laboratory DUI analysis assessment, or  | 
equivalent fine or assessment, such as fees or administrative  | 
costs, shall not be ordered or imposed on a minor subject to  | 
Article III, IV, or V of the Juvenile Court Act of 1987, or a  | 
minor under the age of 18 transferred to adult court or  | 
excluded from juvenile court jurisdiction under Article V of  | 
the Juvenile Court Act of 1987, or the minor's parent,  | 
guardian, or legal custodian.  | 
 (d) Notwithstanding subsection (c-1), all funds provided  | 
for by this Section shall be collected by the clerk of the  | 
court and forwarded to the appropriate crime laboratory DUI  | 
fund as provided in subsection (f). | 
 (e) Crime laboratory funds shall be established as  | 
follows: | 
  (1) A unit of local government that maintains a crime  | 
 laboratory may establish a crime laboratory DUI fund  | 
 within the office of the county or municipal treasurer. | 
  (2) Any combination of units of local government that  | 
 maintains a crime laboratory may establish a crime  | 
 | 
 laboratory DUI fund within the office of the treasurer of  | 
 the county where the crime laboratory is situated. | 
  (3) (Blank). | 
 (f) Notwithstanding subsection (c-1), all funds shall be  | 
forwarded to the office of the treasurer of the unit of local  | 
government that performed the analysis if that unit of local  | 
government has established a crime laboratory DUI fund, or  | 
remitted to the State Treasurer for deposit into the State  | 
Crime Laboratory Fund if the analysis was performed by a  | 
laboratory operated by the Illinois State Police. If the  | 
analysis was performed by a crime laboratory funded by a  | 
combination of units of local government, the funds shall be  | 
forwarded to the treasurer of the county where the crime  | 
laboratory is situated if a crime laboratory DUI fund has been  | 
established in that county. If the unit of local government or  | 
combination of units of local government has not established a  | 
crime laboratory DUI fund, then the funds shall be remitted to  | 
the State Treasurer for deposit into the State Crime  | 
Laboratory Fund. | 
 (g) Moneys deposited into a crime laboratory DUI fund  | 
created under paragraphs (1) and (2) of subsection (e) of this  | 
Section shall be in addition to any allocations made pursuant  | 
to existing law and shall be designated for the exclusive use  | 
of the crime laboratory. These uses may include, but are not  | 
limited to, the following: | 
  (1) Costs incurred in providing analysis for DUI  | 
 | 
 investigations conducted within this State. | 
  (2) Purchase and maintenance of equipment for use in  | 
 performing analyses. | 
  (3) Continuing education, training, and professional  | 
 development of forensic scientists regularly employed by  | 
 these laboratories. | 
 (h) Moneys deposited in the State Crime Laboratory Fund  | 
shall be used by State crime laboratories as designated by the  | 
Director of the Illinois State Police. These funds shall be in  | 
addition to any allocations made according to existing law and  | 
shall be designated for the exclusive use of State crime  | 
laboratories. These uses may include those enumerated in  | 
subsection (g) of this Section. | 
 (i) (Blank).  | 
(Source: P.A. 102-16, eff. 6-17-21; 102-145, eff. 7-23-21;  | 
102-538, eff. 8-20-21; 102-813, eff. 5-13-22; 103-363, eff.  | 
7-28-23; 103-379, eff. 7-28-23; revised 9-14-23.)
 | 
 Section 570. The Arsonist Registration Act is amended by  | 
changing Section 35 as follows:
 | 
 (730 ILCS 148/35) | 
 Sec. 35. Duty to report change of address, school, name,  | 
or employment.  Any person who is required to register under  | 
this Act shall report in person to the appropriate law  | 
enforcement agency with whom he or she last registered within  | 
 | 
one year from the date of last registration and every year  | 
thereafter. If any person required to register under this Act  | 
changes his or her residence address, place of employment, or  | 
school, he or she shall, in writing, within 10 days inform the  | 
law enforcement agency with whom he or she last registered of  | 
his or her new address, change in employment, or school and  | 
register with the appropriate law enforcement agency within  | 
the time period specified in Section 10. Any person who is  | 
required to register under this Act and is granted a legal name  | 
change pursuant to subsection (b) of Section 21-101 of the  | 
Code of Civil Procedure shall, in writing, within 10 days  | 
inform the law enforcement agency with whom the person they  | 
last registered of the their name change. The law enforcement  | 
agency shall, within 3 days of receipt, notify the Illinois  | 
State Police and the law enforcement agency having  | 
jurisdiction of the new place of residence, change in  | 
employment, or school. If any person required to register  | 
under this Act establishes a residence or employment outside  | 
of the State of Illinois, within 10 days after establishing  | 
that residence or employment, he or she shall, in writing,  | 
inform the law enforcement agency with which he or she last  | 
registered of his or her out-of-state residence or employment.  | 
The law enforcement agency with which such person last  | 
registered shall, within 3 days' days notice of an address or  | 
employment change, notify the Illinois State Police. The  | 
Illinois State Police shall forward such information to the  | 
 | 
out-of-state law enforcement agency having jurisdiction in the  | 
form and manner prescribed by the Illinois State Police.  | 
(Source: P.A. 102-538, eff. 8-20-21; 102-1133, eff. 1-1-24;  | 
revised 12-15-23.)
 | 
 Section 575. The Sex Offender Registration Act is amended  | 
by changing Section 6 as follows:
 | 
 (730 ILCS 150/6) | 
 Sec. 6. Duty to report; change of address, school, name,  | 
or employment; duty to inform.  A person who has been  | 
adjudicated to be sexually dangerous or is a sexually violent  | 
person and is later released, or found to be no longer sexually  | 
dangerous or no longer a sexually violent person and  | 
discharged, or convicted of a violation of this Act after July  | 
1, 2005, shall report in person to the law enforcement agency  | 
with whom he or she last registered no later than 90 days after  | 
the date of his or her last registration and every 90 days  | 
thereafter and at such other times at the request of the law  | 
enforcement agency not to exceed 4 times a year. Such sexually  | 
dangerous or sexually violent person must report all new or  | 
changed e-mail addresses, all new or changed instant messaging  | 
identities, all new or changed chat room identities, and all  | 
other new or changed Internet communications identities that  | 
the sexually dangerous or sexually violent person uses or  | 
plans to use, all new or changed Uniform Resource Locators  | 
 | 
(URLs) registered or used by the sexually dangerous or  | 
sexually violent person, and all new or changed blogs and  | 
other Internet sites maintained by the sexually dangerous or  | 
sexually violent person or to which the sexually dangerous or  | 
sexually violent person has uploaded any content or posted any  | 
messages or information. Any person who lacks a fixed  | 
residence must report weekly, in person, to the appropriate  | 
law enforcement agency where the sex offender is located. Any  | 
other person who is required to register under this Article  | 
shall report in person to the appropriate law enforcement  | 
agency with whom he or she last registered within one year from  | 
the date of last registration and every year thereafter and at  | 
such other times at the request of the law enforcement agency  | 
not to exceed 4 times a year. If any person required to  | 
register under this Article lacks a fixed residence or  | 
temporary domicile, he or she must notify, in person, the  | 
agency of jurisdiction of his or her last known address within  | 
3 days after ceasing to have a fixed residence and if the  | 
offender leaves the last jurisdiction of residence, he or she,  | 
must within 3 days after leaving register in person with the  | 
new agency of jurisdiction. If any other person required to  | 
register under this Article changes his or her residence  | 
address, place of employment, telephone number, cellular  | 
telephone number, or school, he or she shall report in person,  | 
to the law enforcement agency with whom he or she last  | 
registered, his or her new address, change in employment,  | 
 | 
telephone number, cellular telephone number, or school, all  | 
new or changed e-mail addresses, all new or changed instant  | 
messaging identities, all new or changed chat room identities,  | 
and all other new or changed Internet communications  | 
identities that the sex offender uses or plans to use, all new  | 
or changed Uniform Resource Locators (URLs) registered or used  | 
by the sex offender, and all new or changed blogs and other  | 
Internet sites maintained by the sex offender or to which the  | 
sex offender has uploaded any content or posted any messages  | 
or information, and register, in person, with the appropriate  | 
law enforcement agency within the time period specified in  | 
Section 3. If any person required to register under this  | 
Article is granted a legal name change pursuant to subsection  | 
(b) of Section 21-101 of the Code of Civil Procedure, the  | 
person they shall report, in person, within 3 days of the their  | 
legal name change, to the law enforcement agency with whom the  | 
person they last registered. If the sex offender is a child sex  | 
offender as defined in Section 11-9.3 or 11-9.4 of the  | 
Criminal Code of 1961 or the Criminal Code of 2012, the sex  | 
offender shall within 3 days after beginning to reside in a  | 
household with a child under 18 years of age who is not his or  | 
her own child, provided that his or her own child is not the  | 
victim of the sex offense, report that information to the  | 
registering law enforcement agency. The law enforcement agency  | 
shall, within 3 days of the reporting in person by the person  | 
required to register under this Article, notify the Illinois  | 
 | 
State Police of the new place of residence, change in  | 
employment, telephone number, cellular telephone number, or  | 
school. | 
 If any person required to register under this Article  | 
intends to establish a residence or employment outside of the  | 
State of Illinois, at least 10 days before establishing that  | 
residence or employment, he or she shall report in person to  | 
the law enforcement agency with which he or she last  | 
registered of his or her out-of-state intended residence or  | 
employment. The law enforcement agency with which such person  | 
last registered shall, within 3 days after the reporting in  | 
person of the person required to register under this Article  | 
of an address or employment change, notify the Illinois State  | 
Police. The Illinois State Police shall forward such  | 
information to the out-of-state law enforcement agency having  | 
jurisdiction in the form and manner prescribed by the Illinois  | 
State Police. | 
(Source: P.A. P.A. 102-538, eff. 8-20-21; 102-1133, eff.  | 
1-1-24; revised 12-15-23.)
 | 
 Section 580. The Murderer and Violent Offender Against  | 
Youth Registration Act is amended by changing Section 30 as  | 
follows:
 | 
 (730 ILCS 154/30) | 
 Sec. 30. Duty to report; change of address, school, name,  | 
 | 
or employment; duty to inform.  Any violent offender against  | 
youth who is required to register under this Act shall report  | 
in person to the appropriate law enforcement agency with whom  | 
he or she last registered within one year from the date of last  | 
registration and every year thereafter and at such other times  | 
at the request of the law enforcement agency not to exceed 4  | 
times a year. If any person required to register under this Act  | 
lacks a fixed residence or temporary domicile, he or she must  | 
notify, in person, the agency of jurisdiction of his or her  | 
last known address within 5 days after ceasing to have a fixed  | 
residence and if the offender leaves the last jurisdiction of  | 
residence, he or she must, within 48 hours after leaving,  | 
register in person with the new agency of jurisdiction. If any  | 
other person required to register under this Act changes his  | 
or her residence address, place of employment, or school, he  | 
or she shall report in person to the law enforcement agency  | 
with whom he or she last registered of his or her new address,  | 
change in employment, or school and register, in person, with  | 
the appropriate law enforcement agency within the time period  | 
specified in Section 10. The law enforcement agency shall,  | 
within 3 days of the reporting in person by the person required  | 
to register under this Act, notify the Illinois State Police  | 
of the new place of residence, change in employment, or  | 
school. If any person required to register under this Act is  | 
granted a legal name change pursuant to subsection (b) of  | 
Section 21-101 of the Code of Civil Procedure, the person they  | 
 | 
shall report, in person, within 5 days of receiving the their  | 
legal name change order, the their legal name change to the law  | 
enforcement agency with whom the person they last registered.  | 
 If any person required to register under this Act intends  | 
to establish a residence or employment outside of the State of  | 
Illinois, at least 10 days before establishing that residence  | 
or employment, he or she shall report in person to the law  | 
enforcement agency with which he or she last registered of his  | 
or her out-of-state intended residence or employment. The law  | 
enforcement agency with which such person last registered  | 
shall, within 3 days after the reporting in person of the  | 
person required to register under this Act of an address or  | 
employment change, notify the Illinois State Police. The  | 
Illinois State Police shall forward such information to the  | 
out-of-state law enforcement agency having jurisdiction in the  | 
form and manner prescribed by the Illinois State Police. | 
(Source: P.A. 102-538, eff. 8-20-21; 102-1133, eff. 1-1-24;  | 
revised 12-15-23.)
 | 
 Section 585. The End Youth Solitary Confinement Act is  | 
amended by changing Section 10 as follows:
 | 
 (730 ILCS 215/10) | 
 Sec. 10. Covered juvenile confinement.   | 
 (a) In this Act: | 
 "Administrative hold" means the status assigned to a  | 
 | 
covered juvenile who is temporarily being housed in a  | 
particular covered juvenile center and includes, but is not  | 
limited to: a covered juvenile awaiting transfer to another  | 
juvenile detention center, a covered juvenile permanently  | 
assigned to another juvenile detention center being  | 
temporarily housed for purposes of attending court, the  | 
covered juvenile awaiting release, and the covered juvenile  | 
who was transferred to the Department of Corrections by  | 
mistake.  | 
 "Behavioral hold" means the status assigned to a covered  | 
juvenile who is confined to the covered juvenile's own room or  | 
another area because he or she is engaging in dangerous  | 
behavior that poses a serious and immediate threat to his or  | 
her own safety, the safety of others, or the security of the  | 
juvenile detention center.  | 
 "Chief administrative officer" means the highest ranking  | 
official of a juvenile detention center. | 
 "Confinement" means any instance when an individual  | 
covered juvenile is held for 15 minutes or more in a room,  | 
cell, or other area separated from other covered juveniles.  | 
Confinement may occur in locked or unlocked rooms.  | 
"Confinement" includes an administrative hold, behavioral  | 
hold, or investigative status. "Confinement" does not include  | 
medical isolation or quarantine, situations when a covered  | 
juvenile requests to go to his or her room, the movement of the  | 
covered juvenile between offices and classrooms while  | 
 | 
attending school, a covered juvenile who receives individual  | 
counseling or other therapeutic services, or staff who are in  | 
ongoing continuous conversation or processing with the covered  | 
juvenile, such as a cool down.   | 
 "Covered juvenile" means any person under 21 years of age  | 
incarcerated in a Department of Juvenile Justice facility or  | 
any person under 18 years of age detained in a county facility  | 
under the authority of the local circuit court. | 
 "Investigative status" means a status assigned to a  | 
covered juvenile for whom confinement is necessary for the  | 
efficient and effective investigation of a Tier 2 or Tier 3  | 
offense, as defined in the Department of Juvenile Justice's  | 
Administrative Directive 04.01.140. | 
 "Tier 2" or "Tier 3" offense means a major rules violation  | 
that results in immediate disciplinary consequences that are  | 
assigned by the staff of a facility of the Illinois Department  | 
of Juvenile Justice reporting the violation. | 
 (b) The use of room confinement at a youth facility for  | 
discipline, punishment, retaliation, or any reason other than  | 
as a temporary response to a juvenile's behavior that poses a  | 
serious and immediate risk of physical harm to any individual,  | 
including the juvenile, is prohibited. | 
 (b-5) A covered juvenile may be placed on an  | 
administrative hold and confined when temporarily being housed  | 
in a particular juvenile detention center or for  | 
administrative or security purposes as personally determined  | 
 | 
by the chief administrative officer. | 
 (b-6) Placement on administrative hold shall be subject to  | 
the following time limitations: | 
  (1) when the covered juvenile is awaiting transfer to  | 
 a youth facility or a more secure setting, the  | 
 administrative hold may not exceed 3 business days; and | 
  (2) the administrative hold may not exceed 7 calendar  | 
 days when the covered juvenile is temporarily transferred  | 
 to a different facility for the purposes of placement  | 
 interviews, court appearances, or medical treatment. | 
 (b-7) Whenever a covered juvenile is on an administrative  | 
hold, the Department shall provide the covered juvenile with  | 
access to the same programs and services received by covered  | 
juveniles in the general population. Any restrictions on  | 
movement or access to programs and services shall be  | 
documented and justified by the chief administrative officer. | 
 (c) If a covered juvenile poses a serious and immediate  | 
risk of physical harm to any individual, including the  | 
juvenile, before a staff member of the facility places a  | 
covered juvenile in room confinement, the staff member shall  | 
attempt to use other less restrictive options, unless  | 
attempting those options poses a threat to the safety or  | 
security of any minor or staff. | 
 (d) If a covered juvenile is placed in room confinement  | 
because the covered juvenile poses a serious and immediate  | 
risk of physical harm to himself or herself, or to others, the  | 
 | 
covered juvenile shall be released: | 
  (1) immediately when the covered juvenile has  | 
 sufficiently gained control so as to no longer engage in  | 
 behavior that threatens serious and immediate risk of  | 
 physical harm to himself or herself, or to others; or | 
  (2) no more than 24 hours after being placed in room  | 
 confinement if a covered juvenile does not sufficiently  | 
 gain control as described in paragraph (1) of this  | 
 subsection (d) and poses a serious and immediate risk of  | 
 physical harm to himself or herself or others, not later  | 
 than: | 
   (A) 3 hours after being placed in room  | 
 confinement, in the case of a covered juvenile who  | 
 poses a serious and immediate risk of physical harm to  | 
 others; or | 
   (B) 30 minutes after being placed in room  | 
 confinement, in the case of a covered juvenile who  | 
 poses a serious and immediate risk of physical harm  | 
 only to himself or herself.  | 
 (e) If, after the applicable maximum period of confinement  | 
has expired, a covered juvenile continues to pose a serious  | 
and immediate risk of physical harm to others: | 
  (1) the covered juvenile shall be transferred to  | 
 another facility, when available, or internal location  | 
 where services can be provided to the covered juvenile  | 
 without relying on room confinement; or | 
 | 
  (2) if a qualified mental health professional believes  | 
 the level of crisis service needed is not currently  | 
 available, a staff member of the facility shall initiate a  | 
 referral to a location that can meet the needs of the  | 
 covered juvenile. | 
 (f) Each facility detaining covered juveniles shall report  | 
the use of each incident of room confinement to an independent  | 
ombudsperson for the Department of Juvenile Justice each  | 
month, including: | 
  (1) the name of the covered juvenile; | 
  (2) demographic data, including, at a minimum, age,  | 
 race, gender, and primary language; | 
  (3) the reason for room confinement, including how  | 
 detention facility officials determined the covered  | 
 juvenile posed an immediate risk of physical harm to  | 
 others or to the covered juvenile him or herself; | 
  (4) the length of room confinement; | 
  (5) the number of covered juveniles transferred to  | 
 another facility or referred referral to a separate crisis  | 
 location covered under subsection (e); and | 
  (6) the name of detention facility officials involved  | 
 in each instance of room confinement.  | 
 (g) An independent ombudsperson for the Department of  | 
Juvenile Justice may review a detention facility's adherence  | 
to this Section. | 
(Source: P.A. 103-178, eff. 1-1-24; revised 12-19-23.)
 | 
 | 
 Section 590. The Code of Civil Procedure is amended by  | 
changing Sections 21-101, 21-102, 21-102.5, and 21-103 as  | 
follows:
 | 
 (735 ILCS 5/21-101) (from Ch. 110, par. 21-101) | 
 Sec. 21-101. Proceedings; parties.  | 
 (a) If any person who is a resident of this State and has  | 
resided in this State for 6 months desires to change his or her  | 
name and to assume another name by which to be afterwards  | 
called and known, the person may file a petition requesting  | 
that relief in the circuit court of the county wherein he or  | 
she resides. | 
 (b) A person who has been convicted of any offense for  | 
which a person is required to register under the Sex Offender  | 
Registration Act, the Murderer and Violent Offender Against  | 
Youth Registration Act, or the Arsonist Registration Act in  | 
this State or any other state and who has not been pardoned is  | 
not permitted to file a petition for a name change in the  | 
courts of this State during the period that the person is  | 
required to register, unless that person verifies under oath,  | 
as provided under Section 1-109, that the petition for the  | 
name change is due to marriage, religious beliefs, status as a  | 
victim of trafficking or gender-related identity as defined by  | 
the Illinois Human Rights Act. A judge may grant or deny the  | 
request for legal name change filed by such persons. Any such  | 
 | 
persons granted a legal name change shall report the change to  | 
the law enforcement agency having jurisdiction of their  | 
current registration pursuant to the Duty to Report  | 
requirements specified in Section 35 of the Arsonist  | 
Registration Act, Section 20 of the Murderer and Violent  | 
Offender Against Youth Registration Act, and Section 6 of the  | 
Sex Offender Registration Act. For the purposes of this  | 
subsection, a person will not face a felony charge if the  | 
person's request for legal name change is denied without proof  | 
of perjury. | 
 (b-1) A person who has been convicted of a felony offense  | 
in this State or any other state and whose sentence has not  | 
been completed, terminated, or discharged is not permitted to  | 
file a petition for a name change in the courts of this State  | 
unless that person is pardoned for the offense. | 
 (c) A petitioner may include his or her spouse and adult  | 
unmarried children, with their consent, and his or her minor  | 
children where it appears to the court that it is for their  | 
best interest, in the petition and relief requested, and the  | 
court's order shall then include the spouse and children.  | 
Whenever any minor has resided in the family of any person for  | 
the space of 3 years and has been recognized and known as an  | 
adopted child in the family of that person, the application  | 
herein provided for may be made by the person having that minor  | 
in his or her family. | 
 An order shall be entered as to a minor only if the court  | 
 | 
finds by clear and convincing evidence that the change is  | 
necessary to serve the best interest of the child. In  | 
determining the best interest of a minor child under this  | 
Section, the court shall consider all relevant factors,  | 
including: | 
  (1) The wishes of the child's parents and any person  | 
 acting as a parent who has physical custody of the child. | 
  (2) The wishes of the child and the reasons for those  | 
 wishes. The court may interview the child in chambers to  | 
 ascertain the child's wishes with respect to the change of  | 
 name. Counsel shall be present at the interview unless  | 
 otherwise agreed upon by the parties. The court shall  | 
 cause a court reporter to be present who shall make a  | 
 complete record of the interview instantaneously to be  | 
 part of the record in the case. | 
  (3) The interaction and interrelationship of the child  | 
 with his or her parents or persons acting as parents who  | 
 have physical custody of the child, step-parents,  | 
 siblings, step-siblings, or any other person who may  | 
 significantly affect the child's best interest. | 
  (4) The child's adjustment to his or her home, school,  | 
 and community. | 
 (d) If it appears to the court that the conditions and  | 
requirements under this Article have been complied with and  | 
that there is no reason why the relief requested should not be  | 
granted, the court, by an order to be entered of record, may  | 
 | 
direct and provide that the name of that person be changed in  | 
accordance with the relief requested in the petition. If the  | 
circuit court orders that a name change be granted to a person  | 
who has been adjudicated or convicted of a felony or  | 
misdemeanor offense under the laws of this State or any other  | 
state for which a pardon has not been granted, or has an arrest  | 
for which a charge has not been filed or a pending charge on a  | 
felony or misdemeanor offense, a copy of the order, including  | 
a copy of each applicable access and review response, shall be  | 
forwarded to the Illinois State Police. The Illinois State  | 
Police shall update any criminal history transcript or  | 
offender registration of each person 18 years of age or older  | 
in the order to include the change of name as well as his or  | 
her former name.  | 
(Source: P.A. 102-538, eff. 8-20-21; 102-1133, eff. 1-1-24;  | 
revised 12-15-23.)
 | 
 (735 ILCS 5/21-102) (from Ch. 110, par. 21-102) | 
 Sec. 21-102. Petition; update criminal history transcript.  | 
 (a) The petition shall be a statewide standardized form  | 
approved by the Illinois Supreme Court and shall set forth the  | 
name then held, the name sought to be assumed, the residence of  | 
the petitioner, the length of time the petitioner has resided  | 
in this State, and the state or country of the petitioner's  | 
nativity or supposed nativity. The petition shall include a  | 
statement, verified under oath as provided under Section 1-109  | 
 | 
of this Code, whether or not the petitioner or any other person  | 
18 years of age or older who will be subject to a change of  | 
name under the petition if granted: (1) has been adjudicated  | 
or convicted of a felony or misdemeanor offense under the laws  | 
of this State or any other state for which a pardon has not  | 
been granted; or (2) has an arrest for which a charge has not  | 
been filed or a pending charge on a felony or misdemeanor  | 
offense. The petition shall be signed by the person  | 
petitioning or, in case of minors, by the parent or guardian  | 
having the legal custody of the minor. | 
 (b) If the statement provided under subsection (a) of this  | 
Section indicates the petitioner or any other person 18 years  | 
of age or older who will be subject to a change of name under  | 
the petition, if granted, has been adjudicated or convicted of  | 
a felony or misdemeanor offense under the laws of this State or  | 
any other state for which a pardon has not been granted, or has  | 
an arrest for which a charge has not been filed or a pending  | 
charge on a felony or misdemeanor offense, the State's  | 
Attorney may request the court to or the court may on its own  | 
motion, require the person, prior to a hearing on the  | 
petition, to initiate an update of his or her criminal history  | 
transcript with the Illinois State Police. The Illinois State  | 
Police Department shall allow a person to use the Access and  | 
Review process, established by rule in the Illinois State  | 
Police Department, for this purpose. Upon completion of the  | 
update of the criminal history transcript, the petitioner  | 
 | 
shall file confirmation of each update with the court, which  | 
shall seal the records from disclosure outside of court  | 
proceedings on the petition.  | 
 (c) Any petition filed under subsection (a) shall include  | 
the following: "WARNING: If you are required to register under  | 
the Sex Offender Registration Act, the Murderer and Violent  | 
Offender Against Youth Registration Act, or the Arsonist  | 
Registration Act in this State or a similar law in any other  | 
state and have not been pardoned, you will be committing a  | 
felony under those respective Acts by seeking a change of name  | 
during the registration period UNLESS your request for legal  | 
name change is due to marriage, religious beliefs, status as a  | 
victim of trafficking or gender related identity as defined by  | 
the Illinois Human Rights Act.".  | 
(Source: P.A. 102-538, eff. 8-20-21; 102-1133, eff. 1-1-24;  | 
revised 12-15-23.)
 | 
 (735 ILCS 5/21-102.5) | 
 Sec. 21-102.5. Notice; objection. | 
 (a) The circuit court clerk shall promptly serve a copy of  | 
the petition on the State's Attorney and the Illinois State  | 
Police if the statement provided under subsection (a) of  | 
Section 21-102 indicates that the petitioner, or any other  | 
person 18 years of age or older who will be subject to a change  | 
of name under the petition, has been adjudicated or convicted  | 
of a felony or misdemeanor offense under the laws of this State  | 
 | 
or any other state for which a pardon has not been granted, or  | 
has an arrest for which a charge has not been filed or a  | 
pending charge on a felony or misdemeanor offense. | 
 (b) The State's Attorney may file an objection to the  | 
petition. All objections shall be in writing, shall be filed  | 
with the circuit court clerk, shall be served upon the  | 
petitioner, and shall state with specificity the basis of the  | 
objection. Objections to a petition must be filed within 30  | 
days of the date of service of the petition upon the State's  | 
Attorney if the petitioner: | 
  (1) is the defendant in a pending criminal offense  | 
 charge; or | 
  (2) has been convicted of identity theft, aggravated  | 
 identity theft, felony or misdemeanor criminal sexual  | 
 abuse when the victim of the offense at the time of its  | 
 commission is under 18 years of age, felony or misdemeanor  | 
 sexual exploitation of a child, felony or misdemeanor  | 
 indecent solicitation of a child, or felony or misdemeanor  | 
 indecent solicitation of an adult, and has not been  | 
 pardoned for the conviction. | 
(Source: P.A. 102-538, eff. 8-20-21; 102-1133, eff. 1-1-24;  | 
revised 12-15-23)
 | 
 (735 ILCS 5/21-103) | 
 Sec. 21-103. Notice by publication.  | 
 (a) Previous notice shall be given of the intended  | 
 | 
application by publishing a notice thereof in some newspaper  | 
published in the municipality in which the person resides if  | 
the municipality is in a county with a population under  | 
2,000,000, or if the person does not reside in a municipality  | 
in a county with a population under 2,000,000, or if no  | 
newspaper is published in the municipality or if the person  | 
resides in a county with a population of 2,000,000 or more,  | 
then in some newspaper published in the county where the  | 
person resides, or if no newspaper is published in that  | 
county, then in some convenient newspaper published in this  | 
State. The notice shall be inserted for 3 consecutive weeks  | 
after filing, the first insertion to be at least 6 weeks before  | 
the return day upon which the petition is to be heard, and  | 
shall be signed by the petitioner or, in case of a minor, the  | 
minor's parent or guardian, and shall set forth the return day  | 
of court on which the petition is to be heard and the name  | 
sought to be assumed. | 
 (b) The publication requirement of subsection (a) shall  | 
not be required in any application for a change of name  | 
involving a minor if, before making judgment under this  | 
Article, reasonable notice and opportunity to be heard is  | 
given to any parent whose parental rights have not been  | 
previously terminated and to any person who has physical  | 
custody of the child. If any of these persons are outside this  | 
State, notice and opportunity to be heard shall be given under  | 
Section 21-104. | 
 | 
 (b-3) The publication requirement of subsection (a) shall  | 
not be required in any application for a change of name  | 
involving a person who has received a judgment of for  | 
dissolution of marriage or declaration of invalidity of  | 
marriage and wishes to change his or her name to resume the use  | 
of his or her former or maiden name. | 
 (b-5) The court may issue an order directing that the  | 
notice and publication requirement be waived for a change of  | 
name involving a person who files with the court a statement,  | 
verified under oath as provided under Section 1-109 of this  | 
Code, that the person believes that publishing notice of the  | 
name change would be a hardship, including, but not limited  | 
to, a negative impact on the person's health or safety. | 
 (b-6) In a case where waiver of the notice and publication  | 
requirement is sought, the petition for waiver is presumed  | 
granted and heard at the same hearing as the petition for name  | 
change. The court retains discretion to determine whether a  | 
hardship is shown and may order the petitioner to publish  | 
thereafter.  | 
 (c) The Director of the Illinois State Police or his or her  | 
designee may apply to the circuit court for an order directing  | 
that the notice and publication requirements of this Section  | 
be waived if the Director or his or her designee certifies that  | 
the name change being sought is intended to protect a witness  | 
during and following a criminal investigation or proceeding. | 
 (c-1) The court may also enter a written order waiving the  | 
 | 
publication requirement of subsection (a) if: | 
  (i) the petitioner is 18 years of age or older; and | 
  (ii) concurrent with the petition, the petitioner  | 
 files with the court a statement, verified under oath as  | 
 provided under Section 1-109 of this Code, attesting that  | 
 the petitioner is or has been a person protected under the  | 
 Illinois Domestic Violence Act of 1986, the Stalking No  | 
 Contact Order Act, the Civil No Contact Order Act, Article  | 
 112A of the Code of Criminal Procedure of 1963, a  | 
 condition of pretrial release under subsections (b)  | 
 through (d) of Section 110-10 of the Code of Criminal  | 
 Procedure of 1963, or a similar provision of a law in  | 
 another state or jurisdiction. | 
 The petitioner may attach to the statement any supporting  | 
documents, including relevant court orders. | 
 (c-2) If the petitioner files a statement attesting that  | 
disclosure of the petitioner's address would put the  | 
petitioner or any member of the petitioner's family or  | 
household at risk or reveal the confidential address of a  | 
shelter for domestic violence victims, that address may be  | 
omitted from all documents filed with the court, and the  | 
petitioner may designate an alternative address for service. | 
 (c-3) Court administrators may allow domestic abuse  | 
advocates, rape crisis advocates, and victim advocates to  | 
assist petitioners in the preparation of name changes under  | 
subsection (c-1). | 
 | 
 (c-4) If the publication requirements of subsection (a)  | 
have been waived, the circuit court shall enter an order  | 
impounding the case.  | 
 (d) The maximum rate charged for publication of a notice  | 
under this Section may not exceed the lowest classified rate  | 
paid by commercial users for comparable space in the newspaper  | 
in which the notice appears and shall include all cash  | 
discounts, multiple insertion discounts, and similar benefits  | 
extended to the newspaper's regular customers.  | 
(Source: P.A. 101-81, eff. 7-12-19; 101-203, eff. 1-1-20;  | 
101-652, eff. 1-1-23; 102-538, eff. 8-20-21; 102-813, eff.  | 
5-13-22; 102-1133, eff. 1-1-24; revised 12-15-23.)
 | 
 Section 595. The Eminent Domain Act is amended by setting  | 
forth, renumbering, and changing multiple versions of Section  | 
25-5-105 as follows:
 | 
 (735 ILCS 30/25-5-105) | 
 (Section scheduled to be repealed on May 31, 2025) | 
 Sec. 25-5-105. Quick-take; Menard County; Athens Blacktop. | 
 (a) Quick-take proceedings under Article 20 may be used  | 
for a period of one year after May 31, 2025 (the effective date  | 
of Public Act 103-3) this amendatory Act of the 103rd General  | 
Assembly by Menard County for the acquisition of the following  | 
described property for the purpose of reconstructing the  | 
Athens Blacktop corridor.
 | 
 | 
 Route: FAS 574/Athens Blacktop Road | 
 County: Menard | 
 Parcel No.: D-18 | 
 P.I.N. No.: 12-28-400-006 | 
 Section: 09-00056-05-EG | 
 Station: RT 181+94.77 | 
 Station: RT 188+48.97 | 
  A part of the Southeast Quarter of Section 28,  | 
 Township 18 North, Range 6 West of the Third Principal  | 
 Meridian, described as follows: | 
  Commencing at the Northeast corner of the Southeast  | 
 Quarter of said Section 28; thence South 89 degrees 42  | 
 minutes 06 seconds West along the north line of the  | 
 Southeast Quarter of said Section 28, a distance of 669.81  | 
 feet to the northeast parcel corner and the point of  | 
 beginning; thence South 02 degrees 24 minutes 13 seconds  | 
 East along the east parcel line, 80.48 feet; thence South  | 
 72 degrees 55 minutes 03 seconds West, 103.39 feet; thence  | 
 South 89 degrees 43 minutes 40 seconds West, 150.00 feet;  | 
 thence North 86 degrees 08 minutes 49 seconds West, 405.10  | 
 feet to the west parcel line; thence North 01 degree 06  | 
 minutes 28 seconds West along said line, 80.89 feet to the  | 
 north line of the Southeast Quarter of said Section 28;  | 
 thence North 89 degrees 42 minutes 06 seconds East along  | 
 said line, 651.20 feet to the point of beginning,  | 
 | 
 containing 0.860 acres, more or less of new right of way  | 
 and 0.621 acres, more or less of existing right of way. 
 | 
 Route: FAS 574/Athens Blacktop Road | 
 County: Menard | 
 Parcel No.: D-19 | 
 P.I.N. No.: 12-28-400-007 | 
 Section: 09-00056-05-EG | 
 Station: RT 188+46.59 | 
 Station: RT 191+17.37 | 
  A part of the Southeast Quarter of Section 28,  | 
 Township 18 North, Range 6 West of the Third Principal  | 
 Meridian, described as follows: | 
  Commencing at the Northeast corner of the Southeast  | 
 Quarter of said Section 28; thence South 89 degrees 42  | 
 minutes 06 seconds West along the north line of the  | 
 Southeast Quarter of said Section 28, a distance of 399.89  | 
 feet to the northeast parcel corner and the point of  | 
 beginning; thence South 01 degree 10 minutes 54 seconds  | 
 East along the east parcel line, 92.67 feet; thence South  | 
 80 degrees 35 minutes 32 seconds West, 17.59 feet; thence  | 
 South 89 degrees 43 minutes 40 seconds West, 75.00 feet;  | 
 thence North 00 degrees 16 minutes 20 seconds West, 45.45  | 
 feet to the existing southerly right of way line of Athens  | 
 Blacktop Road (FAS 574); thence South 89 degrees 42  | 
 minutes 25 seconds West along said line, 75.00 feet;  | 
 | 
 thence South 72 degrees 55 minutes 03 seconds West, 105.54  | 
 feet to the west parcel line; thence North 02 degrees 24  | 
 minutes 13 seconds West along said line, 80.48 feet to the  | 
 north line of the Southeast Quarter of said Section 28;  | 
 thence North 89 degrees 42 minutes 06 seconds East along  | 
 said line, 269.92 feet to the point of beginning,  | 
 containing 0.137 acres, more or less of new right of way  | 
 and 0.303 acres, more or less of existing right of way.  | 
 (b) This Section is repealed May 31, 2025 (2 years after  | 
the effective date of Public Act 103-3) this amendatory Act of  | 
the 103rd General Assembly. | 
(Source: P.A. 103-3, eff. 5-31-23; revised 7-27-23.)
 | 
 (735 ILCS 30/25-5-107) | 
 (Section scheduled to be repealed on June 9, 2026) | 
 Sec. 25-5-107 25-5-105. Quick-take; Will County; Cedar  | 
Road; Francis Road. | 
 (a) Quick-take proceedings under Article 20 may be used  | 
for a period of 2 years after June 9, 2023 (the effective date  | 
of Public Act 103-10) this amendatory Act of the 103rd General  | 
Assembly by Will County for the acquisition of the following  | 
described property for the purpose of road construction:
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
 | 
Parcel No: IL T0001 | 
Station: 109+23.08 to 110+04.95 | 
Index No.: 15-08-09-406-002 | 
THAT PART OF LOT 1 IN WILMSEN'S SUBDIVISION OF LOTS 1 AND 8 OF  | 
ARTHUR T. MCINTOSH AND COMPANY'S ADDITION TO NEW LENOX, A  | 
SUBDIVISION OF PART OF THE SOUTHEAST QUARTER OF SECTION 9, AND  | 
PART OF THE NORTHEAST QUARTER OF SECTION 16, TOWNSHIP 35  | 
NORTH, RANGE 11 EAST OF THE THIRD PRINCIPAL MERIDIAN,  | 
ACCORDING TO THE PLAT THEREOF RECORDED JULY 10, 1948 AS  | 
DOCUMENT NUMBER 642528, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT) WITH A COMBINED FACTOR OF  | 
0.9999586959 DESCRIBED AS FOLLOWS: | 
BEGINNING AT THE NORTHEAST CORNER OF SAID LOT 1; THENCE SOUTH  | 
01 DEGREES 30 MINUTES 42 SECONDS EAST ALONG THE EAST LINE OF  | 
SAID LOT 1, ALSO BEING THE WEST LINE OF CEDAR ROAD, BEING A  | 
LINE 33.00 FEET WEST OF AND PARALLEL WITH THE EAST LINE OF SAID  | 
SOUTHEAST QUARTER, 81.87 FEET; THENCE SOUTH 88 DEGREES 29  | 
MINUTES 18 SECONDS WEST, 5.00 FEET; THENCE NORTH 01 DEGREES 30  | 
MINUTES 42 SECONDS WEST ALONG A LINE 5.00 FEET WEST OF AND  | 
PARALLEL WITH SAID WEST LINE OF CEDAR ROAD, 48.67 FEET; THENCE  | 
NORTH 46 DEGREES 55 MINUTES 15 SECONDS WEST, 39.62 FEET TO THE  | 
NORTHERLY LINE OF SAID LOT 1, ALSO BEING THE SOUTHERLY LINE OF  | 
FRANCIS ROAD AS MONUMENTED AND OCCUPIED; THENCE NORTH 79  | 
DEGREES 17 MINUTES 03 SECONDS EAST ALONG SAID SOUTHERLY LINE  | 
OF FRANCIS ROAD, 33.65 FEET TO THE PLACE OF BEGINNING. | 
 | 
SAID PARCEL CONTAINING 0.020 ACRES, MORE OR LESS.
 | 
Route: C.H. 64 Francis Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0001TE-A | 
Station: 208+19.76 to 210+13.46 | 
Index No.:15-08-09-406-001 | 
15-08-09-406-002 | 
THAT PART OF LOTS 1 AND 2 IN WILMSEN'S SUBDIVISION OF LOTS 1  | 
AND 8 OF ARTHUR T. MCINTOSH AND COMPANY'S ADDITION TO NEW  | 
LENOX, A SUBDIVISION OF PART OF THE SOUTHEAST QUARTER OF  | 
SECTION 9, AND PART OF THE NORTHEAST QUARTER OF SECTION 16,  | 
TOWNSHIP 35 NORTH, RANGE 11 EAST OF THE THIRD PRINCIPAL  | 
MERIDIAN, ACCORDING TO THE PLAT THEREOF RECORDED JULY 10, 1948  | 
AS DOCUMENT NUMBER 642528, IN WILL COUNTY, ILLINOIS, BEARINGS  | 
AND DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE  | 
SYSTEM, EAST ZONE, NAD83 (2011 ADJUSTMENT) WITH A COMBINED  | 
FACTOR OF 0.9999586959, DESCRIBED AS FOLLOWS: | 
COMMENCING AT THE NORTHEAST CORNER OF SAID LOT 1; THENCE SOUTH  | 
79 DEGREES 17 MINUTES 03 SECONDS WEST ALONG THE NORTHERLY LINE  | 
OF SAID LOT 1, ALSO BEING THE SOUTHERLY LINE OF FRANCIS ROAD AS  | 
MONUMENTED AND OCCUPIED, 33.65 FEET FOR THE PLACE OF  | 
BEGINNING; THENCE SOUTH 46 DEGREES 55 MINUTES 15 SECONDS EAST,  | 
6.20 FEET; THENCE SOUTH 79 DEGREES 17 MINUTES 03 SECONDS WEST  | 
ALONG A LINE 5.00 FEET SOUTH OF AND PARALLEL WITH SAID  | 
 | 
SOUTHERLY LINE OF FRANCIS ROAD, 71.83 FEET; THENCE SOUTH 10  | 
DEGREES 42 MINUTES 57 SECONDS EAST, 10.00 FEET; THENCE SOUTH  | 
79 DEGREES 17 MINUTES 03 SECONDS WEST ALONG A LINE 15.00 FEET  | 
SOUTH OF AND PARALLEL WITH SAID SOUTHERLY LINE OF FRANCIS  | 
ROAD, 33.19 FEET; THENCE NORTH 10 DEGREES 42 MINUTES 57  | 
SECONDS WEST, 10.00 FEET; THENCE SOUTH 79 DEGREES 17 MINUTES  | 
03 SECONDS WEST ALONG A LINE 5.00 FEET SOUTH OF AND PARALLEL  | 
WITH SAID SOUTHERLY LINE OF FRANCIS ROAD, 88.67 FEET TO THE  | 
WEST LINE OF SAID LOT 2; THENCE NORTH 01 DEGREES 30 MINUTES 42  | 
SECONDS WEST ALONG SAID WEST LINE OF LOT 2, A DISTANCE OF 5.07  | 
FEET TO THE NORTHWEST CORNER THEREOF; THENCE NORTH 79 DEGREES  | 
17 MINUTES 03 SECONDS EAST ALONG SAID SOUTHERLY LINE OF  | 
FRANCIS ROAD, 189.22 FEET TO THE PLACE OF BEGINNING. | 
SAID PARCEL CONTAINING 0.030 ACRES, MORE OR LESS. | 
REVISION DATE: 05-26-2022
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0001TE-B | 
Station: 107+04.56 to 109+76.68 | 
Index No.: 15-08-09-406-002 | 
15-08-09-406-003 | 
15-08-09-406-004 | 
THAT PART OF LOTS 1, 3 AND 4 IN WILMSEN'S SUBDIVISION OF LOTS 1  | 
AND 8 OF ARTHUR T. MCINTOSH AND COMPANY'S ADDITION TO NEW  | 
 | 
LENOX, A SUBDIVISION OF PART OF THE SOUTHEAST QUARTER OF  | 
SECTION 9, AND PART OF THE NORTHEAST QUARTER OF SECTION 16,  | 
TOWNSHIP 35 NORTH, RANGE 11 EAST OF THE THIRD PRINCIPAL  | 
MERIDIAN, ACCORDING TO THE PLAT THEREOF RECORDED JULY 10, 1948  | 
AS DOCUMENT NUMBER 642528, IN WILL COUNTY, ILLINOIS, BEARINGS  | 
AND DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE  | 
SYSTEM, EAST ZONE, NAD83 (2011 ADJUSTMENT) WITH A COMBINED  | 
FACTOR OF 0.9999586959, DESCRIBED AS FOLLOWS: | 
COMMENCING AT THE NORTHEAST CORNER OF SAID LOT 1; THENCE SOUTH  | 
01 DEGREES 30 MINUTES 42 SECONDS EAST ALONG THE EAST LINE OF  | 
SAID LOT 1, ALSO BEING THE WEST LINE OF CEDAR ROAD, BEING A  | 
LINE 33.00 FEET WEST OF AND PARALLEL WITH THE EAST LINE OF THE  | 
SOUTHEAST QUARTER OF SAID SECTION 9, A DISTANCE OF 81.87 FEET  | 
FOR THE PLACE OF BEGINNING; THENCE CONTINUING SOUTH 01 DEGREES  | 
30 MINUTES 42 SECONDS EAST ALONG SAID WEST LINE OF CEDAR ROAD,  | 
218.52 FEET TO THE SOUTH LINE OF SAID LOT 4; THENCE SOUTH 88  | 
DEGREES 55 MINUTES 56 SECONDS WEST ALONG SAID SOUTH LINE,  | 
10.00 FEET; THENCE NORTH 01 DEGREES 30 MINUTES 42 SECONDS WEST  | 
ALONG A LINE 10.00 FEET WEST OF AND PARALLEL WITH SAID WEST  | 
LINE OF CEDAR ROAD, 272.05 FEET; THENCE SOUTH 46 DEGREES 55  | 
MINUTES 15 SECONDS EAST, 7.02 FEET; THENCE SOUTH 01 DEGREES 30  | 
MINUTES 42 SECONDS EAST ALONG A LINE 5.00 FEET WEST OF AND  | 
PARALLEL WITH SAID WEST LINE OF CEDAR ROAD, 48.67 FEET; THENCE  | 
NORTH 88 DEGREES 29 MINUTES 18 SECONDS EAST, 5.00 FEET TO THE  | 
PLACE OF BEGINNING. | 
SAID PARCEL CONTAINING 0.056 ACRES, MORE OR LESS.
 | 
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0002 | 
Station: 110+78.28 to 111+36.28 | 
Index No.: 15-08-09-402-027 | 
THAT PART OF LOT 1 IN SHELDON HAUCKS' SUBDIVISION, BEING A  | 
SUBDIVISION OF PART OF THE SOUTHEAST QUARTER OF THE SOUTHEAST  | 
QUARTER OF SECTION 9, TOWNSHIP 35 NORTH, RANGE 11 EAST OF THE  | 
THIRD PRINCIPAL MERIDIAN, ACCORDING TO THE PLAT THEREOF  | 
RECORDED JULY 30, 1955 AS DOCUMENT NUMBER 778985, IN WILL  | 
COUNTY, ILLINOIS, BEARINGS AND DISTANCES BASED ON THE ILLINOIS  | 
STATE PLANE COORDINATE SYSTEM, EAST ZONE, NAD83 (2011  | 
ADJUSTMENT), WITH A COMBINED FACTOR OF 0.9999586959; DESCRIBED  | 
AS FOLLOWS: | 
BEGINNING AT THE SOUTHEAST CORNER OF SAID LOT 1; THENCE SOUTH  | 
79 DEGREES 17 MINUTES 03 SECONDS WEST ALONG THE SOUTH LINE OF  | 
SAID LOT 1, ALSO BEING THE NORTHERLY LINE OF FRANCIS ROAD AS  | 
MONUMENTED AND OCCUPIED, A DISTANCE OF 50.00 FEET; THENCE  | 
NORTH 38 DEGREES 53 MINUTES 10 SECONDS EAST, 76.16 FEET TO THE  | 
EAST LINE OF SAID LOT 1, ALSO BEING THE WEST LINE OF CEDAR  | 
ROAD, BEING A LINE 50 FEET WEST OF AND PARALLEL WITH THE EAST  | 
LINE OF THE SOUTHEAST QUARTER OF SAID SECTION 9; THENCE SOUTH  | 
01 DEGREES 30 MINUTES 42 SECONDS EAST ALONG SAID WEST LINE OF  | 
CEDAR ROAD, 50.00 FEET TO THE PLACE OF BEGINNING. | 
 | 
SAID PARCEL CONTAINING 0.028 ACRES, MORE OR LESS.
 | 
Route: C.H. 64 Francis Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0002TE-A | 
Station: 209+19.56 to 210+01.42 | 
Index No.: 15-08-09-402-027 | 
THAT PART OF LOT 1 IN SHELDON HAUCKS' SUBDIVISION, BEING A  | 
SUBDIVISION OF PART OF THE SOUTHEAST QUARTER OF THE SOUTHEAST  | 
QUARTER OF SECTION 9, TOWNSHIP 35 NORTH, RANGE 11 EAST OF THE  | 
THIRD PRINCIPAL MERIDIAN, ACCORDING TO THE PLAT THEREOF  | 
RECORDED JULY 30, 1955 AS DOCUMENT NUMBER 778985, IN WILL  | 
COUNTY, ILLINOIS, BEARINGS AND DISTANCES BASED ON THE ILLINOIS  | 
STATE PLANE COORDINATE SYSTEM, EAST ZONE, NAD83 (2011  | 
ADJUSTMENT), WITH A COMBINED FACTOR OF 0.9999586959; DESCRIBED  | 
AS FOLLOWS: | 
COMMENCING AT THE SOUTHEAST CORNER OF SAID LOT 1; THENCE SOUTH  | 
79 DEGREES 17 MINUTES 03 SECONDS WEST ALONG THE SOUTH LINE OF  | 
SAID LOT 1, ALSO BEING THE NORTHERLY LINE OF FRANCIS ROAD AS  | 
MONUMENTED AND OCCUPIED, A DISTANCE OF 50.00 FEET FOR THE  | 
PLACE OF BEGINNING; THENCE CONTINUING SOUTH 79 DEGREES 17  | 
MINUTES 03 SECONDS WEST ALONG SAID SOUTH LINE OF LOT 1, A  | 
DISTANCE OF 70.11 FEET; THENCE NORTH 10 DEGREES 42 MINUTES 57  | 
SECONDS WEST, 10.00 FEET; THENCE NORTH 79 DEGREES 17 MINUTES  | 
03 SECONDS EAST ALONG A LINE 10.00 FEET NORTH OF AND PARALLEL  | 
 | 
WITH SAID SOUTH LINE OF LOT 1, A DISTANCE OF 81.86 FEET; THENCE  | 
SOUTH 38 DEGREES 53 MINUTES 10 SECONDS WEST, 15.43 FEET TO THE  | 
PLACE OF BEGINNING. | 
SAID PARCEL CONTAINING 0.017 ACRES, MORE OR LESS.
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0002TE-B | 
Station: 111+24.53 to 111+97.97 | 
Index No.: 15-08-09-402-027 | 
THAT PART OF LOT 1 IN SHELDON HAUCKS' SUBDIVISION, BEING A  | 
SUBDIVISION OF PART OF THE SOUTHEAST QUARTER OF THE SOUTHEAST  | 
QUARTER OF SECTION 9, TOWNSHIP 35 NORTH, RANGE 11 EAST OF THE  | 
THIRD PRINCIPAL MERIDIAN, ACCORDING TO THE PLAT THEREOF  | 
RECORDED JULY 30, 1955 AS DOCUMENT NUMBER 778985, IN WILL  | 
COUNTY, ILLINOIS, BEARINGS AND DISTANCES BASED ON THE ILLINOIS  | 
STATE PLANE COORDINATE SYSTEM, EAST ZONE, NAD83 (2011  | 
ADJUSTMENT), WITH A COMBINED FACTOR OF 0.9999586959; DESCRIBED  | 
AS FOLLOWS: | 
COMMENCING AT THE SOUTHEAST CORNER OF SAID LOT 1; THENCE NORTH  | 
01 DEGREES 30 MINUTES 42 SECONDS WEST ALONG THE EAST LINE OF  | 
SAID LOT 1, ALSO BEING THE WEST LINE OF CEDAR ROAD, BEING A  | 
LINE 50 FEET WEST OF AND PARALLEL WITH THE EAST LINE OF SAID  | 
SOUTHEAST QUARTER, A DISTANCE OF 50.00 FEET FOR THE PLACE OF  | 
BEGINNING; THENCE SOUTH 38 DEGREES 53 MINUTES 10 SECONDS WEST,  | 
 | 
15.43 FEET; THENCE NORTH 01 DEGREES 30 MINUTES 42 SECONDS WEST  | 
ALONG A LINE 10.00 FEET WEST OF AND PARALLEL WITH SAID WEST  | 
LINE OF CEDAR ROAD, A DISTANCE OF 73.44 FEET; THENCE NORTH 88  | 
DEGREES 29 MINUTES 18 SECONDS EAST, 10.00 FEET TO SAID WEST  | 
LINE OF CEDAR ROAD; THENCE SOUTH 01 DEGREES 30 MINUTES 42  | 
SECONDS EAST ALONG SAID WEST LINE OF CEDAR ROAD, A DISTANCE OF  | 
61.69 FEET TO THE PLACE OF BEGINNING. | 
SAID PARCEL CONTAINING 0.015 ACRES, MORE OR LESS.
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0003 | 
Station: 110+82.35 to 111+62.35 | 
Index No.: 15-08-10-300-040 | 
THAT PART OF LOT 9 IN ARTHUR T. MCINTOSH AND COMPANY'S NEW  | 
LENOX ACRES, A SUBDIVISION IN SECTIONS 10 AND 15, TOWNSHIP 35  | 
NORTH, AND RANGE 11 EAST OF THE THIRD PRINCIPAL MERIDIAN,  | 
ACCORDING TO THE PLAT THEREOF RECORDED JULY 16, 1927 AS  | 
DOCUMENT 408969, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT) WITH A COMBINED FACTOR OF  | 
0.9999586959 DESCRIBED AS FOLLOWS: | 
BEGINNING AT THE SOUTHWEST CORNER OF SAID LOT 9; THENCE NORTH  | 
01 DEGREES 30 MINUTES 42 SECONDS WEST ALONG THE WEST LINE OF  | 
SAID LOT 9, BEING ALSO THE EAST RIGHT-OF-WAY LINE OF CEDAR  | 
 | 
ROAD, 80.00 FEET; THENCE SOUTH 26 DEGREES 23 MINUTES 36  | 
SECONDS EAST, 82.17 FEET TO THE SOUTH LINE OF SAID LOT 9, BEING  | 
ALSO THE NORTH RIGHT-OF-WAY LINE OF FRANCIS ROAD; THENCE SOUTH  | 
79 DEGREES 30 MINUTES 57 SECONDS WEST ALONG SAID SOUTH LINE OF  | 
LOT 9, A DISTANCE OF 35.00 FEET TO THE PLACE OF BEGINNING. | 
SAID PARCEL CONTAINING 0.032 ACRES, MORE OR LESS. | 
REVISION DATE: 05-26-2022
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0003PE | 
Station: 111+51.57 to 114+33.66 | 
Index No.: 15-08-10-300-040 | 
THAT PART OF LOTS 8 AND 9, IN ARTHUR T. MCINTOSH AND COMPANY'S  | 
NEW LENOX ACRES, A SUBDIVISION IN SECTIONS 10 AND 15, TOWNSHIP  | 
35 NORTH, AND RANGE 11 EAST OF THE THIRD PRINCIPAL MERIDIAN,  | 
ACCORDING TO THE PLAT THEREOF RECORDED JULY 16, 1927 AS  | 
DOCUMENT 408969, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT) WITH A COMBINED FACTOR OF  | 
0.9999586959 DESCRIBED AS FOLLOWS: | 
COMMENCING AT THE SOUTHWEST CORNER OF SAID LOT 9; THENCE NORTH  | 
01 DEGREES 30 MINUTES 42 SECONDS WEST ALONG THE WEST LINE OF  | 
SAID LOT 9, BEING ALSO THE EAST RIGHT-OF-WAY LINE OF CEDAR  | 
ROAD, 80.00 FEET FOR THE PLACE OF BEGINNING; THENCE CONTINUING  | 
 | 
NORTH 01 DEGREES 30 MINUTES 42 SECONDS WEST ALONG SAID WEST  | 
LINES OF LOT 9 AND LOT 8, A DISTANCE OF 271.27 FEET TO THE  | 
SOUTH LINE OF THE NORTH 100 FEET OF SAID LOT 8; THENCE NORTH 88  | 
DEGREES 19 MINUTES 08 SECONDS EAST ALONG SAID SOUTH LINE,  | 
17.00 FEET; THENCE SOUTH 01 DEGREES 30 MINUTES 42 SECONDS  | 
EAST, 7.00 FEET; THENCE SOUTH 88 DEGREES 19 MINUTES 08 SECONDS  | 
WEST, 12.00 FEET; THENCE SOUTH 01 DEGREES 30 MINUTES 42  | 
SECONDS EAST ALONG A LINE 5.00 FEET EAST OF AND PARALLEL WITH  | 
THE WEST LINE OF SAID LOT 9, A DISTANCE OF 275.06 FEET; THENCE  | 
NORTH 26 DEGREES 23 MINUTES 36 SECONDS WEST, 11.88 FEET TO THE  | 
PLACE OF BEGINNING. | 
SAID PARCEL CONTAINING 0.034 ACRES, MORE OR LESS. | 
REVISION DATE: 05-26-2022
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0003TE | 
Station: 110+87.81 to 114+26.66 | 
Index No.: 15-08-10-300-040 | 
THAT PART OF LOTS 8 AND 9, IN ARTHUR T. MCINTOSH AND COMPANY'S  | 
NEW LENOX ACRES, A SUBDIVISION IN SECTIONS 10 AND 15, TOWNSHIP  | 
35 NORTH, AND RANGE 11 EAST OF THE THIRD PRINCIPAL MERIDIAN,  | 
ACCORDING TO THE PLAT THEREOF RECORDED JULY 16, 1927 AS  | 
DOCUMENT 408969, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
 | 
EAST ZONE, NAD83 (2011 ADJUSTMENT) WITH A COMBINED FACTOR OF  | 
0.9999586959 DESCRIBED AS FOLLOWS: | 
COMMENCING AT THE SOUTHWEST CORNER OF SAID LOT 9; THENCE NORTH  | 
01 DEGREES 30 MINUTES 42 SECONDS WEST ALONG THE WEST LINE OF  | 
SAID LOT 9, BEING ALSO THE EAST RIGHT-OF-WAY LINE OF CEDAR  | 
ROAD, 80.00 FEET; THENCE SOUTH 26 DEGREES 23 MINUTES 36  | 
SECONDS EAST, 11.88 FEET FOR THE PLACE OF BEGINNING; THENCE  | 
NORTH 01 DEGREES 30 MINUTES 42 SECONDS WEST ALONG A LINE 5.00  | 
FEET EAST OF AND PARALLEL WITH SAID WEST LINES OF LOT 9 AND LOT  | 
8, A DISTANCE OF 275.06 FEET; THENCE NORTH 88 DEGREES 19  | 
MINUTES 08 SECONDS EAST, 12.00 FEET; THENCE SOUTH 01 DEGREES  | 
30 MINUTES 42 SECONDS EAST ALONG A LINE 17.00 FEET EAST OF AND  | 
PARALLEL WITH THE WEST LINE OF SAID LOT 9, A DISTANCE OF 257.47  | 
FEET; THENCE SOUTH 26 DEGREES 23 MINUTES 36 SECONDS EAST,  | 
76.04 FEET; THENCE NORTH 79 DEGREES 30 MINUTES 57 SECONDS EAST  | 
ALONG A LINE 10.00 FEET NORTH OF AND PARALLEL WITH THE SOUTH  | 
LINE OF SAID LOT 9, BEING ALSO THE NORTH RIGHT-OF-WAY LINE OF  | 
FRANCIS ROAD, 198.02 FEET; THENCE SOUTH 02 DEGREE 14 MINUTES  | 
14 SECONDS EAST, 10.10 FEET TO SAID SOUTH LINE OF LOT 9; THENCE  | 
SOUTH 79 DEGREES 30 MINUTES 57 SECONDS WEST ALONG SAID SOUTH  | 
LINE OF LOT 9, A DISTANCE OF 212.75 FEET; THENCE NORTH 26  | 
DEGREES 23 MINUTES 36 SECONDS WEST, 70.28 FEET TO THE PLACE OF  | 
BEGINNING. | 
SAID PARCEL CONTAINING 0.151 ACRES, MORE OR LESS. | 
REVISION DATE: 05-26-2022
 | 
 | 
Route: C.H. 64 Francis Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0004 | 
Station: 213+68.59 to 214+69.31 | 
Index No.: 15-08-10-300-037 | 
THE SOUTH 5.00 FEET OF THAT PART OF LOT 9 IN ARTHUR T. MCINTOSH  | 
AND COMPANY'S NEW LENOX ACRES, A SUBDIVISION IN SECTIONS 10  | 
AND 15, TOWNSHIP 35 NORTH, AND RANGE 11 EAST OF THE THIRD  | 
PRINCIPAL MERIDIAN, ACCORDING TO THE PLAT THEREOF RECORDED  | 
JULY 16, 1927 AS DOCUMENT 408969, IN WILL COUNTY, ILLINOIS,  | 
BEARINGS AND DISTANCES BASED ON THE ILLINOIS STATE PLANE  | 
COORDINATE SYSTEM, EAST ZONE, NAD83 (2011 ADJUSTMENT) WITH A  | 
COMBINED FACTOR OF 0.9999586959 DESCRIBED AS FOLLOWS: | 
COMMENCING AT THE SOUTHEASTERLY CORNER OF SAID LOT 9 AND  | 
RUNNING SOUTHWESTERLY ALONG THE SOUTHERLY LINE OF SAID LOT 9,  | 
311.53 FEET TO THE POINT OF BEGINNING; THENCE NORTH 175 FEET,  | 
THENCE SOUTHWESTERLY ON A LINE PARALLEL WITH THE SOUTHERLY  | 
LINE OF SAID LOT 9, 100 FEET, THENCE SOUTH 175 FEET TO THE  | 
SOUTHERLY LINE OF SAID LOT 9, THENCE NORTHEASTERLY ALONG THE  | 
SOUTHERLY LINE OF SAID LOT 9, 100 FEET TO THE POINT OF  | 
BEGINNING. | 
SAID PARCEL CONTAINING 0.011 ACRES, MORE OR LESS. | 
REVISION DATE: 05-26-2022
 | 
Route: C.H. 64 Francis Road | 
 | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0005 | 
Station: 214+68.59 to 215+00.84 | 
Index No.: 15-08-10-300-047 | 
THE SOUTHERLY 5 FEET (MEASURING 31.53 FEET) OF LOT 9 OF THAT  | 
PART OF LOTS 8 AND 9 IN ARTHUR T. MCINTOSH AND COMPANY'S NEW  | 
LENOX ACRES, A SUBDIVISION IN SECTIONS 10 AND 15, TOWNSHIP 35  | 
NORTH, AND RANGE 11 EAST OF THE THIRD PRINCIPAL MERIDIAN,  | 
ACCORDING TO THE PLAT THEREOF RECORDED JULY 16, 1927 AS  | 
DOCUMENT 408969, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT) WITH A COMBINED FACTOR OF  | 
0.9999586959 DESCRIBED AS FOLLOWS: | 
BEGINNING AT THE NORTHEAST CORNER OF SAID LOT 8; THENCE SOUTH  | 
ALONG THE EAST LINE OF SAID LOTS 8 AND 9 TO A POINT 175 FEET  | 
NORTH OF THE SOUTHEAST CORNER OF SAID LOT 9; THENCE  | 
SOUTHWESTERLY 280 FEET PARALLEL WITH THE SOUTHWESTERLY LINE OF  | 
SAID LOT 9; THENCE SOUTH 175 FEET PARALLEL WITH SAID EAST LINE  | 
TO THE SOUTHERLY LINE OF SAID LOT 9; THENCE SOUTHWESTERLY  | 
31.53 FEET ALONG SAID SOUTHERLY LINE; THENCE NORTH 175 FEET  | 
PARALLEL WITH SAID EAST LINE; THENCE SOUTHWESTERLY 100 FEET  | 
PARALLEL WITH SAID SOUTHERLY LINE; THENCE NORTH PARALLEL WITH  | 
SAID EAST LINE TO A POINT 100 FEET SOUTH OF THE NORTH LINE OF  | 
SAID LOT 8; THENCE WEST PARALLEL WITH SAID NORTH LINE TO A  | 
POINT 175 FEET EAST OF THE WEST LINE OF SAID LOT 8; THENCE  | 
 | 
NORTH 100 FEET PARALLEL WITH SAID WEST LINE TO THE NORTH LINE  | 
OF SAID LOT 8; THENCE EAST ALONG SAID NORTH LINE TO THE POINT  | 
OF BEGINNING, IN WILL COUNTY, ILLINOIS. | 
SAID PARCEL CONTAINING 0.004 ACRES (158 SQUARE FEET), MORE OR  | 
LESS.
 | 
Route: C.H. 64 Francis Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0005TE | 
Station: 214+69.31 to 215+02.29 | 
Index No.: 15-08-10-300-047 | 
THE NORTHERLY 10 FEET OF THE SOUTHERLY 15 FEET (MEASURING  | 
31.53 FEET) OF LOT 9 OF THAT PART OF LOTS 8 AND 9 IN ARTHUR T.  | 
MCINTOSH AND COMPANY'S NEW LENOX ACRES, A SUBDIVISION IN  | 
SECTIONS 10 AND 15, TOWNSHIP 35 NORTH, AND RANGE 11 EAST OF THE  | 
THIRD PRINCIPAL MERIDIAN, ACCORDING TO THE PLAT THEREOF  | 
RECORDED JULY 16, 1927 AS DOCUMENT 408969, IN WILL COUNTY,  | 
ILLINOIS, BEARINGS AND DISTANCES BASED ON THE ILLINOIS STATE  | 
PLANE COORDINATE SYSTEM, EAST ZONE, NAD83 (2011 ADJUSTMENT)  | 
WITH A COMBINED FACTOR OF 0.9999586959 DESCRIBED AS FOLLOWS: | 
BEGINNING AT THE NORTHEAST CORNER OF SAID LOT 8; THENCE SOUTH  | 
ALONG THE EAST LINE OF SAID LOTS 8 AND 9 TO A POINT 175 FEET  | 
NORTH OF THE SOUTHEAST CORNER OF SAID LOT 9; THENCE  | 
SOUTHWESTERLY 280 FEET PARALLEL WITH THE SOUTHWESTERLY LINE OF  | 
SAID LOT 9; THENCE SOUTH 175 FEET PARALLEL WITH SAID EAST LINE  | 
 | 
TO THE SOUTHERLY LINE OF SAID LOT 9; THENCE SOUTHWESTERLY  | 
31.53 FEET ALONG SAID SOUTHERLY LINE; THENCE NORTH 175 FEET  | 
PARALLEL WITH SAID EAST LINE; THENCE SOUTHWESTERLY 100 FEET  | 
PARALLEL WITH SAID SOUTHERLY LINE; THENCE NORTH PARALLEL WITH  | 
SAID EAST LINE TO A POINT 100 FEET SOUTH OF THE NORTH LINE OF  | 
SAID LOT 8; THENCE WEST PARALLEL WITH SAID NORTH LINE TO A  | 
POINT 175 FEET EAST OF THE WEST LINE OF SAID LOT 8; THENCE  | 
NORTH 100 FEET PARALLEL WITH SAID WEST LINE TO THE NORTH LINE  | 
OF SAID LOT 8; THENCE EAST ALONG SAID NORTH LINE TO THE POINT  | 
OF BEGINNING, IN WILL COUNTY, ILLINOIS. | 
SAID PARCEL CONTAINING 0.007 ACRES (315 SQUARE FEET), MORE OR  | 
LESS. | 
REVISION DATE: 06-30-2022
 | 
Route: C.H. 64 Francis Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0006 | 
Station: 215+80.12 to 216+71.09 | 
Index No.: 15-08-10-300-014 | 
THE SOUTH 5.00 FEET OF THAT PART OF LOT 9 IN ARTHUR T. MCINTOSH  | 
AND COMPANY'S NEW LENOX ACRES, A SUBDIVISION IN SECTIONS 10  | 
AND 15, TOWNSHIP 35 NORTH, AND RANGE 11 EAST OF THE THIRD  | 
PRINCIPAL MERIDIAN, ACCORDING TO THE PLAT THEREOF RECORDED  | 
JULY 16, 1927 AS DOCUMENT 408969, IN WILL COUNTY, ILLINOIS,  | 
BEARINGS AND DISTANCES BASED ON THE ILLINOIS STATE PLANE  | 
 | 
COORDINATE SYSTEM, EAST ZONE, NAD83 (2011 ADJUSTMENT) WITH A  | 
COMBINED FACTOR OF 0.9999586959 DESCRIBED AS FOLLOWS: | 
BEGINNING 110 FEET WESTERLY OF THE SOUTHEAST CORNER OF LOT 9 ON  | 
THE SOUTHERLY LINE OF SAID LOT 9; THENCE CONTINUING WESTERLY  | 
ALONG SAID SOUTHERLY LINE 90 FEET; THENCE NORTH 175 FEET TO A  | 
POINT; THENCE EASTERLY ALONG A LINE PARALLEL TO SAID SOUTHERLY  | 
LINE 90 FEET; THENCE SOUTH 175 FEET TO THE POINT OF BEGINNING. | 
SAID PARCEL CONTAINING 0.010 ACRES (451 SQUARE FEET), MORE OR  | 
LESS. | 
REVISION DATE: 06-30-2022
 | 
Route: C.H. 64 Francis Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0006TE | 
Station: 215+80.84 to 216+15.15 | 
Index No.: 15-08-10-300-014 | 
THAT PART OF LOT 9 IN ARTHUR T. MCINTOSH AND COMPANY'S NEW  | 
LENOX ACRES, A SUBDIVISION IN SECTIONS 10 AND 15, TOWNSHIP 35  | 
NORTH, AND RANGE 11 EAST OF THE THIRD PRINCIPAL MERIDIAN,  | 
ACCORDING TO THE PLAT THEREOF RECORDED JULY 16, 1927 AS  | 
DOCUMENT 408969, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT) WITH A COMBINED FACTOR OF  | 
0.9999586959 DESCRIBED AS FOLLOWS: | 
COMMENCING 200 FEET WESTERLY OF THE SOUTHEAST CORNER OF SAID  | 
 | 
LOT 9 ON THE SOUTHERLY LINE OF SAID LOT 9, SAID SOUTHERLY LINE  | 
BEARING SOUTH 79 DEGREES 30 MINUTES 57 SECONDS EAST; THENCE  | 
NORTH 02 DEGREES 14 MINUTES 14 SECONDS WEST, 5.05 FEET FOR THE  | 
PLACE OF BEGINNING; THENCE CONTINUING NORTH 02 DEGREES 14  | 
MINUTES 14 SECONDS WEST, 10.10 FEET; THENCE NORTH 79 DEGREES  | 
30 MINUTES 57 SECONDS EAST ALONG A LINE 15.00 FEET NORTH OF AND  | 
PARALLEL WITH SAID SOUTHERLY LINE OF LOT 9, A DISTANCE OF 32.85  | 
FEET; THENCE SOUTH 10 DEGREES 29 MINUTES 03 SECONDS EAST,  | 
10.00 FEET; THENCE SOUTH 79 DEGREES 30 MINUTES 57 SECONDS EAST  | 
ALONG A LINE 5.00 FEET NORTH OF AND PARALLEL WITH SAID  | 
SOUTHERLY LINE OF LOT 9, A DISTANCE OF 34.30 FEET TO THE PLACE  | 
OF BEGINNING. | 
SAID PARCEL CONTAINING 0.008 ACRES (336 SQUARE FEET), MORE OR  | 
LESS.
 | 
Route: C.H. 64 Francis Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0007 | 
Station: 216+70.37 to 217+81.42 | 
Index No.: 15-08-10-300-038 | 
THE SOUTH 5.00 FEET OF THAT PART OF LOT 9 IN ARTHUR T. MCINTOSH  | 
AND COMPANY'S NEW LENOX ACRES, A SUBDIVISION IN SECTIONS 10  | 
AND 15, TOWNSHIP 35 NORTH, AND RANGE 11 EAST OF THE THIRD  | 
PRINCIPAL MERIDIAN, ACCORDING TO THE PLAT THEREOF RECORDED  | 
JULY 16, 1927 AS DOCUMENT 408969, IN WILL COUNTY, ILLINOIS,  | 
 | 
BEARINGS AND DISTANCES BASED ON THE ILLINOIS STATE PLANE  | 
COORDINATE SYSTEM, EAST ZONE, NAD83 (2011 ADJUSTMENT) WITH A  | 
COMBINED FACTOR OF 0.9999586959 DESCRIBED AS FOLLOWS: | 
COMMENCING AT THE SOUTHEAST CORNER OF LOT 9; THENCE NORTH  | 
ALONG THE EAST LINE OF SAID LOT 9, A DISTANCE OF 175 FEET;  | 
THENCE WESTERLY 110 FEET ON A LINE PARALLEL WITH THE SOUTH LINE  | 
OF LOT 9 TO A POINT; THENCE SOUTH 175 FEET TO A POINT ON THE  | 
SOUTHERLY LINE OF SAID LOT 9 THAT IS 110 FEET WESTERLY OF THE  | 
SOUTHEAST CORNER OF SAID LOT 9; THENCE EASTERLY 110 FEET TO THE  | 
POINT OF BEGINNING. | 
SAID PARCEL CONTAINING 0.013 ACRES, MORE OR LESS. | 
REVISION DATE: 06-30-2022
 | 
Route: C.H.64 Francis Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0008 | 
Station: 217+80.66 to 218+48.30 | 
Index No.: 15-08-10-300-044 | 
THAT PART OF LOT 32 IN ARTHUR T. MCINTOSH AND COMPANY'S NEW  | 
LENOX ACRES, A SUBDIVISION IN SECTIONS 10 AND 15, TOWNSHIP 35  | 
NORTH, AND RANGE 11 EAST OF THE THIRD PRINCIPAL MERIDIAN,  | 
ACCORDING TO THE PLAT THEREOF RECORDED JULY 16, 1927 AS  | 
DOCUMENT 408969, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT) WITH A COMBINED FACTOR OF  | 
 | 
0.9999586959 DESCRIBED AS FOLLOWS: | 
BEGINNING AT THE SOUTHWEST CORNER OF SAID LOT 32; THENCE NORTH  | 
01 DEGREES 30 MINUTES 42 SECONDS WEST ALONG THE WEST LINE OF  | 
SAID LOT 32, A DISTANCE OF 5.06 FEET; THENCE NORTH 79 DEGREES  | 
30 MINUTES 57 SECONDS EAST ALONG A LINE 5.00 FEET NORTH OF AND  | 
PARALLEL WITH THE SOUTH LINE OF SAID LOT 32, A DISTANCE OF  | 
66.85 FEET; THENCE SOUTH 01 DEGREES 34 MINUTES 09 SECONDS  | 
EAST, 5.06 FEET TO THE SOUTH LINE OF SAID LOT 32; THENCE SOUTH  | 
79 DEGREES 30 MINUTES 57 SECONDS WEST ALONG SAID SOUTH LINE OF  | 
LOT 32, ALSO BEING THE NORTH RIGHT-OF-WAY LINE OF FRANCIS  | 
ROAD, 66.85 FEET TO THE PLACE OF BEGINNING. | 
SAID PARCEL CONTAINING 0.008 ACRES (334 SQUARE FEET), MORE OR  | 
LESS. | 
REVISION DATE: 05-26-2022
 | 
Route: C.H.64 Francis Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0009 | 
Station: 218+47.52 to 218+96.30 | 
Index No.: 15-08-10-300-022 | 
THE SOUTH 5.00 FEET OF THAT PART OF LOT 32 IN ARTHUR T.  | 
MCINTOSH AND COMPANY'S NEW LENOX ACRES, A SUBDIVISION IN  | 
SECTIONS 10 AND 15, TOWNSHIP 35 NORTH, AND RANGE 11 EAST OF THE  | 
THIRD PRINCIPAL MERIDIAN, ACCORDING TO THE PLAT THEREOF  | 
RECORDED JULY 16, 1927 AS DOCUMENT 408969, IN WILL COUNTY,  | 
 | 
ILLINOIS, BEARINGS AND DISTANCES BASED ON THE ILLINOIS STATE  | 
PLANE COORDINATE SYSTEM, EAST ZONE, NAD83 (2011 ADJUSTMENT)  | 
WITH A COMBINED FACTOR OF 0.9999586959 DESCRIBED AS FOLLOWS: | 
THE WEST 112.25 FEET, EXCEPT THE NORTH 300 FEET AND EXCEPT THE  | 
WEST 62.25 FEET THEREOF, OF SAID LOT 32. | 
SAID PARCEL CONTAINING 0.006 ACRES (240 SQUARE FEET), MORE OR  | 
LESS. | 
REVISION DATE: 05-26-2022
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0010 | 
Station: 123+28.62 to 126+13.30 | 
Index No.: 15-08-10-300-060 | 
THAT PART OF LOTS 1 AND 2 IN ARTHUR T. MCINTOSH'S NEW LENOX  | 
ACRES, BEING A SUBDIVISION OF THE SOUTHWEST QUARTER OF SECTION  | 
10 AND PART OF THE NORTHWEST QUARTER OF SECTION 15, TOWNSHIP 35  | 
NORTH, RANGE 11 EAST OF THE THIRD PRINCIPAL MERIDIAN,  | 
ACCORDING TO THE PLAT THEREOF RECORDED JULY 16, 1927 AS  | 
DOCUMENT NUMBER 408969, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT), WITH A COMBINED FACTOR OF  | 
0.9999586959, DESCRIBED AS FOLLOWS: | 
BEGINNING AT THE NORTHWEST CORNER OF SAID LOT 1; THENCE NORTH  | 
88 DEGREES 19 MINUTES 08 SECONDS EAST ALONG THE NORTH LINE OF  | 
 | 
SAID LOT 1, ALSO BEING THE SOUTH RIGHT-OF-WAY LINE OF LENOX  | 
STREET, A DISTANCE OF 50.00 FEET; THENCE SOUTH 43 DEGREES 24  | 
MINUTES 13 SECONDS WEST, 46.74 FEET; THENCE SOUTH 01 DEGREES  | 
30 MINUTES 42 SECONDS EAST ALONG A LINE 17.00 FEET EAST OF AND  | 
PARALLEL WITH THE WEST LINES OF SAID LOTS 1 AND 2, ALSO BEING  | 
THE EAST RIGHT-OF-WAY LINE OF CEDAR ROAD, A DISTANCE OF 251.69  | 
FEET TO THE SOUTH LINE OF LOT 2; THENCE SOUTH 88 DEGREES 19  | 
MINUTES 08 SECONDS WEST ALONG SAID SOUTH LINE, 17.00 FEET TO  | 
THE SOUTHWEST CORNER OF SAID LOT 2; THENCE NORTH 01 DEGREES 30  | 
MINUTES 42 SECONDS WEST ALONG SAID WEST LINES OF LOTS 1 AND 2,  | 
ALSO BEING SAID RIGHT-OF-WAY LINE, 284.69 FEET TO THE PLACE OF  | 
BEGINNING. | 
SAID PARCEL CONTAINING 0.124 ACRES, MORE OR LESS. | 
REVISION DATE: 05-26-2022
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0012 | 
Station: 123+15.53 to 126+46.31 | 
Index No.: 15-08-09-400-002 | 
THAT PART OF THE NORTHEAST QUARTER OF THE SOUTHEAST QUARTER OF  | 
SECTION 9, TOWNSHIP 35 NORTH, RANGE 11 EAST OF THE THIRD  | 
PRINCIPAL MERIDIAN, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT), WITH A COMBINED FACTOR OF  | 
 | 
0.9999586959; DESCRIBED AS FOLLOWS: | 
BEGINNING AT THE NORTHEAST CORNER OF SAID SOUTHEAST QUARTER OF  | 
SECTION 9; THENCE SOUTH 01 DEGREES 30 MINUTES 42 SECONDS EAST  | 
ALONG THE EAST LINE OF SAID SOUTHEAST QUARTER, 330.77 FEET TO  | 
THE SOUTH LINE OF THE NORTH HALF OF THE NORTH HALF OF THE  | 
NORTHEAST QUARTER OF SAID SOUTHEAST QUARTER; THENCE SOUTH 88  | 
DEGREES 39 MINUTES 31 SECONDS WEST ALONG SAID SOUTH LINE OF THE  | 
NORTH HALF OF THE NORTH HALF OF THE NORTHEAST QUARTER OF THE  | 
SOUTHEAST QUARTER, 55.00 FEET; THENCE NORTH 01 DEGREES 30  | 
MINUTES 42 SECONDS WEST ALONG A LINE 55.00 FEET WEST OF AND  | 
PARALLEL WITH THE EAST LINE OF SAID SOUTHEAST QUARTER, 165.39  | 
FEET; THENCE NORTH 88 DEGREES 39 MINUTES 31 SECONDS EAST  | 
PARALLEL WITH SAID SOUTH LINE OF THE NORTH HALF OF THE NORTH  | 
HALF OF THE NORTHEAST QUARTER OF THE SOUTHEAST QUARTER, 22.00  | 
FEET; THENCE NORTH 01 DEGREES 30 MINUTES 42 SECONDS WEST ALONG  | 
A LINE 33.00 FEET WEST OF AND PARALLEL WITH THE EAST LINE OF  | 
SAID SOUTHEAST QUARTER, 165.37 FEET TO THE NORTH LINE OF SAID  | 
SOUTHEAST QUARTER; THENCE NORTH 88 DEGREES 37 MINUTES 32  | 
SECONDS EAST ALONG THE NORTH LINE OF SAID SOUTHEAST QUARTER,  | 
33.00 FEET TO THE PLACE OF BEGINNING, IN WILL COUNTY,  | 
ILLINOIS. | 
SAID PARCEL CONTAINING 0.333 ACRES, MORE OR LESS, OF WHICH  | 
0.250 ACRES, MORE OR LESS, WAS PREVIOUSLY USED FOR ROADWAY  | 
PURPOSES. | 
REVISION DATE: 05-26-2022 | 
REVISION DATE: 06-30-2022
 | 
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0012TE | 
Station: 124+80.92 to 126+46.32 | 
Index No.: 15-08-09-400-002 | 
THAT PART OF THE NORTHEAST QUARTER OF THE SOUTHEAST QUARTER OF  | 
SECTION 9, TOWNSHIP 35 NORTH, RANGE 11 EAST OF THE THIRD  | 
PRINCIPAL MERIDIAN, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT), WITH A COMBINED FACTOR OF  | 
0.9999586959; DESCRIBED AS FOLLOWS: | 
THE WEST 5.00 FEET OF THE EAST 38.00 FEET OF THE NORTH HALF OF  | 
THE NORTH HALF OF SAID NORTHEAST QUARTER OF THE SOUTHEAST  | 
QUARTER (EXCEPT THE SOUTH 165.39 FEET THEREOF), IN WILL  | 
COUNTY, ILLINOIS. | 
SAID PARCEL CONTAINING 0.019 ACRES, MORE OR LESS.
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0013TE | 
Station: 122+32.87 to 123+15.61 | 
Index No.: 15-08-09-400-003 | 
THAT PART OF THE NORTHEAST QUARTER OF THE SOUTHEAST QUARTER OF  | 
 | 
SECTION 9, TOWNSHIP 35 NORTH, RANGE 11 EAST OF THE THIRD  | 
PRINCIPAL MERIDIAN, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT), WITH A COMBINED FACTOR OF  | 
0.9999586959; DESCRIBED AS FOLLOWS: | 
THE WEST 10.00 FEET OF THE EAST 43.00 FEET OF THE NORTH QUARTER  | 
OF THE SOUTH HALF OF THE NORTH HALF OF SAID NORTHEAST QUARTER  | 
OF THE SOUTHEAST QUARTER, IN WILL COUNTY, ILLINOIS. | 
SAID PARCEL CONTAINING 0.019 ACRES, MORE OR LESS.
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0014TE | 
Station: 121+69.62 to 123+28.62 | 
Index No.: 15-08-10-300-061 | 
THE WEST 5.00 FEET OF LOT 3 IN ARTHUR T. MCINTOSH'S NEW LENOX  | 
ACRES, BEING A SUBDIVISION OF THE SOUTHWEST QUARTER OF SECTION  | 
10 AND PART OF THE NORTHWEST QUARTER OF SECTION 15, TOWNSHIP 35  | 
NORTH, RANGE 11 EAST OF THE THIRD PRINCIPAL MERIDIAN,  | 
ACCORDING TO THE PLAT THEREOF RECORDED JULY 16, 1927 AS  | 
DOCUMENT NUMBER 408969, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT), WITH A COMBINED FACTOR OF  | 
0.9999586959. | 
SAID PARCEL CONTAINING 0.018 ACRES, MORE OR LESS. | 
 | 
REVISION DATE: 05-26-2022
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0015TE | 
Station: 121+50.19 to 122+32.94 | 
Index No.: 15-08-09-400-004 | 
THAT PART OF THE NORTHEAST QUARTER OF THE SOUTHEAST QUARTER OF  | 
SECTION 9, TOWNSHIP 35 NORTH, RANGE 11 EAST OF THE THIRD  | 
PRINCIPAL MERIDIAN, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT), WITH A COMBINED FACTOR OF  | 
0.9999586959; DESCRIBED AS FOLLOWS: | 
THE NORTH 31.00 FEET OF THE WEST 25.00 FEET OF THE EAST 58.00  | 
FEET TOGETHER WITH THE WEST 5.00 FEET OF THE EAST 38.00 FEET  | 
(EXCEPT THE NORTH 31.00 FEET THEREOF) OF THE SOUTH HALF OF THE  | 
NORTH HALF OF THE SOUTH HALF OF THE NORTH HALF OF SAID  | 
NORTHEAST QUARTER OF THE SOUTHEAST QUARTER, IN WILL COUNTY,  | 
ILLINOIS. | 
SAID PARCEL CONTAINING 0.024 ACRES, MORE OR LESS.
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0016TE | 
 | 
Station: 120+10.63 to 121+69.62 | 
Index No.: 15-08-10-300-058 | 
THE WEST 5.00 FEET OF LOT 4 IN ARTHUR T. MCINTOSH'S NEW LENOX  | 
ACRES, BEING A SUBDIVISION OF THE SOUTHWEST QUARTER OF SECTION  | 
10 AND PART OF THE NORTHWEST QUARTER OF SECTION 15, TOWNSHIP 35  | 
NORTH, RANGE 11 EAST OF THE THIRD PRINCIPAL MERIDIAN,  | 
ACCORDING TO THE PLAT THEREOF RECORDED JULY 16, 1927 AS  | 
DOCUMENT NUMBER 408969, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT), WITH A COMBINED FACTOR OF  | 
0.9999586959. | 
SAID PARCEL CONTAINING 0.018 ACRES, MORE OR LESS. | 
REVISION DATE: 05-26-2022
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0017TE | 
Station: 118+51.61 to 120+10.61 | 
Index No.: 15-08-10-300-057 | 
15-08-10-300-006 | 
THE WEST 5.00 FEET OF LOT 5 IN ARTHUR T. MCINTOSH'S NEW LENOX  | 
ACRES, BEING A SUBDIVISION OF THE SOUTHWEST QUARTER OF SECTION  | 
10 AND PART OF THE NORTHWEST QUARTER OF SECTION 15, TOWNSHIP 35  | 
NORTH, RANGE 11 EAST OF THE THIRD PRINCIPAL MERIDIAN,  | 
ACCORDING TO THE PLAT THEREOF RECORDED JULY 16, 1927 AS  | 
 | 
DOCUMENT NUMBER 408969, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT), WITH A COMBINED FACTOR OF  | 
0.9999586959. | 
SAID PARCEL CONTAINING 0.018 ACRES, MORE OR LESS.
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0018TE | 
Station: 116+92.61 to 118+51.63 | 
Index No.: 15-08-10-300-007 | 
THE WEST 5.00 FEET OF LOT 6 IN ARTHUR T. MCINTOSH'S NEW LENOX  | 
ACRES, BEING A SUBDIVISION OF THE SOUTHWEST QUARTER OF SECTION  | 
10 AND PART OF THE NORTHWEST QUARTER OF SECTION 15, TOWNSHIP 35  | 
NORTH, RANGE 11 EAST OF THE THIRD PRINCIPAL MERIDIAN,  | 
ACCORDING TO THE PLAT THEREOF RECORDED JULY 16, 1927 AS  | 
DOCUMENT NUMBER 408969, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT), WITH A COMBINED FACTOR OF  | 
0.9999586959 | 
SAID PARCEL CONTAINING 0.018 ACRES, MORE OR LESS.
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
 | 
Parcel No: IL T0019TE | 
Station: 118+89.42 to 119+84.84 | 
Index No.: 15-08-09-400-013 | 
THAT PART OF THE NORTHEAST QUARTER OF THE SOUTHEAST QUARTER OF  | 
SECTION 9, TOWNSHIP 35 NORTH, RANGE 11 EAST OF THE THIRD  | 
PRINCIPAL MERIDIAN, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT), WITH A COMBINED FACTOR OF  | 
0.9999586959; DESCRIBED AS FOLLOWS: | 
THE NORTH 44.00 FEET OF THE WEST 20.00 FEET OF THE EAST 53.00  | 
FEET TOGETHER WITH THE WEST 7.00 FEET OF THE EAST 40.00 FEET  | 
(EXCEPT THE NORTH 44.00 FEET THEREOF) OF THE NORTH HALF OF THE  | 
NORTH HALF OF THE SOUTH HALF OF SAID NORTHEAST QUARTER OF THE  | 
SOUTHEAST QUARTER, IN WILL COUNTY, ILLINOIS. | 
SAID PARCEL CONTAINING 0.028 ACRES, MORE OR LESS.
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0020TE | 
Station: 116+54.05 to 118+89.42 | 
Index No.: 15-08-09-400-010 | 
15-08-09-400-011 | 
THAT PART OF THE NORTHEAST QUARTER OF THE SOUTHEAST QUARTER OF  | 
SECTION 9, TOWNSHIP 35 NORTH, RANGE 11 EAST OF THE THIRD  | 
PRINCIPAL MERIDIAN, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
 | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT), WITH A COMBINED FACTOR OF  | 
0.9999586959; DESCRIBED AS FOLLOWS: | 
THE WEST 7.00 FEET OF THE EAST 40.00 FEET OF THE SOUTH HALF OF  | 
THE NORTH HALF OF THE SOUTH HALF OF THE NORTHEAST QUARTER OF  | 
THE SOUTHEAST QUARTER OF SAID SECTION 9; TOGETHER WITH THE  | 
WEST 7.00 FEET OF THE EAST 40.00 FEET OF THE SOUTH 70 FEET OF  | 
THE NORTH HALF OF THE NORTH HALF OF THE SOUTH HALF OF THE  | 
NORTHEAST QUARTER OF THE SOUTHEAST QUARTER OF SAID SECTION 9,  | 
ALL IN TOWNSHIP 35 NORTH, RANGE 11 EAST OF THE THIRD PRINCIPAL  | 
MERIDIAN, IN WILL COUNTY, ILLINOIS. | 
SAID PARCEL CONTAINING 0.038 ACRES, MORE OR LESS.
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0021PE | 
Station: 114+33.61 to 114+36.66 | 
Index No.: 15-08-10-300-011 | 
THE SOUTH 3 FEET OF THE WEST 17 FEET OF THE NORTH 100 FEET OF  | 
THE WEST 175 FEET OF LOT 8, IN ARTHUR T. MCINTOSH'S NEW LENOX  | 
ACRES, BEING A SUBDIVISION OF THE SOUTHWEST QUARTER OF SECTION  | 
10 AND PART OF THE NORTHWEST QUARTER OF SECTION 15, TOWNSHIP 35  | 
NORTH, RANGE 11 EAST OF THE THIRD PRINCIPAL MERIDIAN,  | 
ACCORDING TO THE PLAT THEREOF RECORDED JULY 16, 1927 AS  | 
DOCUMENT NUMBER 408969, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
 | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT), WITH A COMBINED FACTOR OF  | 
0.9999586959 | 
SAID PARCEL CONTAINING 0.001 ACRES (51 SQUARE FEET), MORE OR  | 
LESS. | 
REVISION DATE: 05-26-2022
 | 
Route: C.H.4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0021TE | 
Station: 114+36.61 to 115+33.63 | 
Index No.: 15-08-10-300-011 | 
THE WEST 5.00 FEET OF THE NORTH 97 FEET OF THE WEST 175 FEET OF  | 
LOT 8, IN ARTHUR T. MCINTOSH'S NEW LENOX ACRES, BEING A  | 
SUBDIVISION OF THE SOUTHWEST QUARTER OF SECTION 10 AND PART OF  | 
THE NORTHWEST QUARTER OF SECTION 15, TOWNSHIP 35 NORTH, RANGE  | 
11 EAST OF THE THIRD PRINCIPAL MERIDIAN, ACCORDING TO THE PLAT  | 
THEREOF RECORDED JULY 16, 1927 AS DOCUMENT NUMBER 408969, IN  | 
WILL COUNTY, ILLINOIS, BEARINGS AND DISTANCES BASED ON THE  | 
ILLINOIS STATE PLANE COORDINATE SYSTEM, EAST ZONE, NAD83 (2011  | 
ADJUSTMENT), WITH A COMBINED FACTOR OF 0.9999586959 | 
SAID PARCEL CONTAINING 0.011 ACRES, MORE OR LESS.
 | 
Route: C.H. 64 Francis Road | 
Section: 20-00051-09-CH | 
 | 
County: Will | 
Parcel No: IL T0022TE | 
Station: 202+31.49 to 203+55.08 | 
Index No.: 15-08-09-405-002 | 
THE NORTHERLY 5.00 FEET OF LOT 14 IN WILMSEN'S SUBDIVISION OF  | 
LOTS 1 AND 8 OF ARTHUR T. MCINTOSH AND COMPANY'S ADDITION TO  | 
NEW LENOX, A SUBDIVISION OF PART OF THE SOUTHEAST QUARTER OF  | 
SECTION 9, AND PART OF THE NORTHEAST QUARTER OF SECTION 16,  | 
TOWNSHIP 35 NORTH, RANGE 11 EAST OF THE THIRD PRINCIPAL  | 
MERIDIAN, ACCORDING TO THE PLAT THEREOF RECORDED JULY 10, 1948  | 
AS DOCUMENT NUMBER 642528, IN WILL COUNTY, ILLINOIS. | 
SAID PARCEL CONTAINING 0.014 ACRES, MORE OR LESS.
 | 
Route: C.H. 64 Francis Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0023TE | 
Station: 203+54.27 to 204+77.86 | 
Index No.: 15-08-09-405-003 | 
THE NORTHERLY 10.00 FEET OF LOT 12 IN WILMSEN'S SUBDIVISION OF  | 
LOTS 1 AND 8 OF ARTHUR T. MCINTOSH AND COMPANY'S ADDITION TO  | 
NEW LENOX, A SUBDIVISION OF PART OF THE SOUTHEAST QUARTER OF  | 
SECTION 9, AND PART OF THE NORTHEAST QUARTER OF SECTION 16,  | 
TOWNSHIP 35 NORTH, RANGE 11 EAST OF THE THIRD PRINCIPAL  | 
MERIDIAN, ACCORDING TO THE PLAT THEREOF RECORDED JULY 10, 1948  | 
AS DOCUMENT NUMBER 642528, IN WILL COUNTY, ILLINOIS. | 
 | 
SAID PARCEL CONTAINING 0.028 ACRES, MORE OR LESS.
 | 
Route: C.H. 64 Francis Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0024TE | 
Station: 204+77.86 to 206+00.14 | 
Index No.: 15-08-09-405-004 | 
THE NORTHERLY 10.00 FEET OF LOT 10 IN WILMSEN'S SUBDIVISION OF  | 
LOTS 1 AND 8 OF ARTHUR T. MCINTOSH AND COMPANY'S ADDITION TO  | 
NEW LENOX, A SUBDIVISION OF PART OF THE SOUTHEAST QUARTER OF  | 
SECTION 9, AND PART OF THE NORTHEAST QUARTER OF SECTION 16,  | 
TOWNSHIP 35 NORTH, RANGE 11 EAST OF THE THIRD PRINCIPAL  | 
MERIDIAN, ACCORDING TO THE PLAT THEREOF RECORDED JULY 10, 1948  | 
AS DOCUMENT NUMBER 642528, IN WILL COUNTY, ILLINOIS. | 
SAID PARCEL CONTAINING 0.028 ACRES, MORE OR LESS.
 | 
Route: C.H. 64 Francis Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0025TE | 
Station: 206+00.14 to 207+53.71 | 
Index No.: 15-08-09-405-009 | 
THAT PART OF LOT 9 IN WILMSEN'S SUBDIVISION OF LOTS 1 AND 8 OF  | 
ARTHUR T. MCINTOSH AND COMPANY'S ADDITION TO NEW LENOX, A  | 
SUBDIVISION OF PART OF THE SOUTHEAST QUARTER OF SECTION 9, AND  | 
 | 
PART OF THE NORTHEAST QUARTER OF SECTION 16, TOWNSHIP 35  | 
NORTH, RANGE 11 EAST OF THE THIRD PRINCIPAL MERIDIAN,  | 
ACCORDING TO THE PLAT THEREOF RECORDED JULY 10, 1948 AS  | 
DOCUMENT NUMBER 642528, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT), WITH A COMBINED FACTOR OF  | 
0.9999586959; DESCRIBED AS FOLLOWS: | 
BEGINNING AT THE NORTHEAST CORNER OF SAID LOT 9; THENCE SOUTH  | 
01 DEGREES 30 MINUTES 42 SECONDS EAST ALONG THE EAST LINE OF  | 
SAID LOT 9, A DISTANCE OF 10.13 FEET; THENCE SOUTH 79 DEGREES  | 
17 MINUTES 03 SECONDS WEST ALONG A LINE 10.00 FEET SOUTH OF AND  | 
PARALLEL WITH THE NORTHERLY LINE OF SAID LOT 9, ALSO BEING THE  | 
SOUTHERLY LINE OF FRANCIS ROAD, 64.43 FEET; THENCE SOUTH 10  | 
DEGREES 42 MINUTES 57 SECONDS EAST, 5.00 FEET; THENCE SOUTH 79  | 
DEGREES 17 MINUTES 03 SECONDS WEST ALONG A LINE 15.00 FEET  | 
SOUTH OF AND PARALLEL WITH THE SAID SOUTHERLY LINE OF FRANCIS  | 
ROAD, 25.00 FEET; THENCE NORTH 10 DEGREES 42 MINUTES 57  | 
SECONDS WEST, 5.00 FEET; THENCE SOUTH 79 DEGREES 17 MINUTES 03  | 
SECONDS WEST ALONG A LINE 10.00 FEET SOUTH OF AND PARALLEL WITH  | 
THE SAID SOUTHERLY LINE OF FRANCIS ROAD, 62.53 FEET TO THE WEST  | 
LINE OF SAID LOT 9; THENCE NORTH 01 DEGREES 30 MINUTES 42  | 
SECONDS WEST ALONG SAID WEST LINE, 10.13 FEET TO SAID  | 
NORTHERLY LINE OF LOT 9, ALSO BEING SAID SOUTHERLY LINE OF  | 
FRANCIS ROAD; THENCE NORTH 79 DEGREES 17 MINUTES 03 SECONDS  | 
EAST ALONG SAID SOUTHERLY LINE OF FRANCIS ROAD, 151.96 FEET TO  | 
THE PLACE OF BEGINNING. | 
 | 
SAID PARCEL CONTAINING 0.038 ACRES, MORE OR LESS. | 
REVISION DATE: 05-26-2022
 | 
Route: C.H. 4 Cedar Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0026TE | 
Station: 107+73.63 to 108+08.64 | 
Index No.: 15-08-10-301-0073 | 
THE NORTH 35 FEET OF THE SOUTH 55.25 FEET OF LOT 11 (EXCEPT THE  | 
WEST 17 FEET THEREOF) IN ARTHUR T. MCINTOSH AND COMPANY'S NEW  | 
LENOX ACRES, A SUBDIVISION IN SECTIONS 10 AND 15, TOWNSHIP 35  | 
NORTH, AND RANGE 11 EAST OF THE THIRD PRINCIPAL MERIDIAN,  | 
ACCORDING TO THE PLAT THEREOF RECORDED JULY 16, 1927 AS  | 
DOCUMENT 408969, IN WILL COUNTY, ILLINOIS, BEARINGS AND  | 
DISTANCES BASED ON THE ILLINOIS STATE PLANE COORDINATE SYSTEM,  | 
EAST ZONE, NAD83 (2011 ADJUSTMENT) WITH A COMBINED FACTOR OF  | 
0.9999586959. | 
SAID PARCEL CONTAINING 0.004 ACRES (175 SQUARE FEET), MORE OR  | 
LESS. | 
REVISION DATE: 05-26-2022
 | 
Route: C.H. 64 Francis Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0027TE | 
 | 
Station: 216+52.49 to 217+35.06 | 
Index No.: 15-08-10-301-005 | 
THE NORTHERLY 10.00 FEET OF THE EAST 80 FEET OF THE WEST 617  | 
FEET OF LOT 10 IN ARTHUR T. MCINTOSH AND COMPANY'S NEW LENOX  | 
ACRES, A SUBDIVISION IN SECTIONS 10 AND 15, TOWNSHIP 35 NORTH,  | 
AND RANGE 11 EAST OF THE THIRD PRINCIPAL MERIDIAN, ACCORDING  | 
TO THE PLAT THEREOF RECORDED JULY 16, 1927 AS DOCUMENT 408969,  | 
IN WILL COUNTY, ILLINOIS, BEARINGS AND DISTANCES BASED ON THE  | 
ILLINOIS STATE PLANE COORDINATE SYSTEM, EAST ZONE, NAD83 (2011  | 
ADJUSTMENT) WITH A COMBINED FACTOR OF 0.9999586959. | 
SAID PARCEL CONTAINING 0.018 ACRES, MORE OR LESS. | 
REVISION DATE: 05-26-2022
 | 
Route: C.H. 64 Francis Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0028TE | 
Station: 217+33.45 to 218+43.47 | 
Index No.: 15-08-10-301-067 | 
THE NORTHERLY 10.00 FEET OF THE EAST 34.75 FEET OF LOT 10 AND  | 
LOT 35 (EXCEPT THE EAST 270.03 FEET THEREOF) IN ARTHUR T.  | 
MCINTOSH AND COMPANY'S NEW LENOX ACRES, A SUBDIVISION IN  | 
SECTIONS 10 AND 15, TOWNSHIP 35 NORTH, AND RANGE 11 EAST OF THE  | 
THIRD PRINCIPAL MERIDIAN, ACCORDING TO THE PLAT THEREOF  | 
RECORDED JULY 16, 1927 AS DOCUMENT 408969, IN WILL COUNTY,  | 
ILLINOIS, BEARINGS AND DISTANCES BASED ON THE ILLINOIS STATE  | 
 | 
PLANE COORDINATE SYSTEM, EAST ZONE, NAD83 (2011 ADJUSTMENT)  | 
WITH A COMBINED FACTOR OF 0.9999586959. | 
SAID PARCEL CONTAINING 0.025 ACRES, MORE OR LESS. | 
REVISION DATE: 05-26-2022
 | 
Route: C.H. 64 Francis Road | 
Section: 20-00051-09-CH | 
County: Will | 
Parcel No: IL T0029TE | 
Station: 218+41.89 to 218+83.97 | 
Index No.: 15-08-10-301-068 | 
THE NORTHERLY 10.00 FEET OF THE WEST 40.00 FEET OF THE EAST  | 
270.00 FEET OF LOT 35, AS MEASURED ALONG THE SOUTH LINE OF SAID  | 
LOT 35, IN ARTHUR T. MCINTOSH AND COMPANY'S NEW LENOX ACRES, A  | 
SUBDIVISION IN SECTIONS 10 AND 15, TOWNSHIP 35 NORTH, AND  | 
RANGE 11 EAST OF THE THIRD PRINCIPAL MERIDIAN, ACCORDING TO  | 
THE PLAT THEREOF RECORDED JULY 16, 1927 AS DOCUMENT 408969, IN  | 
WILL COUNTY, ILLINOIS, BEARINGS AND DISTANCES BASED ON THE  | 
ILLINOIS STATE PLANE COORDINATE SYSTEM, EAST ZONE, NAD83 (2011  | 
ADJUSTMENT) WITH A COMBINED FACTOR OF 0.9999586959. | 
SAID PARCEL CONTAINING 0.009 ACRES (405 SQUARE FEET), MORE OR  | 
LESS. | 
REVISION DATE: 05-26-2022 | 
REVISION DATE: 06-30-2022 | 
 (b) This Section is repealed on June 9, 2026 (3 years after  | 
the effective date of Public Act 103-10) this amendatory Act  | 
 | 
of the 103rd General Assembly.  | 
(Source: P.A. 103-10, eff. 6-9-23; revised 7-27-23.)
 | 
 Section 600. The Illinois False Claims Act is amended by  | 
changing Section 6 as follows:
 | 
 (740 ILCS 175/6) (from Ch. 127, par. 4106) | 
 Sec. 6. Subpoenas.   | 
 (a) In general.  | 
  (1) Issuance and service. Whenever the Attorney  | 
 General has reason to believe that any person may be in  | 
 possession, custody, or control of any documentary  | 
 material or information relevant to an investigation, the  | 
 Attorney General may, before commencing a civil proceeding  | 
 under this Act or making an election under paragraph (4)  | 
 of subsection (b) of Section 4, issue in writing and cause  | 
 to be served upon such person, a subpoena requiring such  | 
 person:  | 
   (A) to produce such documentary material for  | 
 inspection and copying,  | 
   (B) to answer, in writing, written interrogatories  | 
 with respect to such documentary material or  | 
 information,  | 
   (C) to give oral testimony concerning such  | 
 documentary material or information, or  | 
   (D) to furnish any combination of such material,  | 
 | 
 answers, or testimony.  | 
 The Attorney General may issue subpoenas under this  | 
 subsection (a). Whenever a subpoena is an express demand  | 
 for any product of discovery, the Attorney General shall  | 
 cause to be served, in any manner authorized by this  | 
 Section, a copy of such demand upon the person from whom  | 
 the discovery was obtained and shall notify the person to  | 
 whom such demand is issued of the date on which such copy  | 
 was served. Any information obtained by the Attorney  | 
 General under this Section may be shared with any qui tam  | 
 relator if the Attorney General determines it necessary as  | 
 part of any Illinois False Claims Act investigation.  | 
  (1.5) Where a subpoena requires the production of  | 
 documentary material, the respondent shall produce the  | 
 original of the documentary material, provided, however,  | 
 that the Attorney General may agree that copies may be  | 
 substituted for the originals. All documentary material  | 
 kept or stored in electronic form, including electronic  | 
 mail, shall be produced in native format, as kept in the  | 
 normal course of business, or as otherwise directed by the  | 
 Attorney General. The production of documentary material  | 
 shall be made at the respondent's expense.   | 
  (2) Contents and deadlines. Each subpoena issued under  | 
 paragraph (1):  | 
   (A) Shall state the nature of the conduct  | 
 constituting an alleged violation that is under  | 
 | 
 investigation and the applicable provision of law  | 
 alleged to be violated.  | 
   (B) Shall identify the individual causing the  | 
 subpoena to be served and to whom communications  | 
 regarding the subpoena should be directed.  | 
   (C) Shall state the date, place, and time at which  | 
 the person is required to appear, produce written  | 
 answers to interrogatories, produce documentary  | 
 material or give oral testimony. The date shall not be  | 
 less than 10 days from the date of service of the  | 
 subpoena. Compliance with the subpoena shall be at the  | 
 Office of the Attorney General in either the  | 
 Springfield or Chicago location or at other location  | 
 by agreement.  | 
   (D) If the subpoena is for documentary material or  | 
 interrogatories, shall describe the documents or  | 
 information requested with specificity.  | 
   (E) Shall notify the person of the right to be  | 
 assisted by counsel.  | 
   (F) Shall advise that the person has 20 days from  | 
 the date of service or up until the return date  | 
 specified in the demand, whichever date is earlier, to  | 
 move, modify, or set aside the subpoena pursuant to  | 
 subparagraph (j)(2)(A) of this Section. | 
 (b) Protected material or information.  | 
  (1) In general. A subpoena issued under subsection (a)  | 
 | 
 may not require the production of any documentary  | 
 material, the submission of any answers to written  | 
 interrogatories, or the giving of any oral testimony if  | 
 such material, answers, or testimony would be protected  | 
 from disclosure under:  | 
   (A) the standards applicable to subpoenas or  | 
 subpoenas duces tecum issued by a court of this State  | 
 to aid in a grand jury investigation; or  | 
   (B) the standards applicable to discovery requests  | 
 under the Code of Civil Procedure, to the extent that  | 
 the application of such standards to any such subpoena  | 
 is appropriate and consistent with the provisions and  | 
 purposes of this Section.  | 
  (2) Effect on other orders, rules, and laws. Any such  | 
 subpoena which is an express demand for any product of  | 
 discovery supersedes any inconsistent order, rule, or  | 
 provision of law (other than this Section) preventing or  | 
 restraining disclosure of such product of discovery to any  | 
 person. Disclosure of any product of discovery pursuant to  | 
 any such subpoena does not constitute a waiver of any  | 
 right or privilege which the person making such disclosure  | 
 may be entitled to invoke to resist discovery of trial  | 
 preparation materials. | 
 (c) Service in general. Any subpoena issued under  | 
subsection (a) may be served by any person so authorized by the  | 
Attorney General or by any person authorized to serve process  | 
 | 
on individuals within Illinois, through any method prescribed  | 
in the Code of Civil Procedure or as otherwise set forth in  | 
this Act. | 
 (d) Service upon legal entities and natural persons.  | 
  (1) Legal entities. Service of any subpoena issued  | 
 under subsection (a) or of any petition filed under  | 
 subsection (j) may be made upon a partnership,  | 
 corporation, association, or other legal entity by:  | 
   (A) delivering an executed copy of such subpoena  | 
 or petition to any partner, executive officer,  | 
 managing agent, general agent, or registered agent of  | 
 the partnership, corporation, association, or entity;  | 
   (B) delivering an executed copy of such subpoena  | 
 or petition to the principal office or place of  | 
 business of the partnership, corporation, association,  | 
 or entity; or  | 
   (C) depositing an executed copy of such subpoena  | 
 or petition in the United States mails by registered  | 
 or certified mail, with a return receipt requested,  | 
 addressed to such partnership, corporation,  | 
 association, or entity as its principal office or  | 
 place of business.  | 
  (2) Natural person. Service of any such subpoena or  | 
 petition may be made upon any natural person by:  | 
   (A) delivering an executed copy of such subpoena  | 
 or petition to the person; or  | 
 | 
   (B) depositing an executed copy of such subpoena  | 
 or petition in the United States mails by registered  | 
 or certified mail, with a return receipt requested,  | 
 addressed to the person at the person's residence or  | 
 principal office or place of business. | 
 (e) Proof of service. A verified return by the individual  | 
serving any subpoena issued under subsection (a) or any  | 
petition filed under subsection (j) setting forth the manner  | 
of such service shall be proof of such service. In the case of  | 
service by registered or certified mail, such return shall be  | 
accompanied by the return post office receipt of delivery of  | 
such subpoena. | 
 (f) Documentary material.  | 
  (1) Sworn certificates. The production of documentary  | 
 material in response to a subpoena served under this  | 
 Section shall be made under a sworn certificate, in such  | 
 form as the subpoena designates, by:  | 
   (A) in the case of a natural person, the person to  | 
 whom the subpoena is directed, or  | 
   (B) in the case of a person other than a natural  | 
 person, a person having knowledge of the facts and  | 
 circumstances relating to such production and  | 
 authorized to act on behalf of such person.  | 
 The certificate shall state that all of the documentary  | 
 material required by the demand and in the possession,  | 
 custody, or control of the person to whom the subpoena is  | 
 | 
 directed has been produced and made available to the  | 
 Attorney General.  | 
  (2) Production of materials. Any person upon whom any  | 
 subpoena for the production of documentary material has  | 
 been served under this Section shall make such material  | 
 available for inspection and copying to the Attorney  | 
 General at the place designated in the subpoena, or at  | 
 such other place as the Attorney General and the person  | 
 thereafter may agree and prescribe in writing, or as the  | 
 court may direct under subsection (j)(1). Such material  | 
 shall be made so available on the return date specified in  | 
 such subpoena, or on such later date as the Attorney  | 
 General may prescribe in writing. Such person may, upon  | 
 written agreement between the person and the Attorney  | 
 General, substitute copies for originals of all or any  | 
 part of such material. | 
 (g) Interrogatories. Each interrogatory in a subpoena  | 
served under this Section shall be answered separately and  | 
fully in writing under oath and shall be submitted under a  | 
sworn certificate, in such form as the subpoena designates by:  | 
  (1) in the case of a natural person, the person to whom  | 
 the subpoena is directed, or  | 
  (2) in the case of a person other than a natural  | 
 person, the person or persons responsible for answering  | 
 each interrogatory. | 
If any interrogatory is objected to, the reasons for the  | 
 | 
objection shall be stated in the certificate instead of an  | 
answer. The certificate shall state that all information  | 
required by the subpoena and in the possession, custody,  | 
control, or knowledge of the person to whom the demand is  | 
directed has been submitted. To the extent that any  | 
information is not furnished, the information shall be  | 
identified and reasons set forth with particularity regarding  | 
the reasons why the information was not furnished. | 
 (h) Oral examinations.  | 
  (1) Procedures. The examination of any person pursuant  | 
 to a subpoena for oral testimony served under this Section  | 
 shall be taken before an officer authorized to administer  | 
 oaths and affirmations by the laws of this State or of the  | 
 place where the examination is held. The officer before  | 
 whom the testimony is to be taken shall put the witness on  | 
 oath or affirmation and shall, personally or by someone  | 
 acting under the direction of the officer and in the  | 
 officer's presence, record the testimony of the witness.  | 
 The testimony shall be taken stenographically and shall be  | 
 transcribed. When the testimony is fully transcribed, the  | 
 officer before whom the testimony is taken shall promptly  | 
 transmit a certified copy of the transcript of the  | 
 testimony in accordance with the instructions of the  | 
 Attorney General. This subsection shall not preclude the  | 
 taking of testimony by any means authorized by, and in a  | 
 manner consistent with, the Code of Civil Procedure.  | 
 | 
  (2) Persons present. The investigator conducting the  | 
 examination shall exclude from the place where the  | 
 examination is held all persons except the person giving  | 
 the testimony, the attorney for and any other  | 
 representative of the person giving the testimony, the  | 
 attorney for the State, any person who may be agreed upon  | 
 by the attorney for the State and the person giving the  | 
 testimony, the officer before whom the testimony is to be  | 
 taken, and any stenographer taking such testimony.  | 
  (3) Where testimony taken. The oral testimony of any  | 
 person taken pursuant to a subpoena served under this  | 
 Section shall be taken in the county within which such  | 
 person resides, is found, or transacts business, or in  | 
 such other place as may be agreed upon by the Attorney  | 
 General and such person.  | 
  (4) Transcript of testimony. When the testimony is  | 
 fully transcribed, the Attorney General or the officer  | 
 before whom the testimony is taken shall afford the  | 
 witness, who may be accompanied by counsel, a reasonable  | 
 opportunity to review and correct the transcript, in  | 
 accordance with the rules applicable to deposition  | 
 witnesses in civil cases. Upon payment of reasonable  | 
 charges, the Attorney General shall furnish a copy of the  | 
 transcript to the witness, except that the Attorney  | 
 General may, for good cause, limit the witness to  | 
 inspection of the official transcript of the witness'  | 
 | 
 testimony.  | 
  (5) Conduct of oral testimony.  | 
   (A) Any person compelled to appear for oral  | 
 testimony under a subpoena issued under subsection (a)  | 
 may be accompanied, represented, and advised by  | 
 counsel, who may raise objections based on matters of  | 
 privilege in accordance with the rules applicable to  | 
 depositions in civil cases. If such person refuses to  | 
 answer any question, a petition may be filed in  | 
 circuit court under subsection (j)(1) for an order  | 
 compelling such person to answer such question.  | 
   (B) If such person refuses any question on the  | 
 grounds of the privilege against self-incrimination,  | 
 the testimony of such person may be compelled in  | 
 accordance with Article 106 of the Code of Criminal  | 
 Procedure of 1963.  | 
  (6) Witness fees and allowances. Any person appearing  | 
 for oral testimony under a subpoena issued under  | 
 subsection (a) shall be entitled to the same fees and  | 
 allowances which are paid to witnesses in the circuit  | 
 court. | 
 (i) Custodians of documents, answers, and transcripts.  | 
  (1) Designation. The Attorney General or his or her  | 
 delegate shall serve as custodian of documentary material,  | 
 answers to interrogatories, and transcripts of oral  | 
 testimony received under this Section.  | 
 | 
  (2) Except as otherwise provided in this Section, no  | 
 documentary material, answers to interrogatories, or  | 
 transcripts of oral testimony, or copies thereof, while in  | 
 the possession of the custodian, shall be available for  | 
 examination by any individual, except as determined  | 
 necessary by the Attorney General and subject to the  | 
 conditions imposed by him or her for effective enforcement  | 
 of the laws of this State, or as otherwise provided by  | 
 court order.  | 
  (3) Conditions for return of material. If any  | 
 documentary material has been produced by any person in  | 
 the course of any investigation pursuant to a subpoena  | 
 under this Section and:  | 
   (A) any case or proceeding before the court or  | 
 grand jury arising out of such investigation, or any  | 
 proceeding before any State agency involving such  | 
 material, has been completed, or  | 
   (B) no case or proceeding in which such material  | 
 may be used has been commenced within a reasonable  | 
 time after completion of the examination and analysis  | 
 of all documentary material and other information  | 
 assembled in the course of such investigation,  | 
 the custodian shall, upon written request of the person  | 
 who produced such material, return to such person any such  | 
 material which has not passed into the control of any  | 
 court, grand jury, or agency through introduction into the  | 
 | 
 record of such case or proceeding. | 
 (j) Judicial proceedings.  | 
  (1) Petition for enforcement. Whenever any person  | 
 fails to comply with any subpoena issued under subsection  | 
 (a), or whenever satisfactory copying or reproduction of  | 
 any material requested in such demand cannot be done and  | 
 such person refuses to surrender such material, the  | 
 Attorney General may file, in the circuit court of any  | 
 county in which such person resides, is found, or  | 
 transacts business, or the circuit court of the county in  | 
 which an action filed pursuant to Section 4 of this Act is  | 
 pending if the action relates to the subject matter of the  | 
 subpoena and serve upon such person a petition for an  | 
 order of such court for the enforcement of the subpoena.  | 
  (2) Petition to modify or set aside subpoena.  | 
   (A) Any person who has received a subpoena issued  | 
 under subsection (a) may file, in the circuit court of  | 
 any county within which such person resides, is found,  | 
 or transacts business, and serve upon the Attorney  | 
 General a petition for an order of the court to modify  | 
 or set aside such subpoena. In the case of a petition  | 
 addressed to an express demand for any product of  | 
 discovery, a petition to modify or set aside such  | 
 demand may be brought only in the circuit court of the  | 
 county in which the proceeding in which such discovery  | 
 was obtained is or was last pending. Any petition  | 
 | 
 under this subparagraph (A) must be filed:  | 
    (i) within 20 days after the date of service  | 
 of the subpoena, or at any time before the return  | 
 date specified in the subpoena, whichever date is  | 
 earlier, or  | 
    (ii) within such longer period as may be  | 
 prescribed in writing by the Attorney General.  | 
   (B) The petition shall specify each ground upon  | 
 which the petitioner relies in seeking relief under  | 
 subparagraph (A), and may be based upon any failure of  | 
 the subpoena to comply with the provisions of this  | 
 Section or upon any constitutional or other legal  | 
 right or privilege of such person. During the pendency  | 
 of the petition in the court, the court may stay, as it  | 
 deems proper, the running of the time allowed for  | 
 compliance with the subpoena, in whole or in part,  | 
 except that the person filing the petition shall  | 
 comply with any portion of the subpoena not sought to  | 
 be modified or set aside.  | 
  (3) Petition to modify or set aside demand for product  | 
 of discovery. In the case of any subpoena issued under  | 
 subsection (a) which is an express demand for any product  | 
 of discovery, the person from whom such discovery was  | 
 obtained may file, in the circuit court of the county in  | 
 which the proceeding in which such discovery was obtained  | 
 is or was last pending, a petition for an order of such  | 
 | 
 court to modify or set aside those portions of the  | 
 subpoena requiring production of any such product of  | 
 discovery, subject to the same terms, conditions, and  | 
 limitations set forth in subparagraph (j)(2) of this  | 
 Section.  | 
  (4) Jurisdiction. Whenever any petition is filed in  | 
 any circuit court under this subsection (j), such court  | 
 shall have jurisdiction to hear and determine the matter  | 
 so presented, and to enter such orders as may be required  | 
 to carry out the provisions of this Section. Any final  | 
 order so entered shall be subject to appeal in the same  | 
 manner as appeals of other final orders in civil matters.  | 
 Any disobedience of any final order entered under this  | 
 Section by any court shall be punished as a contempt of the  | 
 court. | 
 (k) Disclosure exemption. Any documentary material,  | 
answers to written interrogatories, or oral testimony provided  | 
under any subpoena issued under subsection (a) shall be exempt  | 
from disclosure under the Illinois Administrative Procedure  | 
Act. | 
(Source: P.A. 103-145, eff. 10-1-23; revised 9-20-23.)
 | 
 Section 605. The Good Samaritan Act is amended by changing  | 
Section 42 as follows:
 | 
 (745 ILCS 49/42) | 
 | 
 Sec. 42. Optometrists; exemption from civil liability for  | 
emergency care. Any optometrist or any person licensed as an a  | 
optometrist in any other state or territory of the United  | 
States who in good faith provides emergency care without fee  | 
to a victim of an accident at the scene of an accident shall  | 
not, as a result of his or her acts or omissions, except  | 
willful or wanton misconduct on the part of the person, in  | 
providing the care, be liable for civil damages. | 
(Source: P.A. 90-413, eff. 1-1-98; revised 9-20-23.)
 | 
 Section 610. The Emancipation of Minors Act is amended by  | 
changing Section 2 as follows:
 | 
 (750 ILCS 30/2) (from Ch. 40, par. 2202) | 
 Sec. 2. Purpose and policy. The purpose of this Act is to  | 
provide a means by which a mature minor who has demonstrated  | 
the ability and capacity to manage the minor's own affairs and  | 
to live wholly or partially independent of the minor's parents  | 
or guardian, may obtain the legal status of an emancipated  | 
person with power to enter into valid legal contracts.  | 
 This Act is not intended to interfere with the integrity  | 
of the family or the rights of parents and their children. No  | 
order of complete or partial emancipation may be entered under  | 
this Act if there is any objection by the minor. An order of  | 
complete or partial emancipation may be entered under this Act  | 
if there is an objection by the minor's parents or guardian  | 
 | 
only if the court finds, in a hearing, that emancipation would  | 
be in the minor's best interests. This Act does not limit or  | 
exclude any other means either in statute or case law by which  | 
a minor may become emancipated. | 
 (g) Beginning January 1, 2019, and annually thereafter  | 
through January 1, 2024, the Department of Human Services  | 
shall submit annual reports to the General Assembly regarding  | 
homeless minors older than 16 years of age but less than 18  | 
years of age referred to a youth transitional housing program  | 
for whom parental consent to enter the program is not  | 
obtained. The report shall include the following information:  | 
  (1) the number of homeless minors referred to youth  | 
 transitional housing programs;  | 
  (2) the number of homeless minors who were referred  | 
 but a licensed youth transitional housing program was not  | 
 able to provide housing and services, and what subsequent  | 
 steps, if any, were taken to ensure that the homeless  | 
 minors were referred to an appropriate and available  | 
 alternative placement; | 
  (3) the number of homeless minors who were referred  | 
 but determined to be ineligible for a youth transitional  | 
 housing program and the reason why the homeless minors  | 
 were determined to be ineligible, and what subsequent  | 
 steps, if any, were taken to ensure that the homeless  | 
 minors were referred to an appropriate and available  | 
 alternative placement; and | 
 | 
  (4) the number of homeless minors who voluntarily left  | 
 the program and who were dismissed from the program while  | 
 they were under the age of 18, and what subsequent steps,  | 
 if any, were taken to ensure that the homeless minors were  | 
 referred to an appropriate and available alternative  | 
 placement.  | 
(Source: P.A. 103-22, eff. 8-8-23; revised 9-20-23.)
 | 
 Section 615. The Electric Vehicle Charging Act is amended  | 
by changing Sections 15, 25, and 35 as follows:
 | 
 (765 ILCS 1085/15) | 
 Sec. 15. Definitions. As used in this Act:  | 
 "Affordable housing development" means (i) any housing  | 
that is subsidized by the federal or State government or (ii)  | 
any housing in which at least 20% of the dwelling units are  | 
subject to covenants or restrictions that require that the  | 
dwelling units to be sold or rented at prices that preserve  | 
them as affordable housing for a period of at least 10 years.  | 
 "Association" has the meaning set forth in subsection (o)  | 
of Section 2 of the Condominium Property Act or Section 1-5 of  | 
the Common Interest Community Association Act, as applicable.  | 
 "Electric vehicle" means a vehicle that is exclusively  | 
powered by and refueled by electricity, plugs in to charge,  | 
and is licensed to drive on public roadways. "Electric  | 
vehicle" does not include electric mopeds, electric  | 
 | 
off-highway vehicles, hybrid electric vehicles, or  | 
extended-range electric vehicles that are equipped, fully or  | 
partially, with conventional fueled propulsion or auxiliary  | 
engines.  | 
 "Electric vehicle charging system" means a device that is:  | 
  (1) used to provide electricity to an electric  | 
 vehicle;  | 
  (2) designed to ensure that a safe connection has been  | 
 made between the electric grid and the electric vehicle;  | 
 and  | 
  (3) able to communicate with the vehicle's control  | 
 system so that electricity flows at an appropriate voltage  | 
 and current level. An electric vehicle charging system may  | 
 be wall mounted or pedestal style, may provide multiple  | 
 cords to connect with electric vehicles, and shall:  | 
   (i) be certified by Underwriters Laboratories or  | 
 have been granted an equivalent certification; and  | 
   (ii) comply with the current version of Article  | 
 625 of the National Electrical Code.  | 
 "Electric vehicle supply equipment" or "EVSE" means a  | 
conductor, including an ungrounded, grounded, and equipment  | 
grounding conductor, and electric vehicle connectors,  | 
attachment plugs, and all other fittings, devices, power  | 
outlets, and apparatuses installed specifically for the  | 
purpose of transferring energy between the premises wiring and  | 
the electric vehicle. | 
 | 
 "EV-capable" means parking spaces that have the electrical  | 
panel capacity and conduit installed during construction to  | 
support future implementation of electric vehicle charging  | 
with 208-volt or 240-volt or greater, 40-ampere or greater  | 
circuits. Each EV-capable space shall feature a continuous  | 
raceway or cable assembly installed between an enclosure or  | 
outlet located within 3 feet of the EV-capable space and a  | 
suitable panelboard or other onsite electrical distribution  | 
equipment. The electrical distribution equipment to which the  | 
raceway or cable assembly connects shall have sufficient  | 
dedicated space and spare electrical capacity for a 2-pole  | 
circuit breaker or set of fuses. Reserved capacity shall be no  | 
less than 40A 208/240V for each EV-capable space unless  | 
EV-capable spaces will be controlled by an energy management  | 
system providing load management in accordance with NFPA 70,  | 
shall have a minimum capacity of 4.1 kilovolt-ampere per  | 
space, or have a minimum capacity of 2.7 kilovolt-ampere per  | 
space when all of the parking spaces are designed to be  | 
EV-capable spaces, EV-ready spaces, or EVSE-installed spaces.  | 
The electrical enclosure or outlet and the electrical  | 
distribution equipment directory shall be marked "For future  | 
electric vehicle supply equipment (EVSE)." This strategy  | 
ensures the reduction of up-front costs for electric vehicle  | 
charging station installation by providing the electrical  | 
elements that are difficult to install during a retrofit.  | 
Anticipating the use of dual-head EVSE, the same circuit may  | 
 | 
be used to support charging in adjacent EV-capable spaces. For  | 
purposes of this Act, "EV-capable" "EV capable" shall not be  | 
construed to require a developer or builder to install or run  | 
wire or cable from the electrical panel through the conduit or  | 
raceway to the terminus of the conduit. | 
 "EV-ready" means parking spaces that are provided with a  | 
branch circuit and either an outlet, junction box, or  | 
receptacle that will support an installed EVSE. Each branch  | 
circuit serving EV-ready spaces shall terminate at an outlet  | 
or enclosure, located within 3 feet of each EV-ready space it  | 
serves. The panelboard or other electrical distribution  | 
equipment directory shall designate the branch circuit as "For  | 
electric vehicle supply equipment (EVSE)" and the outlet or  | 
enclosure shall be marked "For electric vehicle supply  | 
equipment (EVSE)." The capacity of each branch circuit serving  | 
multiple EV-ready spaces designed to be controlled by an  | 
energy management system providing load management in  | 
accordance with NFPA 70, shall have a minimum capacity of 4.1  | 
kilovolt-ampere per space, or have a minimum capacity of 2.7  | 
kilovolt-ampere per space when all of the parking spaces are  | 
designed to be EV-capable spaces, EV-ready spaces, or EVSE  | 
spaces. | 
 "EVSE-installed" means electric vehicle supply equipment  | 
that is fully installed from the electrical panel to the  | 
parking space.  | 
 "Large multifamily residence" means a single residential  | 
 | 
building that accommodates 5 families or more.  | 
 "Level 1" means a 120-volt 20-ampere minimum branch  | 
circuit. | 
 "Level 2" means a 208-volt to 240-volt 40-ampere branch  | 
circuit. | 
 "New" means newly constructed.  | 
 "Reasonable restriction" means a restriction that does not  | 
significantly increase the cost of the electric vehicle  | 
charging station or electric vehicle charging system or  | 
significantly decrease its efficiency or specified  | 
performance.  | 
 "Single-family residence" means a detached single-family  | 
residence on a single lot.  | 
 "Small multifamily residence" means a single residential  | 
building that accommodates 2 to 4 families.  | 
(Source: P.A. 103-53, eff. 1-1-24; revised 12-22-23.)
 | 
 (765 ILCS 1085/25) | 
 Sec. 25. Residential requirements.  | 
 (a) All building permits issued 90 days after the  | 
effective date of this Act shall require a new, large  | 
multifamily residential building or a large multifamily  | 
residential building being renovated by a developer converting  | 
the property to an association to have 100% of its total  | 
parking spaces EV-capable. However, nothing in this Act shall  | 
be construed to require that in the case of a developer  | 
 | 
converting the property to an association, no EV-capable or  | 
EV-ready mandate shall apply if it would necessitate the  | 
developer having to excavate an existing surface lot or other  | 
parking facility in order to retrofit retro-fit the parking  | 
lot or facility with the necessary conduit and wiring. | 
 (b) The following requirements and timelines shall apply  | 
for affordable housing. A new construction single-family  | 
residence or small multifamily residence that qualifies as an  | 
affordable housing development under the same project  | 
ownership and is located on a campus with centralized parking  | 
areas is subject to the requirements and timelines below.  | 
 All building permits issued 24 months after the effective  | 
date of this Act shall require a new construction large  | 
multifamily residence that qualifies as an affordable housing  | 
development to have the following, unless additional  | 
requirements are required under a subsequently adopted  | 
building code:  | 
  (1) For permits issued 24 months after the effective  | 
 date of this Act, a minimum of 40% EV-capable parking  | 
 spaces. | 
  (2) For permits issued 5 years after the effective  | 
 date of this Act, a minimum of 50% EV-capable parking  | 
 spaces. | 
  (3) For permits issued 10 years after the effective  | 
 date of this Act, a minimum of 70% EV-capable parking  | 
 spaces.  | 
 | 
 (d) An accessible parking space is not required by this  | 
Section if no accessible parking spaces are required by the  | 
local zoning code. | 
(Source: P.A. 103-53, eff. 1-1-24; revised 12-22-23.)
 | 
 (765 ILCS 1085/35) | 
 Sec. 35. Electric vehicle charging system policy for  | 
renters.  | 
 (a) Notwithstanding any provision in the lease to the  | 
contrary and subject to subsection (b):  | 
  (1) a tenant may install, at the tenant's expense for  | 
 the tenant's own use, a level 1 receptacle or outlet, a  | 
 level 2 receptacle or outlet, or a level 2 electric  | 
 vehicle charging system on or in the leased premises; | 
  (2) a landlord shall not assess or charge a tenant any  | 
 fee for the placement or use of an electric vehicle  | 
 charging system, except that:  | 
   (A) the landlord may:  | 
    (i) require reimbursement for the actual cost  | 
 of electricity provided by the landlord that was  | 
 used by the electric vehicle charging system; | 
    (ii) charge a reasonable fee for access. If  | 
 the electric vehicle charging system is part of a  | 
 network for which a network fee is charged, the  | 
 landlord's reimbursement may include the amount of  | 
 the network fee. Nothing in this subparagraph  | 
 | 
 requires a landlord to impose upon a tenant a fee  | 
 or charge other than the rental payments specified  | 
 in the lease; or | 
    (iii) charge a security deposit to cover costs  | 
 to restore the property to its original condition  | 
 if the tenant removes the electric vehicle  | 
 charging system; . | 
   (B) the landlord may require reimbursement for the  | 
 cost of the installation of the electric vehicle  | 
 charging system, including any additions or upgrades  | 
 to existing wiring directly attributable to the  | 
 requirements of the electric vehicle charging system,  | 
 if the landlord places or causes the electric vehicle  | 
 charging system to be placed at the request of the  | 
 tenant; and  | 
   (C) if the tenant desires to place an electric  | 
 vehicle charging system in an area accessible to other  | 
 tenants, the landlord may assess or charge the tenant  | 
 a reasonable fee to reserve a specific parking space  | 
 in which to install the electric vehicle charging  | 
 system.  | 
 (b) A landlord may require a tenant to comply with:  | 
  (1) bona fide safety requirements consistent with an  | 
 applicable building code or recognized safety standard for  | 
 the protection of persons and property;  | 
  (2) a requirement that the electric vehicle charging  | 
 | 
 system be registered with the landlord within 30 days  | 
 after installation; or  | 
  (3) reasonable aesthetic provisions that govern the  | 
 dimensions, placement, or external appearance of an  | 
 electric vehicle charging system.  | 
 (c) A tenant may place an electric vehicle charging system  | 
if:  | 
  (1) the electric vehicle charging system is in  | 
 compliance with all applicable requirements adopted by a  | 
 landlord under subsection (b); and  | 
  (2) the tenant agrees, in writing, to:  | 
   (A) comply with the landlord's design  | 
 specifications for the installation of an electric  | 
 vehicle charging system;  | 
   (B) engage the services of a duly licensed and  | 
 registered electrical contractor familiar with the  | 
 installation and code requirements of an electric  | 
 vehicle charging system; and  | 
   (C) provide, within 14 days after receiving the  | 
 landlord's consent for the installation, a certificate  | 
 of insurance naming the landlord as an additional  | 
 insured party on the tenant's renter's insurance  | 
 policy for any claim related to the installation,  | 
 maintenance, or use of the electric vehicle charging  | 
 system or, at the landlord's option, reimbursement to  | 
 the landlord for the actual cost of any increased  | 
 | 
 insurance premium amount attributable to the electric  | 
 vehicle charging system, notwithstanding any provision  | 
 to the contrary in the lease. The tenant shall provide  | 
 reimbursement for an increased insurance premium  | 
 amount within 14 days after the tenant receives the  | 
 landlord's invoice for the amount attributable to the  | 
 electric vehicle charging system.  | 
 (d) If the landlord consents to a tenant's installation of  | 
an electric vehicle charging system on property accessible to  | 
other tenants, including a parking space, carport, or garage  | 
stall, then, unless otherwise specified in a written agreement  | 
with the landlord:  | 
  (1) The tenant, and each successive tenant with  | 
 exclusive rights to the area where the electric vehicle  | 
 charging system is installed, is responsible for costs for  | 
 damages to the electric vehicle charging system and to any  | 
 other property of the landlord or another tenant resulting  | 
 from the installation, maintenance, repair, removal, or  | 
 replacement of the electric vehicle charging system.  | 
   (A) Costs under this paragraph shall be based on:  | 
    (i) an embedded submetering device; or  | 
    (ii) a reasonable calculation of cost, based  | 
 on the average miles driven, efficiency of the  | 
 electric vehicle calculated by the United States  | 
 Environmental Protection Agency, and the cost of  | 
 electricity for the common area.  | 
 | 
   (B) The purpose of the costs under this paragraph  | 
 is for reasonable reimbursement of electricity usage  | 
 and shall not be set to deliberately exceed that  | 
 reasonable reimbursement.  | 
  (2) Each successive tenant with exclusive rights to  | 
 the area where the electric vehicle charging system is  | 
 installed shall assume responsibility for the repair,  | 
 maintenance, removal, and replacement of the electric  | 
 vehicle charging system until the electric vehicle  | 
 charging system is removed.  | 
  (3) The tenant, and each successive tenant with  | 
 exclusive rights to the area where the electric vehicle  | 
 charging system is installed, shall, at all times, have  | 
 and maintain an insurance policy covering the obligations  | 
 of the tenant under this subsection and shall name the  | 
 landlord as an additional insured party under the policy.  | 
  (4) The tenant, and each successive tenant with  | 
 exclusive rights to the area where the electric vehicle  | 
 charging system is installed, is responsible for removing  | 
 the system if reasonably necessary or convenient for the  | 
 repair, maintenance, or replacement of any property of the  | 
 landlord, whether or not leased to another tenant.  | 
 (e) An electric vehicle charging system installed at the  | 
tenant's cost is the property of the tenant. Upon termination  | 
of the lease, if the electric vehicle charging system is  | 
removable, the tenant may either remove it or sell it to the  | 
 | 
landlord or another tenant for an agreed price. Nothing in  | 
this subsection requires the landlord or another tenant to  | 
purchase the electric vehicle charging system.  | 
 (f) A landlord that willfully violates this Section shall  | 
be liable to the tenant for actual damages, and shall pay a  | 
civil penalty to the tenant in an amount not to exceed $1,000.  | 
 (g) In any action by a tenant requesting to have an  | 
electric vehicle charging system installed and seeking to  | 
enforce compliance with this Section, the court shall award  | 
reasonable attorney's fees to a prevailing plaintiff.  | 
 (h) A tenant whose landlord is an owner in an association  | 
and who desires to install an electric vehicle charging  | 
station must obtain approval to do so through the tenant's  | 
landlord or owner and in accordance with those provisions of  | 
this Act applicable to associations. | 
(Source: P.A. 103-53, eff. 1-1-24; revised 12-22-23.)
 | 
 Section 620. The Illinois Human Rights Act is amended by  | 
changing Section 8-101 as follows:
 | 
 (775 ILCS 5/8-101) | 
 Sec. 8-101. Illinois Human Rights Commission.  | 
 (A) Creation; appointments. The Human Rights Commission is  | 
created to consist of 7 members appointed by the Governor with  | 
the advice and consent of the Senate. No more than 4 members  | 
shall be of the same political party. The Governor shall  | 
 | 
designate one member as chairperson. All appointments shall be  | 
in writing and filed with the Secretary of State as a public  | 
record. | 
 (B) Terms. Of the members first appointed, 4 shall be  | 
appointed for a term to expire on the third Monday of January,  | 
2021, and 3 (including the Chairperson) shall be appointed for  | 
a term to expire on the third Monday of January, 2023.  | 
 Notwithstanding any provision of this Section to the  | 
contrary, the term of office of each member of the Illinois  | 
Human Rights Commission is abolished on January 19, 2019.  | 
Incumbent members holding a position on the Commission that  | 
was created by Public Act 84-115 and whose terms, if not for  | 
Public Act 100-1066 this amendatory Act of the 100th General  | 
Assembly, would have expired January 18, 2021 shall continue  | 
to exercise all of the powers and be subject to all of the  | 
duties of members of the Commission until June 30, 2019 or  | 
until their respective successors are appointed and qualified,  | 
whichever is earlier. | 
 Thereafter, each member shall serve for a term of 4 years  | 
and until the member's successor is appointed and qualified;  | 
except that any member chosen to fill a vacancy occurring  | 
otherwise than by expiration of a term shall be appointed only  | 
for the unexpired term of the member whom the member shall  | 
succeed and until the member's successor is appointed and  | 
qualified. | 
 (C) Vacancies.  | 
 | 
  (1) In the case of vacancies on the Commission during  | 
 a recess of the Senate, the Governor shall make a  | 
 temporary appointment until the next meeting of the Senate  | 
 when the Governor shall appoint a person to fill the  | 
 vacancy. Any person so nominated and confirmed by the  | 
 Senate shall hold office for the remainder of the term and  | 
 until the person's successor is appointed and qualified. | 
  (2) If the Senate is not in session at the time this  | 
 Act takes effect, the Governor shall make temporary  | 
 appointments to the Commission as in the case of  | 
 vacancies. | 
  (3) Vacancies in the Commission shall not impair the  | 
 right of the remaining members to exercise all the powers  | 
 of the Commission. Except when authorized by this Act to  | 
 proceed through a 3 member panel, a majority of the  | 
 members of the Commission then in office shall constitute  | 
 a quorum. | 
 (D) Compensation. On and after January 19, 2019, the  | 
Chairperson of the Commission shall be compensated at the rate  | 
of $125,000 per year, or as set by the Compensation Review  | 
Board, whichever is greater, during the Chairperson's service  | 
as Chairperson, and each other member shall be compensated at  | 
the rate of $119,000 per year, or as set by the Compensation  | 
Review Board, whichever is greater. In addition, all members  | 
of the Commission shall be reimbursed for expenses actually  | 
and necessarily incurred by them in the performance of their  | 
 | 
duties. | 
 (E) Notwithstanding the general supervisory authority of  | 
the Chairperson, each commissioner, unless appointed to the  | 
special temporary panel created under subsection (H), has the  | 
authority to hire and supervise a staff attorney. The staff  | 
attorney shall report directly to the individual commissioner. | 
 (F) A formal training program for newly appointed  | 
commissioners shall be implemented. The training program shall  | 
include the following: | 
  (1) substantive and procedural aspects of the office  | 
 of commissioner; | 
  (2) current issues in employment and housing  | 
 discrimination and public accommodation law and practice; | 
  (3) orientation to each operational unit of the Human  | 
 Rights Commission; | 
  (4) observation of experienced hearing officers and  | 
 commissioners conducting hearings of cases, combined with  | 
 the opportunity to discuss evidence presented and rulings  | 
 made; | 
  (5) the use of hypothetical cases requiring the newly  | 
 appointed commissioner to issue judgments as a means of  | 
 evaluating knowledge and writing ability; | 
  (6) writing skills; and | 
  (7) professional and ethical standards. | 
 A formal and ongoing professional development program  | 
including, but not limited to, the above-noted areas shall be  | 
 | 
implemented to keep commissioners informed of recent  | 
developments and issues and to assist them in maintaining and  | 
enhancing their professional competence. Each commissioner  | 
shall complete 20 hours of training in the above-noted areas  | 
during every 2 years the commissioner remains in office. | 
 (G) Commissioners must meet one of the following  | 
qualifications: | 
  (1) licensed to practice law in the State of Illinois; | 
  (2) at least 3 years of experience as a hearing  | 
 officer at the Human Rights Commission; or | 
  (3) at least 4 years of professional experience  | 
 working for or dealing with individuals or corporations  | 
 affected by this Act or similar laws in other  | 
 jurisdictions, including, but not limited to, experience  | 
 with a civil rights advocacy group, a fair housing group,  | 
 a community organization, a trade association, a union, a  | 
 law firm, a legal aid organization, an employer's human  | 
 resources department, an employment discrimination  | 
 consulting firm, a community affairs organization, or a  | 
 municipal human relations agency. | 
 The Governor's appointment message, filed with the  | 
Secretary of State and transmitted to the Senate, shall state  | 
specifically how the experience of a nominee for commissioner  | 
meets the requirement set forth in this subsection. The  | 
Chairperson must have public or private sector management and  | 
budget experience, as determined by the Governor. | 
 | 
 Each commissioner shall devote full time to the  | 
commissioner's duties and any commissioner who is an attorney  | 
shall not engage in the practice of law, nor shall any  | 
commissioner hold any other office or position of profit under  | 
the United States or this State or any municipal corporation  | 
or political subdivision of this State, nor engage in any  | 
other business, employment, or vocation. | 
 (H) (Blank).  | 
(Source: P.A. 102-1129, eff. 2-10-23; 103-326, eff. 1-1-24;  | 
revised 12-15-23.)
 | 
 Section 622. The Business Corporation Act of 1983 is  | 
amended by changing Section 1.80 as follows:
 | 
 (805 ILCS 5/1.80) (from Ch. 32, par. 1.80) | 
 Sec. 1.80. Definitions. As used in this Act, unless the  | 
context otherwise requires, the words and phrases defined in  | 
this Section shall have the meanings set forth herein. | 
 (a) "Corporation" or "domestic corporation" means a  | 
corporation subject to the provisions of this Act, except a  | 
foreign corporation. | 
 (b) "Foreign corporation" means a corporation for profit  | 
organized under laws other than the laws of this State, but  | 
shall not include a banking corporation organized under the  | 
laws of another state or of the United States, a foreign  | 
banking corporation organized under the laws of a country  | 
 | 
other than the United States and holding a certificate of  | 
authority from the Commissioner of Banks and Real Estate  | 
issued pursuant to the Foreign Banking Office Act, or a  | 
banking corporation holding a license from the Commissioner of  | 
Banks and Real Estate issued pursuant to the Foreign Bank  | 
Representative Office Act. | 
 (c) "Articles of incorporation" means the original  | 
articles of incorporation, including the articles of  | 
incorporation of a new corporation set forth in the articles  | 
of consolidation, and all amendments thereto, whether  | 
evidenced by articles of amendment, articles of merger,  | 
articles of exchange, statement of correction affecting  | 
articles, resolution establishing series of shares or a  | 
statement of cancellation under Section 9.05. Restated  | 
articles of incorporation shall supersede the original  | 
articles of incorporation and all amendments thereto prior to  | 
the effective date of filing the articles of amendment  | 
incorporating the restated articles of incorporation. | 
 (d) "Subscriber" means one who subscribes for shares in a  | 
corporation, whether before or after incorporation. | 
 (e) "Incorporator" means one of the signers of the  | 
original articles of incorporation. | 
 (f) "Shares" means the units into which the proprietary  | 
interests in a corporation are divided. | 
 (g) "Shareholder" means one who is a holder of record of  | 
shares in a corporation. | 
 | 
 (h) "Certificate" representing shares means a written  | 
instrument executed by the proper corporate officers, as  | 
required by Section 6.35 of this Act, evidencing the fact that  | 
the person therein named is the holder of record of the share  | 
or shares therein described. If the corporation is authorized  | 
to issue uncertificated shares in accordance with Section 6.35  | 
of this Act, any reference in this Act to shares represented by  | 
a certificate shall also refer to uncertificated shares and  | 
any reference to a certificate representing shares shall also  | 
refer to the written notice in lieu of a certificate provided  | 
for in Section 6.35. | 
 (i) "Authorized shares" means the aggregate number of  | 
shares of all classes which the corporation is authorized to  | 
issue. | 
 (j) "Paid-in capital" means the sum of the cash and other  | 
consideration received, less expenses, including commissions,  | 
paid or incurred by the corporation, in connection with the  | 
issuance of shares, plus any cash and other consideration  | 
contributed to the corporation by or on behalf of its  | 
shareholders, plus amounts added or transferred to paid-in  | 
capital by action of the board of directors or shareholders  | 
pursuant to a share dividend, share split, or otherwise, minus  | 
reductions as provided elsewhere in this Act. Irrespective of  | 
the manner of designation thereof by the laws under which a  | 
foreign corporation is or may be organized, paid-in capital of  | 
a foreign corporation shall be determined on the same basis  | 
 | 
and in the same manner as paid-in capital of a domestic  | 
corporation, for the purpose of computing license fees,  | 
franchise taxes and other charges imposed by this Act. | 
 (k) "Net assets", for the purpose of determining the right  | 
of a corporation to purchase its own shares and of determining  | 
the right of a corporation to declare and pay dividends and  | 
make other distributions to shareholders is equal to the  | 
difference between the assets of the corporation and the  | 
liabilities of the corporation. | 
 (l) "Registered office" means that office maintained by  | 
the corporation in this State, the address of which is on file  | 
in the office of the Secretary of State, at which any process,  | 
notice or demand required or permitted by law may be served  | 
upon the registered agent of the corporation. | 
 (m) "Insolvent" means that a corporation is unable to pay  | 
its debts as they become due in the usual course of its  | 
business. | 
 (n) "Anniversary" means that day each year exactly one or  | 
more years after:  | 
  (1) the date of filing the articles of incorporation  | 
 prescribed by Section 2.10 of this Act, in the case of a  | 
 domestic corporation;  | 
  (2) the date of filing the application for authority  | 
 prescribed by Section 13.15 of this Act, in the case of a  | 
 foreign corporation; or  | 
  (3) the date of filing the articles of consolidation  | 
 | 
 prescribed by Section 11.25 of this Act in the case of a  | 
 consolidation, unless the plan of consolidation provides  | 
 for a delayed effective date, pursuant to Section 11.40. | 
 (o) "Anniversary month" means the month in which the  | 
anniversary of the corporation occurs. | 
 (p) "Extended filing month" means the month (if any) which  | 
shall have been established in lieu of the corporation's  | 
anniversary month in accordance with Section 14.01. | 
 (q) "Taxable year" means that 12-month 12 month period  | 
commencing with the first day of the anniversary month of a  | 
corporation through the last day of the month immediately  | 
preceding the next occurrence of the anniversary month of the  | 
corporation, except that in the case of a corporation that has  | 
established an extended filing month "taxable year" means that  | 
12-month 12 month period commencing with the first day of the  | 
extended filing month through the last day of the month  | 
immediately preceding the next occurrence of the extended  | 
filing month. | 
 (r) "Fiscal year" means the 12-month 12 month period with  | 
respect to which a corporation ordinarily files its federal  | 
income tax return. | 
 (s) "Close corporation" means a corporation organized  | 
under or electing to be subject to Article 2A of this Act, the  | 
articles of incorporation of which contain the provisions  | 
required by Section 2.10, and either the corporation's  | 
articles of incorporation or an agreement entered into by all  | 
 | 
of its shareholders provide that all of the issued shares of  | 
each class shall be subject to one or more of the restrictions  | 
on transfer set forth in Section 6.55 of this Act. | 
 (t) "Common shares" means shares which have no preference  | 
over any other shares with respect to distribution of assets  | 
on liquidation or with respect to payment of dividends. | 
 (u) "Delivered", for the purpose of determining if any  | 
notice required by this Act is effective, means:  | 
  (1) transferred or presented to someone in person; or  | 
  (2) deposited in the United States Mail addressed to  | 
 the person at his, her or its address as it appears on the  | 
 records of the corporation, with sufficient first-class  | 
 postage prepaid thereon. | 
 (v) "Property" means gross assets including, without  | 
limitation, all real, personal, tangible, and intangible  | 
property. | 
 (w) "Taxable period" means that 12-month period commencing  | 
with the first day of the second month preceding the  | 
corporation's anniversary month in the preceding year and  | 
prior to the first day of the second month immediately  | 
preceding its anniversary month in the current year, except  | 
that, in the case of a corporation that has established an  | 
extended filing month, "taxable period" means that 12-month  | 
period ending with the last day of its fiscal year immediately  | 
preceding the extended filing month. In the case of a newly  | 
formed domestic corporation or a newly registered foreign  | 
 | 
corporation that had not commenced transacting business in  | 
this State prior to obtaining authority, "taxable period"  | 
means that period commencing with the filing of the articles  | 
of incorporation or, in the case of a foreign corporation, of  | 
filing of the application for authority, and prior to the  | 
first day of the second month immediately preceding its  | 
anniversary month in the next succeeding year. | 
 (x) "Treasury shares" mean (1) shares of a corporation  | 
that have been issued, have been subsequently acquired by and  | 
belong to the corporation, and have not been cancelled or  | 
restored to the status of authorized but unissued shares and  | 
(2) shares (i) declared and paid as a share dividend on the  | 
shares referred to in clause (1) or this clause (2), or (ii)  | 
issued in a share split of the shares referred to in clause (1)  | 
or this clause (2). Treasury shares shall be deemed to be  | 
"issued" shares but not "outstanding" shares. Treasury shares  | 
may not be voted, directly or indirectly, at any meeting or  | 
otherwise. Shares converted into or exchanged for other shares  | 
of the corporation shall not be deemed to be treasury shares. | 
 (y) "Gross amount of business" means gross receipts, from  | 
whatever source derived.  | 
 (z) "Open data" means data that is expressed in a  | 
machine-readable form and that is made freely available to the  | 
public under an open license, without registration  | 
requirement, and without any other restrictions that would  | 
impede its use or reuse.  | 
 | 
  (16) Soil improvement. | 
  (17) Crop improvement. | 
  (18) Livestock or poultry improvement. | 
  (19) Professional, commercial, industrial, or trade  | 
 association. | 
  (20) Promoting the development, establishment, or  | 
 expansion of industries. | 
  (21) Electrification on a cooperative basis. | 
  (22) Telephone service on a mutual or cooperative  | 
 basis. | 
  (23) Ownership and operation of water supply  | 
 facilities for drinking and general domestic use on a  | 
 mutual or cooperative basis. | 
  (24) Ownership or administration of residential  | 
 property on a cooperative basis. | 
  (25) Administration and operation of property owned on  | 
 a condominium basis or by a homeowner association. | 
  (26) Administration and operation of an organization  | 
 on a cooperative basis producing or furnishing goods,  | 
 services, or facilities primarily for the benefit of its  | 
 members who are consumers of those goods, services, or  | 
 facilities. | 
  (27) Operation of a community mental health board or  | 
 center organized pursuant to the Community Mental Health  | 
 Act for the purpose of providing direct patient services. | 
  (28) Provision of debt management services as  | 
 | 
 authorized by the Debt Management Service Act. | 
  (29) Promotion, operation, and administration of a  | 
 ridesharing arrangement as defined in Section 1-176.1 of  | 
 the Illinois Vehicle Code. | 
  (30) The administration and operation of an  | 
 organization for the purpose of assisting low-income  | 
 consumers in the acquisition of utility and telephone  | 
 services. | 
  (31) Any purpose permitted to be exempt from taxation  | 
 under Sections 501(c) or 501(d) of the United States  | 
 Internal Revenue Code, as now in or hereafter amended. | 
  (32) Any purpose that would qualify for tax-deductible  | 
 gifts under the Section 170(c) of the United States  | 
 Internal Revenue Code, as now or hereafter amended. Any  | 
 such purpose is deemed to be charitable under subsection  | 
 (a)(1) of this Section. | 
  (33) Furnishing of natural gas on a cooperative basis.  | 
  (34) Ownership and operation of agriculture-based  | 
 biogas (anaerobic digester) systems on a cooperative basis  | 
 including the marketing and sale of products produced from  | 
 these, including, but not limited to, methane gas,  | 
 electricity, and compost.  | 
  (35) Ownership and operation of a hemophilia program,  | 
 including comprehensive hemophilia diagnostic treatment  | 
 centers, under Section 501(a)(2) of the Social Security  | 
 Act. The hemophilia program may employ physicians, other  | 
 | 
 health care professionals, and staff. The program and the  | 
 corporate board may not exercise control over, direct, or  | 
 interfere with a physician's exercise and execution of his  | 
 or her professional judgment in the provision of care or  | 
 treatment.  | 
  (36) Engineering for conservation services associated  | 
 with wetland restoration or mitigation, flood mitigation,  | 
 groundwater recharge, and natural infrastructure.  | 
 Non-profit engineering for conservation services may not  | 
 be procured by qualifications based selection criteria for  | 
 contracts with the Department of Transportation, the  | 
 Illinois State Toll Highway Authority, or Cook County,  | 
 except as a subcontractor or subconsultant.  | 
 (b) A corporation may be organized hereunder to serve in  | 
an area that adjoins or borders (except for any intervening  | 
natural watercourse) an area located in an adjoining state  | 
intended to be similarly served, and the corporation may join  | 
any corporation created by the adjoining state having an  | 
identical purpose and organized as a not-for-profit  | 
corporation. Whenever any corporation organized under this Act  | 
so joins with a foreign corporation having an identical  | 
purpose, the corporation shall be permitted to do business in  | 
Illinois as one corporation; provided (1) that the name, bylaw  | 
provisions, officers, and directors of each corporation are  | 
identical, (2) that the foreign corporation complies with the  | 
provisions of this Act relating to the admission of foreign  | 
 | 
corporation, and (3) that the Illinois corporation files a  | 
statement with the Secretary of State indicating that it has  | 
joined with a foreign corporation setting forth the name  | 
thereof and the state of its incorporation. | 
(Source: P.A. 103-66, eff. 6-9-23; revised 9-21-23.)
 | 
 Section 630. The Consumer Fraud and Deceptive Business  | 
Practices Act is amended by setting forth, renumbering, and  | 
changing multiple versions of Section 2BBBB as follows:
 | 
 (815 ILCS 505/2BBBB) | 
 Sec. 2BBBB. Deceptive practices related to limited  | 
services pregnancy centers. | 
 (a) As used in this Section: | 
 "Abortion" means the use of any instrument, medicine,  | 
drug, or any other substance or device to terminate the  | 
pregnancy of an individual known to be pregnant with an  | 
intention other than to increase the probability of a live  | 
birth, to preserve the life or health of the child after live  | 
birth, or to remove a dead fetus, as defined in Section 1-10 of  | 
the Reproductive Health Act. | 
 "Affiliates" has the meaning given to the term "hospital  | 
affiliate" as defined in subsection (b) of Section 10.8 of the  | 
Hospital Licensing Act.  | 
 "Emergency contraception" means one or more prescription  | 
drugs (i) used separately or in combination for the purpose of  | 
 | 
preventing pregnancy, (ii) administered to or  | 
self-administered by a patient within a medically recommended  | 
amount of time after sexual intercourse, and (iii) dispensed  | 
for such purpose in accordance with professional standards of  | 
practice. | 
 "Limited services pregnancy center" means an organization  | 
or facility, including a mobile facility, that: | 
  (1) does not directly provide abortions or provide or  | 
 prescribe emergency contraception, or provide referrals  | 
 for abortions or emergency contraception, and has no  | 
 affiliation with any organization or provider who provides  | 
 abortions or provides or prescribes emergency  | 
 contraception; and | 
  (2) has a primary purpose to offer or provide  | 
 pregnancy-related services to an individual who is or has  | 
 reason to believe the individual may be pregnant, whether  | 
 or not a fee is charged for such services. | 
"Limited services pregnancy center" does not include: | 
  (1) a health care professional licensed by the  | 
 Department of Financial and Professional Regulation; | 
  (2) a hospital licensed under the Hospital Licensing  | 
 Act and its affiliates; or | 
  (3) a hospital licensed under the University of  | 
 Illinois Hospital Act and its affiliates. | 
"Limited services pregnancy center" includes an organization  | 
or facility that has employees, volunteers, or agents who are  | 
 | 
health care professionals licensed by the Department of  | 
Financial and Professional Regulation. | 
 "Pregnancy-related services" means any medical service, or  | 
health counseling service, related to the prevention,  | 
preservation, or termination of pregnancy, including, but not  | 
limited to, contraception and contraceptive counseling,  | 
pregnancy testing, pregnancy diagnosis, pregnancy options  | 
counseling, limited obstetric ultrasound, obstetric  | 
ultrasound, obstetric sonogram, sexually transmitted  | 
infections testing, and prenatal care. | 
 (b) A limited services pregnancy center shall not engage  | 
in unfair methods of competition or unfair or deceptive acts  | 
or practices, including the use or employment of any  | 
deception, fraud, false pretense, false promise, or  | 
misrepresentation, or the concealment, suppression, or  | 
omission of any material fact, with the intent that others  | 
rely upon the concealment, suppression, or omission of such  | 
material fact: | 
  (1) to interfere with or prevent an individual from  | 
 seeking to gain entry or access to a provider of abortion  | 
 or emergency contraception; | 
  (2) to induce an individual to enter or access the  | 
 limited services pregnancy center; | 
  (3) in advertising, soliciting, or otherwise offering  | 
 pregnancy-related services; or | 
  (4) in conducting, providing, or performing  | 
 | 
 pregnancy-related services. | 
 (c) A violation of this Section constitutes a violation of  | 
this Act. | 
(Source: P.A. 103-270, eff. 7-27-23.)
 | 
 (815 ILCS 505/2CCCC) | 
 Sec. 2CCCC 2BBBB. Violations of the Vision Care Plan  | 
Regulation Act. Any person who violates the Vision Care Plan  | 
Regulation Act commits an unlawful practice within the meaning  | 
of this Act. | 
(Source: P.A. 103-482, eff. 8-4-23; revised 9-26-23.)
 | 
 (815 ILCS 505/2DDDD) | 
 Sec. 2DDDD 2BBBB. Sale and marketing of firearms. | 
 (a) As used in this Section: | 
 "Firearm" has the meaning set forth in Section 1.1 of the  | 
Firearm Owners Identification Card Act. | 
 "Firearm accessory" means an attachment or device designed  | 
or adapted to be inserted into, affixed onto, or used in  | 
conjunction with a firearm that is designed, intended, or  | 
functions to alter or enhance (i) the firing capabilities of a  | 
firearm, frame, or receiver, (ii) the lethality of the  | 
firearm, or (iii) a shooter's ability to hold and use a  | 
firearm. | 
 "Firearm ammunition" has the meaning set forth in Section  | 
1.1 of the Firearm Owners Identification Card Act. | 
 | 
 "Firearm industry member" means a person, firm,  | 
corporation, company, partnership, society, joint stock  | 
company, or any other entity or association engaged in the  | 
design, manufacture, distribution, importation, marketing,  | 
wholesale, or retail sale of firearm-related products,  | 
including sales by mail, telephone, or Internet or in-person  | 
sales. | 
 "Firearm-related product" means a firearm, firearm  | 
ammunition, a firearm precursor part, a firearm component, or  | 
a firearm accessory that meets any of the following  | 
conditions: | 
  (1) the item is sold, made, or distributed in  | 
 Illinois; | 
  (2) the item is intended to be sold or distributed in  | 
 Illinois; or | 
  (3) the item is or was possessed in Illinois, and it  | 
 was reasonably foreseeable that the item would be  | 
 possessed in Illinois. | 
 "Straw purchaser" means a person who (i) knowingly  | 
purchases or attempts to purchase a firearm-related product  | 
with intent to deliver that firearm-related product to another  | 
person who is prohibited by federal or State law from  | 
possessing a firearm-related product or (ii) intentionally  | 
provides false or misleading information on a Bureau of  | 
Alcohol, Tobacco, Firearms and Explosives firearms transaction  | 
record form to purchase a firearm-related product with the  | 
 | 
intent to deliver that firearm-related product to another  | 
person. | 
 "Unlawful paramilitary or private militia" means a group  | 
of armed individuals, organized privately, in violation of the  | 
Military Code of Illinois and Section 2 of Article XII of the  | 
Illinois Constitution. | 
 (b) It is an unlawful practice within the meaning of this  | 
Act for any firearm industry member, through the sale,  | 
manufacturing, importing, or marketing of a firearm-related  | 
product, to do any of the following: | 
  (1) Knowingly create, maintain, or contribute to a  | 
 condition in Illinois that endangers the safety or health  | 
 of the public by conduct either unlawful in itself or  | 
 unreasonable under all circumstances, including failing to  | 
 establish or utilize reasonable controls. Reasonable  | 
 controls include reasonable procedures, safeguards, and  | 
 business practices that are designed to: | 
   (A) prevent the sale or distribution of a  | 
 firearm-related product to a straw purchaser, a person  | 
 prohibited by law from possessing a firearm, or a  | 
 person who the firearm industry member has reasonable  | 
 cause to believe is at substantial risk of using a  | 
 firearm-related product to harm themselves or another  | 
 individual or of possessing or using a firearm-related  | 
 product unlawfully; | 
   (B) prevent the loss or theft of a firearm-related  | 
 | 
 product from the firearm industry member; or | 
   (C) comply with all provisions of applicable  | 
 local, State, and federal law, and do not otherwise  | 
 promote the unlawful manufacture, sale, possession,  | 
 marketing, or use of a firearm-related product. | 
  (2) Advertise, market, or promote a firearm-related  | 
 product in a manner that reasonably appears to support,  | 
 recommend, or encourage individuals to engage in unlawful  | 
 paramilitary or private militia activity in Illinois, or  | 
 individuals who are not in the National Guard, United  | 
 States armed forces reserves, United States armed forces,  | 
 or any duly authorized military organization to use a  | 
 firearm-related product for a military-related purpose in  | 
 Illinois. | 
  (3) Except as otherwise provided, advertise, market,  | 
 promote, design, or sell any firearm-related product in a  | 
 manner that reasonably appears to support, recommend, or  | 
 encourage persons under 18 years of age to unlawfully  | 
 purchase or possess or use a firearm-related product in  | 
 Illinois. | 
   (A) In determining whether the conduct of a  | 
 firearm industry member, as described in this  | 
 paragraph, reasonably appears to support, recommend,  | 
 or encourage persons under 18 years of age to  | 
 unlawfully purchase a firearm-related product, a court  | 
 shall consider the totality of the circumstances,  | 
 | 
 including, but not limited to, whether the marketing,  | 
 advertising promotion, design, or sale: | 
    (i) uses caricatures that reasonably appear to  | 
 be minors or cartoon characters;  | 
    (ii) offers brand name merchandise for minors,  | 
 including, but not limited to, clothing, toys,  | 
 games, or stuffed animals, that promotes a firearm  | 
 industry member or firearm-related product; | 
    (iii) offers firearm-related products in  | 
 sizes, colors, or designs that are specifically  | 
 designed to be used by, or appeal to, minors;  | 
    (iv) is part of a marketing, advertising, or  | 
 promotion campaign designed with the intent to  | 
 appeal to minors;  | 
    (v) uses images or depictions of minors in  | 
 advertising or marketing, or promotion materials,  | 
 to depict the use of firearm-related products; or  | 
    (vi) is placed in a publication created for  | 
 the purpose of reaching an audience that is  | 
 predominantly composed of minors and not intended  | 
 for a more general audience composed of adults.  | 
   (B) This paragraph does not apply to  | 
 communications or promotional materials regarding  | 
 lawful recreational activity with a firearm, such as,  | 
 but not limited to, practice shooting at targets on  | 
 established public or private target ranges or  | 
 | 
 hunting, trapping, or fishing in accordance with the  | 
 Wildlife Code or the Fish and Aquatic Life Code. | 
  (4) Otherwise engage in unfair methods of competition  | 
 or unfair or deceptive acts or practices declared unlawful  | 
 under Section 2 of this Act. | 
 (c) Paragraphs (2), (3), and (4) of subsection (b) are  | 
declarative of existing law and shall not be construed as new  | 
enactments. The provisions of these paragraphs shall apply to  | 
all actions commenced or pending on or after August 14, 2023  | 
(the effective date of Public Act 103-559) this amendatory Act  | 
of the 103rd General Assembly.  | 
 (d) The provisions of this Section are severable under  | 
Section 1.31 of the Statute on Statutes. | 
(Source: P.A. 103-559, eff. 8-14-23; revised 9-26-23.)
 | 
 Section 635. The Minimum Wage Law is amended by changing  | 
Section 12 as follows:
 | 
 (820 ILCS 105/12) | 
 Sec. 12. (a) If any employee is paid by his or her employer  | 
less than the wage to which he or she is entitled under the  | 
provisions of this Act, the employee may recover in a civil  | 
action treble the amount of any such underpayments together  | 
with costs and such reasonable attorney's fees as may be  | 
allowed by the Court, and damages of 5% of the amount of any  | 
such underpayments for each month following the date of  | 
 | 
payment during which such underpayments remain unpaid. Any  | 
agreement between the employee and the employer to work for  | 
less than such wage is no defense to such action. At the  | 
request of the employee or on motion of the Director of Labor,  | 
the Department of Labor may make an assignment of such wage  | 
claim in trust for the assigning employee and may bring any  | 
legal action necessary to collect such claim, and the employer  | 
shall be required to pay the costs incurred in collecting such  | 
claim. Every such action shall be brought within 3 years from  | 
the date of the underpayment. Such employer shall be liable to  | 
the Department of Labor for a penalty in an amount of up to 20%  | 
of the total employer's underpayment where the employer's  | 
conduct is proven by a preponderance of the evidence to be  | 
willful, repeated, or with reckless disregard of this Act or  | 
any rule adopted under this Act. Such employer shall be liable  | 
to the Department for an additional penalty of $1,500. All  | 
administrative penalties ordered under this Act shall be paid  | 
by certified check, money order, or by an electronic payment  | 
system designated by the Department for such purposes, and  | 
shall be made payable to or deposited into the Department's  | 
Wage Theft Enforcement Fund. Such employer shall be  | 
additionally liable to the employee for damages in the amount  | 
of 5% of the amount of any such underpayments for each month  | 
following the date of payment during which such underpayments  | 
remain unpaid. These penalties and damages may be recovered in  | 
a civil action brought by the Director of Labor in any circuit  | 
 | 
court. In any such action, the Director of Labor shall be  | 
represented by the Attorney General. | 
 If an employee collects damages of 5% of the amount of  | 
underpayments as a result of an action brought by the Director  | 
of Labor, the employee may not also collect those damages in a  | 
private action brought by the employee for the same violation.  | 
If an employee collects damages of 5% of the amount of  | 
underpayments in a private action brought by the employee, the  | 
employee may not also collect those damages as a result of an  | 
action brought by the Director of Labor for the same  | 
violation.  | 
 (b) If an employee has not collected damages under  | 
subsection (a) for the same violation, the Director is  | 
authorized to supervise the payment of the unpaid minimum  | 
wages and the unpaid overtime compensation owing to any  | 
employee or employees under Sections 4 and 4a of this Act and  | 
may bring any legal action necessary to recover the amount of  | 
the unpaid minimum wages and unpaid overtime compensation and  | 
an equal additional amount as damages, and the employer shall  | 
be required to pay the costs incurred in collecting such  | 
claim. Such employer shall be additionally liable to the  | 
Department of Labor for up to 20% of the total employer's  | 
underpayment where the employer's conduct is proven by a  | 
preponderance of the evidence to be willful, repeated, or with  | 
reckless disregard of this Act or any rule adopted under this  | 
Act. Such employer shall be liable to the Department of Labor  | 
 | 
for an additional penalty of $1,500, payable to the  | 
Department's Wage Theft Enforcement Fund. The action shall be  | 
brought within 5 years from the date of the failure to pay the  | 
wages or compensation. Any sums thus recovered by the Director  | 
on behalf of an employee pursuant to this subsection shall be  | 
deposited into the Department of Labor Special State Trust  | 
Fund, from which the Department shall disburse the sums owed  | 
to the employee or employees. The Department shall conduct a  | 
good faith search to find all employees for whom it has  | 
recovered unpaid minimum wages or unpaid overtime  | 
compensation. All disbursements authorized under this Section  | 
shall be made by certified check, money order, or an  | 
electronic payment system designated by the Department. | 
 (c) The Department shall hold any moneys due to employees  | 
that it is unable to locate in the Department of Labor Special  | 
State Trust Fund for no less than 3 years after the moneys were  | 
collected. | 
 Beginning November 1, 2023, or as soon as is practical,  | 
and each November 1 thereafter, the Department shall report  | 
any moneys due to employees who cannot be located and that have  | 
been held by the Department in the Department of Labor Special  | 
State Trust Fund for 3 or more years and moneys due to  | 
employees who are deceased to the State Treasurer as required  | 
by the Revised Uniform Unclaimed Property Act. The Department  | 
shall not be required to provide the notice required under  | 
Section 15-501 of the Revised Uniform Unclaimed Property Act. | 
 | 
 Beginning July 1, 2023, or as soon as is practical, and  | 
each July 1 thereafter, the Department shall direct the State  | 
Comptroller and State Treasurer to transfer from the  | 
Department of Labor Special State Trust Fund the balance of  | 
the moneys due to employees who cannot be located and that have  | 
been held by the Department in the Department of Labor Special  | 
State Trust Fund for 3 or more years and moneys due to  | 
employees who are deceased as follows: (i) 15% to the Wage  | 
Theft Enforcement Fund and (ii) 85% to the Unclaimed Property  | 
Trust Fund. | 
 The Department may use moneys in the Wage Theft  | 
Enforcement Fund for the purposes described in Section 14 of  | 
the Illinois Wage Payment and Collection Act. | 
 (d) The Department may adopt rules to implement and  | 
administer this Section.  | 
(Source: P.A. 103-182, eff. 6-30-23; 103-201, eff. 1-1-24;  | 
revised 12-15-23.)
 | 
 Section 640. The Equal Pay Act of 2003 is amended by  | 
changing Section 30 as follows:
 | 
 (820 ILCS 112/30) | 
 (Text of Section before amendment by P.A. 103-539) | 
 Sec. 30. Violations; fines and penalties.  | 
 (a) If an employee is paid by his or her employer less than  | 
the wage to which he or she is entitled in violation of Section  | 
 | 
10 or 11 of this Act, the employee may recover in a civil  | 
action the entire amount of any underpayment together with  | 
interest, compensatory damages if the employee demonstrates  | 
that the employer acted with malice or reckless indifference,  | 
punitive damages as may be appropriate, injunctive relief as  | 
may be appropriate, and the costs and reasonable attorney's  | 
fees as may be allowed by the court and as necessary to make  | 
the employee whole. At the request of the employee or on a  | 
motion of the Director, the Department may make an assignment  | 
of the wage claim in trust for the assigning employee and may  | 
bring any legal action necessary to collect the claim, and the  | 
employer shall be required to pay the costs incurred in  | 
collecting the claim. Every such action shall be brought  | 
within 5 years from the date of the underpayment. For purposes  | 
of this Act, "date of the underpayment" means each time wages  | 
are underpaid. | 
 (a-5) If an employer violates subsection (b), (b-5),  | 
(b-10), or (b-20) of Section 10, the employee may recover in a  | 
civil action any damages incurred, special damages not to  | 
exceed $10,000, injunctive relief as may be appropriate, and  | 
costs and reasonable attorney's fees as may be allowed by the  | 
court and as necessary to make the employee whole. If special  | 
damages are available, an employee may recover compensatory  | 
damages only to the extent such damages exceed the amount of  | 
special damages. Such action shall be brought within 5 years  | 
from the date of the violation.  | 
 | 
 (b) The Director is authorized to supervise the payment of  | 
the unpaid wages under subsection (a) or damages under  | 
subsection (b), (b-5), (b-10), or (b-20) of Section 10 owing  | 
to any employee or employees under this Act and may bring any  | 
legal action necessary to recover the amount of unpaid wages,  | 
damages, and penalties or to seek injunctive relief, and the  | 
employer shall be required to pay the costs. Any sums  | 
recovered by the Director on behalf of an employee under this  | 
Section shall be paid to the employee or employees affected. | 
 (c) Employers who violate any provision of this Act or any  | 
rule adopted under the Act are subject to a civil penalty,  | 
payable to the Department, for each employee affected as  | 
follows:  | 
  (1) An employer with fewer than 4 employees: first  | 
 offense, a fine not to exceed $500; second offense, a fine  | 
 not to exceed $2,500; third or subsequent offense, a fine  | 
 not to exceed $5,000. | 
  (2) An employer with between 4 and 99 employees: first  | 
 offense, a fine not to exceed $2,500; second offense, a  | 
 fine not to exceed $3,000; third or subsequent offense, a  | 
 fine not to exceed $5,000. | 
  (3) An employer with 100 or more employees who  | 
 violates any Section of this Act except for Section 11  | 
 shall be fined up to $10,000 per employee affected. An  | 
 employer with 100 or more employees that is a business as  | 
 defined under Section 11 and commits a violation of  | 
 | 
 Section 11 shall be fined up to $10,000.  | 
 Before any imposition of a penalty under this subsection,  | 
an employer with 100 or more employees who violates item (b) of  | 
Section 11 and inadvertently fails to file an initial  | 
application or recertification shall be provided 30 calendar  | 
days by the Department to submit the application or  | 
recertification.  | 
 An employer or person who violates subsection (b), (b-5),  | 
(b-10), (b-20), or (c) of Section 10 is subject to a civil  | 
penalty not to exceed $5,000 for each violation for each  | 
employee affected, payable to the Department. | 
 (d) In determining the amount of the penalty, the  | 
appropriateness of the penalty to the size of the business of  | 
the employer charged and the gravity of the violation shall be  | 
considered. The penalty may be recovered in a civil action  | 
brought by the Director in any circuit court. | 
(Source: P.A. 102-36, eff. 6-25-21; 103-201, eff. 1-1-24.)
 | 
 (Text of Section after amendment by P.A. 103-539) | 
 Sec. 30. Violations; fines and penalties.  | 
 (a) If an employee is paid by his or her employer less than  | 
the wage to which he or she is entitled in violation of Section  | 
10 or 11 of this Act, the employee may recover in a civil  | 
action the entire amount of any underpayment together with  | 
interest, compensatory damages if the employee demonstrates  | 
that the employer acted with malice or reckless indifference,  | 
 | 
punitive damages as may be appropriate, injunctive relief as  | 
may be appropriate, and the costs and reasonable attorney's  | 
fees as may be allowed by the court and as necessary to make  | 
the employee whole. At the request of the employee or on a  | 
motion of the Director, the Department may make an assignment  | 
of the wage claim in trust for the assigning employee and may  | 
bring any legal action necessary to collect the claim, and the  | 
employer shall be required to pay the costs incurred in  | 
collecting the claim. Every such action shall be brought  | 
within 5 years from the date of the underpayment. For purposes  | 
of this Act, "date of the underpayment" means each time wages  | 
are underpaid. | 
 (a-5) If an employer violates subsection (b), (b-5),  | 
(b-10), or (b-20) of Section 10, the employee may recover in a  | 
civil action any damages incurred, special damages not to  | 
exceed $10,000, injunctive relief as may be appropriate, and  | 
costs and reasonable attorney's fees as may be allowed by the  | 
court and as necessary to make the employee whole. If special  | 
damages are available, an employee may recover compensatory  | 
damages only to the extent such damages exceed the amount of  | 
special damages. Such action shall be brought within 5 years  | 
from the date of the violation.  | 
 (b) The Director is authorized to supervise the payment of  | 
the unpaid wages under subsection (a) or damages under  | 
subsection (b), (b-5), (b-10), or (b-20) of Section 10 owing  | 
to any employee or employees under this Act and may bring any  | 
 | 
legal action necessary to recover the amount of unpaid wages,  | 
damages, and penalties or to seek injunctive relief, and the  | 
employer shall be required to pay the costs. Any sums  | 
recovered by the Director on behalf of an employee under this  | 
Section shall be paid to the employee or employees affected. | 
 (c) Employers who violate any provision of this Act or any  | 
rule adopted under the Act, except for a violation of  | 
subsection (b-25) of Section 10, are subject to a civil  | 
penalty, payable to the Department, for each employee affected  | 
as follows:  | 
  (1) An employer with fewer than 4 employees: first  | 
 offense, a fine not to exceed $500; second offense, a fine  | 
 not to exceed $2,500; third or subsequent offense, a fine  | 
 not to exceed $5,000. | 
  (2) An employer with between 4 and 99 employees: first  | 
 offense, a fine not to exceed $2,500; second offense, a  | 
 fine not to exceed $3,000; third or subsequent offense, a  | 
 fine not to exceed $5,000. | 
  (3) An employer with 100 or more employees who  | 
 violates any Section of this Act except for Section 11  | 
 shall be fined up to $10,000 per employee affected. An  | 
 employer with 100 or more employees that is a business as  | 
 defined under Section 11 and commits a violation of  | 
 Section 11 shall be fined up to $10,000.  | 
 Before any imposition of a penalty under this subsection,  | 
an employer with 100 or more employees who violates item (b) of  | 
 | 
Section 11 and inadvertently fails to file an initial  | 
application or recertification shall be provided 30 calendar  | 
days by the Department to submit the application or  | 
recertification.  | 
 An employer or person who violates subsection (b), (b-5),  | 
(b-10), (b-20), or (c) of Section 10 is subject to a civil  | 
penalty not to exceed $5,000 for each violation for each  | 
employee affected, payable to the Department. | 
 (c-5) The Department may initiate investigations of  | 
alleged violations of subsection (b-25) of Section 10 upon  | 
receiving a complaint from any person that claims to be  | 
aggrieved by a violation of that subsection or at the  | 
Department's discretion. Any person that claims to be  | 
aggrieved by a violation of subsection (b-25) of Section 10  | 
may submit a complaint of an alleged violation of that  | 
subsection to the Department within one year after the date of  | 
the violation. If the Department has determined that a  | 
violation has occurred, it shall issue to the employer a  | 
notice setting forth the violation, the applicable penalty as  | 
described in subsections (c-10) and (c-15), and the period to  | 
cure the violation as described in subsection (c-10). | 
 (c-7) A job posting found to be in violation of subsection  | 
(b-25) of Section 10 shall be considered as one violating job  | 
posting regardless of the number of duplicative postings that  | 
list the job opening.  | 
 (c-10) The penalties for a job posting or batch of  | 
 | 
postings that are active at the time the Department issues a  | 
notice of violation for violating subsection (b-25) of Section  | 
10 are as follows: | 
  (1) For a first offense, following a cure period of 14  | 
 days to remedy the violation, a fine not to exceed $500 at  | 
 the discretion of the Department. A first offense may be  | 
 either a single job posting that violates subsection  | 
 (b-25) of Section 10 or multiple job postings that violate  | 
 subsection (b-25) of Section 10 and are identified at the  | 
 same time by the Department. The Department shall have  | 
 discretion to waive any civil penalty under this  | 
 paragraph. | 
  (2) For a second offense, following a cure period of 7  | 
 days to remedy the violation, a fine not to exceed $2,500  | 
 at the discretion of the Department. A second offense is a  | 
 single job posting that violates subsection (b-25) of  | 
 Section 10. The Department shall have discretion to waive  | 
 any civil penalty under this paragraph. | 
  (3) For a third or subsequent offense, no cure period,  | 
 a fine not to exceed $10,000 at the discretion of the  | 
 Department. A third or subsequent offense is a single job  | 
 posting that violates subsection (b-25) of Section 10. The  | 
 Department shall have discretion to waive any civil  | 
 penalty under this paragraph. If a company has had a third  | 
 offense, it shall incur automatic penalties without a cure  | 
 period for a period of 5 years, at the completion of which  | 
 | 
 any future offense shall count as a first offense. The  | 
 5-year period shall restart if, during that period, an  | 
 employer receives a subsequent notice of violation from  | 
 the Department. | 
 (c-15) The penalties for a job posting or batch of job  | 
postings that are not active at the time the Department issues  | 
a notice of violation for violating subsection (b-25) of  | 
Section 10 are as follows: | 
  (1) For a first offense, a fine not to exceed $250 at  | 
 the discretion of the Department. A first offense may be  | 
 either a single job posting that violates subsection  | 
 (b-25) of Section 10 or multiple job postings that violate  | 
 subsection (b-25) of Section 10 and are identified at the  | 
 same time by the Department. The Department shall have  | 
 discretion to waive any civil penalty under this  | 
 paragraph. | 
  (2) For a second offense, a fine not to exceed $2,500  | 
 at the discretion of the Department. A second offense is a  | 
 single job posting that violates subsection (b-25) of  | 
 Section 10. The Department shall have discretion to waive  | 
 any civil penalty under this paragraph. | 
  (3) For a third or subsequent offense, a fine not to  | 
 exceed $10,000 at the discretion of the Department. A  | 
 third or subsequent offense is a single job posting that  | 
 violates subsection (b-25) of Section 10. The Department  | 
 shall have discretion to waive any civil penalty under  | 
 | 
 this paragraph. | 
 For the purposes of this subsection, the Department,  | 
during its investigation of a complaint, shall make a  | 
determination as to whether a job posting is not active by  | 
considering the totality of the circumstances, including, but  | 
not limited to: (i) whether a position has been filled; (ii)  | 
the length of time a posting has been accessible to the public;  | 
(iii) the existence of a date range for which a given position  | 
is active; and (iv) whether the violating posting is for a  | 
position for which the employer is no longer accepting  | 
applications.  | 
 (d) In determining the amount of the penalty under this  | 
Section, the appropriateness of the penalty to the size of the  | 
business of the employer charged and the gravity of the  | 
violation shall be considered. The penalty may be recovered in  | 
a civil action brought by the Director in any circuit court. | 
(Source: P.A. 102-36, eff. 6-25-21; 103-201, eff. 1-1-24;  | 
103-539, eff. 1-1-25; revised 9-27-23.)
 | 
 Section 645. The Prevailing Wage Act is amended by  | 
changing Section 2 as follows:
 | 
 (820 ILCS 130/2) | 
 Sec. 2. This Act applies to the wages of laborers,  | 
mechanics and other workers employed in any public works, as  | 
hereinafter defined, by any public body and to anyone under  | 
 | 
contracts for public works. This includes any maintenance,  | 
repair, assembly, or disassembly work performed on equipment  | 
whether owned, leased, or rented. | 
 As used in this Act, unless the context indicates  | 
otherwise: | 
 "Public works" means all fixed works constructed or  | 
demolished by any public body, or paid for wholly or in part  | 
out of public funds. "Public works" as defined herein includes  | 
all projects financed in whole or in part with bonds, grants,  | 
loans, or other funds made available by or through the State or  | 
any of its political subdivisions, including but not limited  | 
to: bonds issued under the Industrial Project Revenue Bond Act  | 
(Article 11, Division 74 of the Illinois Municipal Code), the  | 
Industrial Building Revenue Bond Act, the Illinois Finance  | 
Authority Act, the Illinois Sports Facilities Authority Act,  | 
or the Build Illinois Bond Act; loans or other funds made  | 
available pursuant to the Build Illinois Act; loans or other  | 
funds made available pursuant to the Riverfront Development  | 
Fund under Section 10-15 of the River Edge Redevelopment Zone  | 
Act; or funds from the Fund for Illinois' Future under Section  | 
6z-47 of the State Finance Act, funds for school construction  | 
under Section 5 of the General Obligation Bond Act, funds  | 
authorized under Section 3 of the School Construction Bond  | 
Act, funds for school infrastructure under Section 6z-45 of  | 
the State Finance Act, and funds for transportation purposes  | 
under Section 4 of the General Obligation Bond Act. "Public  | 
 | 
works" also includes (i) all projects financed in whole or in  | 
part with funds from the Environmental Protection Agency under  | 
the Illinois Renewable Fuels Development Program Act for which  | 
there is no project labor agreement; (ii) all work performed  | 
pursuant to a public private agreement under the Public  | 
Private Agreements for the Illiana Expressway Act or the  | 
Public-Private Agreements for the South Suburban Airport Act;  | 
(iii) all projects undertaken under a public-private agreement  | 
under the Public-Private Partnerships for Transportation Act  | 
or the Department of Natural Resources World Shooting and  | 
Recreational Complex Act; and (iv) all transportation  | 
facilities undertaken under a design-build contract or a  | 
Construction Manager/General Contractor contract under the  | 
Innovations for Transportation Infrastructure Act. "Public  | 
works" also includes all projects at leased facility property  | 
used for airport purposes under Section 35 of the Local  | 
Government Facility Lease Act. "Public works" also includes  | 
the construction of a new wind power facility by a business  | 
designated as a High Impact Business under Section  | 
5.5(a)(3)(E) and the construction of a new utility-scale solar  | 
power facility by a business designated as a High Impact  | 
Business under Section 5.5(a)(3)(E-5) of the Illinois  | 
Enterprise Zone Act. "Public works" also includes electric  | 
vehicle charging station projects financed pursuant to the  | 
Electric Vehicle Act and renewable energy projects required to  | 
pay the prevailing wage pursuant to the Illinois Power Agency  | 
 | 
Act. "Public works" also includes power washing projects by a  | 
public body or paid for wholly or in part out of public funds  | 
in which steam or pressurized water, with or without added  | 
abrasives or chemicals, is used to remove paint or other  | 
coatings, oils or grease, corrosion, or debris from a surface  | 
or to prepare a surface for a coating. "Public works" does not  | 
include work done directly by any public utility company,  | 
whether or not done under public supervision or direction, or  | 
paid for wholly or in part out of public funds. "Public works"  | 
also includes construction projects performed by a third party  | 
contracted by any public utility, as described in subsection  | 
(a) of Section 2.1, in public rights-of-way, as defined in  | 
Section 21-201 of the Public Utilities Act, whether or not  | 
done under public supervision or direction, or paid for wholly  | 
or in part out of public funds. "Public works" also includes  | 
construction projects that exceed 15 aggregate miles of new  | 
fiber optic cable, performed by a third party contracted by  | 
any public utility, as described in subsection (b) of Section  | 
2.1, in public rights-of-way, as defined in Section 21-201 of  | 
the Public Utilities Act, whether or not done under public  | 
supervision or direction, or paid for wholly or in part out of  | 
public funds. "Public works" also includes any corrective  | 
action performed pursuant to Title XVI of the Environmental  | 
Protection Act for which payment from the Underground Storage  | 
Tank Fund is requested. "Public works" also includes all  | 
construction projects involving fixtures or permanent  | 
 | 
attachments affixed to light poles that are owned by a public  | 
body, including street light poles, traffic light poles, and  | 
other lighting fixtures, whether or not done under public  | 
supervision or direction, or paid for wholly or in part out of  | 
public funds, unless the project is performed by employees  | 
employed directly by the public body. "Public works" also  | 
includes work performed subject to the Mechanical Insulation  | 
Energy and Safety Assessment Act. "Public works" also includes  | 
the removal, hauling, and transportation of biosolids, lime  | 
sludge, and lime residue from a water treatment plant or  | 
facility and the disposal of biosolids, lime sludge, and lime  | 
residue removed from a water treatment plant or facility at a  | 
landfill. "Public works" does not include projects undertaken  | 
by the owner at an owner-occupied single-family residence or  | 
at an owner-occupied unit of a multi-family residence. "Public  | 
works" does not include work performed for soil and water  | 
conservation purposes on agricultural lands, whether or not  | 
done under public supervision or paid for wholly or in part out  | 
of public funds, done directly by an owner or person who has  | 
legal control of those lands.  | 
 "Construction" means all work on public works involving  | 
laborers, workers or mechanics. This includes any maintenance,  | 
repair, assembly, or disassembly work performed on equipment  | 
whether owned, leased, or rented. | 
 "Locality" means the county where the physical work upon  | 
public works is performed, except (1) that if there is not  | 
 | 
available in the county a sufficient number of competent  | 
skilled laborers, workers and mechanics to construct the  | 
public works efficiently and properly, "locality" includes any  | 
other county nearest the one in which the work or construction  | 
is to be performed and from which such persons may be obtained  | 
in sufficient numbers to perform the work and (2) that, with  | 
respect to contracts for highway work with the Department of  | 
Transportation of this State, "locality" may at the discretion  | 
of the Secretary of the Department of Transportation be  | 
construed to include two or more adjacent counties from which  | 
workers may be accessible for work on such construction. | 
 "Public body" means the State or any officer, board or  | 
commission of the State or any political subdivision or  | 
department thereof, or any institution supported in whole or  | 
in part by public funds, and includes every county, city,  | 
town, village, township, school district, irrigation, utility,  | 
reclamation improvement or other district and every other  | 
political subdivision, district or municipality of the state  | 
whether such political subdivision, municipality or district  | 
operates under a special charter or not. | 
 "Labor organization" means an organization that is the  | 
exclusive representative of an employer's employees recognized  | 
or certified pursuant to the National Labor Relations Act.  | 
 The terms "general prevailing rate of hourly wages",  | 
"general prevailing rate of wages" or "prevailing rate of  | 
wages" when used in this Act mean the hourly cash wages plus  | 
 | 
annualized fringe benefits for training and apprenticeship  | 
programs approved by the U.S. Department of Labor, Bureau of  | 
Apprenticeship and Training, health and welfare, insurance,  | 
vacations and pensions paid generally, in the locality in  | 
which the work is being performed, to employees engaged in  | 
work of a similar character on public works. | 
(Source: P.A. 102-9, eff. 1-1-22; 102-444, eff. 8-20-21;  | 
102-673, eff. 11-30-21; 102-813, eff. 5-13-22; 102-1094, eff.  | 
6-15-22; 103-8, eff. 6-7-23; 103-327, eff. 1-1-24; 103-346,  | 
eff. 1-1-24; 103-359, eff. 7-28-23; 103-447, eff. 8-4-23;  | 
revised 12-15-23.)
 | 
 Section 650. The Day and Temporary Labor Services Act is  | 
amended by changing Section 45 as follows:
 | 
 (820 ILCS 175/45) | 
 Sec. 45. Registration; Department of Labor.  | 
 (a) A day and temporary labor service agency which is  | 
located, operates or transacts business within this State  | 
shall register with the Department of Labor in accordance with  | 
rules adopted by the Department for day and temporary labor  | 
service agencies and shall be subject to this Act and any rules  | 
adopted under this Act. Each day and temporary labor service  | 
agency shall provide proof of an employer account number  | 
issued by the Department of Employment Security for the  | 
payment of unemployment insurance contributions as required  | 
 | 
under the Unemployment Insurance Act, and proof of valid  | 
workers' compensation insurance in effect at the time of  | 
registration covering all of its employees. If, at any time, a  | 
day and temporary labor service agency's workers' compensation  | 
insurance coverage lapses, the agency shall have an  | 
affirmative duty to report the lapse of such coverage to the  | 
Department and the agency's registration shall be suspended  | 
until the agency's workers' compensation insurance is  | 
reinstated. The Department may assess each day and temporary  | 
labor service agency a non-refundable registration fee not  | 
exceeding $3,000 per year per agency and a non-refundable fee  | 
not to exceed $750 for each branch office or other location  | 
where the agency regularly contracts with day or temporary  | 
laborers for services. The fee may be paid by check, money  | 
order, or the State Treasurer's E-Pay program or any successor  | 
program, and the Department may not refuse to accept a check on  | 
the basis that it is not a certified check or a cashier's  | 
check. The Department may charge an additional fee to be paid  | 
by a day and temporary labor service agency if the agency, or  | 
any person on the agency's behalf, issues or delivers a check  | 
to the Department that is not honored by the financial  | 
institution upon which it is drawn. The Department shall also  | 
adopt rules for violation hearings and penalties for  | 
violations of this Act or the Department's rules in  | 
conjunction with the penalties set forth in this Act. | 
 (a-1) At the time of registration with the Department of  | 
 | 
Labor each year, the day and temporary labor service agency  | 
shall submit to the Department of Labor a report containing  | 
the information identified in paragraph (9) of subsection (a)  | 
of Section 12, broken down by branch office, in the aggregate  | 
for all day or temporary laborers assigned within Illinois and  | 
subject to this Act during the preceding year. This  | 
information shall be submitted on a form created by the  | 
Department of Labor. The Department of Labor shall aggregate  | 
the information submitted by all registering day and temporary  | 
labor service agencies by removing identifying data and shall  | 
have the information available to the public only on a  | 
municipal and county basis. As used in this paragraph,  | 
"identifying data" means any and all information that: (i)  | 
provides specific information on individual worker identity;  | 
(ii) identifies the service agency in any manner; and (iii)  | 
identifies clients utilizing the day and temporary labor  | 
service agency or any other information that can be traced  | 
back to any specific registering day and temporary labor  | 
service agency or its client. The information and reports  | 
submitted to the Department of Labor under this subsection by  | 
the registering day and temporary labor service agencies are  | 
exempt from inspection and copying under Section 7.5 of the  | 
Freedom of Information Act.  | 
 (b) It is a violation of this Act to operate a day and  | 
temporary labor service agency without first registering with  | 
the Department in accordance with subsection (a) of this  | 
 | 
Section. The Department shall create and maintain at regular  | 
intervals on its website, accessible to the public: (1) a list  | 
of all registered day and temporary labor service agencies in  | 
the State whose registration is in good standing; (2) a list of  | 
day and temporary labor service agencies in the State whose  | 
registration has been suspended, including the reason for the  | 
suspension, the date the suspension was initiated, and the  | 
date, if known, the suspension is to be lifted; and (3) a list  | 
of day and temporary labor service agencies in the State whose  | 
registration has been revoked, including the reason for the  | 
revocation and the date the registration was revoked. The  | 
Department has the authority to assess a penalty against any  | 
day and temporary labor service agency that fails to register  | 
with the Department of Labor in accordance with this Act or any  | 
rules adopted under this Act of $500 for each violation. Each  | 
day during which a day and temporary labor service agency  | 
operates without registering with the Department shall be a  | 
separate and distinct violation of this Act. | 
 (c) An applicant is not eligible to register to operate a  | 
day and temporary labor service agency under this Act if the  | 
applicant or any of its officers, directors, partners, or  | 
managers or any owner of 25% or greater beneficial interest: | 
  (1) has been involved, as owner, officer, director,  | 
 partner, or manager, of any day and temporary labor  | 
 service agency whose registration has been revoked or has  | 
 been suspended without being reinstated within the 5 years  | 
 | 
 immediately preceding the filing of the application; or | 
  (2) is under the age of 18. | 
 (d) Every agency shall post and keep posted at each  | 
location, in a position easily accessible to all day or  | 
temporary laborers s, notices as supplied and required by the  | 
Department containing a copy or summary of the provisions of  | 
the Act and a notice which informs the public of a toll-free  | 
telephone number for day or temporary laborers and the public  | 
to file wage dispute complaints and other alleged violations  | 
by day and temporary labor service agencies. Every day and  | 
temporary labor service agency employing day or temporary  | 
laborers who communicate with the day and temporary labor  | 
service agency by electronic communication shall also provide  | 
all required notices by email to its day or temporary laborers  | 
or on a website, regularly used by the employer to communicate  | 
work-related information, that all day or temporary laborers  | 
are able to regularly access, freely and without interference.  | 
Such notices shall be in English and any other language  | 
generally understood in the locale of the day and temporary  | 
labor service agency.  | 
(Source: P.A. 103-201, eff. 1-1-24; 103-437, eff. 8-4-23;  | 
revised 12-15-23.)
 | 
 Section 655. The Paid Leave for All Workers Act is amended  | 
by changing Section 15 as follows:
 | 
 | 
 (820 ILCS 192/15) | 
 Sec. 15. Provision of paid leave.  | 
 (a) An employee who works in Illinois is entitled to earn  | 
and use up to a minimum of 40 hours of paid leave during a  | 
12-month period or a pro rata number of hours of paid leave  | 
under the provisions of subsection (b). The paid leave may be  | 
used by the employee for any purpose as long as the paid leave  | 
is taken in accordance with the provisions of this Act. | 
 (b) Paid leave under this Act shall accrue at the rate of  | 
one hour of paid leave for every 40 hours worked up to a  | 
minimum of 40 hours of paid leave or such greater amount if the  | 
employer provides more than 40 hours. Employees who are exempt  | 
from the overtime requirements of the federal Fair Labor  | 
Standards Act (29 U.S.C. 213(a)(1)) shall be deemed to work 40  | 
hours in each workweek for purposes of paid leave accrual  | 
unless their regular workweek is less than 40 hours, in which  | 
case paid leave accrues based on that regular workweek.  | 
Employees shall determine how much paid leave they need to  | 
use, however employers may set a reasonable minimum increment  | 
for the use of paid leave not to exceed 2 hours per day. If an  | 
employee's scheduled workday is less than 2 hours per day, the  | 
employee's scheduled workday shall be used to determine the  | 
amount of paid leave. | 
 (c) An employer may make available the minimum number of  | 
hours of paid leave, subject to pro rata requirements provided  | 
in subsection (b), to an employee on the first day of  | 
 | 
employment or the first day of the 12-month period. Employers  | 
that provide the minimum number of hours of paid leave to an  | 
employee on the first day of employment or the first day of the  | 
12-month period are not required to carryover paid leave from  | 
12-month period to 12-month period and may require employees  | 
to use all paid leave prior to the end of the benefit period or  | 
forfeit the unused paid leave. However, under no circumstances  | 
shall an employee be credited with paid leave that is less than  | 
what the employee would have accrued under subsections (a) and  | 
(g) of this Section. | 
 (d) The 12-month period may be any consecutive 12-month  | 
period designated by the employer in writing at the time of  | 
hire. Changes to the 12-month period may be made by the  | 
employer if notice is given to employees in writing prior to  | 
the change and the change does not reduce the eligible accrual  | 
rate and paid leave available to the employee. If the employer  | 
changes the designated 12-month period, the employer shall  | 
provide the employee with documentation of the balance of  | 
hours worked, paid leave accrued and taken, and the remaining  | 
paid leave balance. | 
 (e) Paid leave under this Act may be taken by an employee  | 
for any reason of the employee's choosing. An employee is not  | 
required to provide an employer a reason for the leave and may  | 
not be required to provide documentation or certification as  | 
proof or in support of the leave. An employee may choose  | 
whether to use paid leave provided under this Act prior to  | 
 | 
using any other leave provided by the employer or State law. | 
 (f) Employees shall be paid their hourly rate of pay for  | 
paid leave. However, employees engaged in an occupation in  | 
which gratuities or commissions have customarily and usually  | 
constituted and have been recognized as part of the  | 
remuneration for hire purposes shall be paid by their employer  | 
at least the full minimum wage in the jurisdiction in which  | 
they are employed when paid leave is taken. This wage shall be  | 
treated as the employee's regular rate of pay for purposes of  | 
this Act. | 
 (g) Paid leave under this Act shall begin to accrue at the  | 
commencement of employment or on the effective date of this  | 
Act, whichever is later. Employees shall be entitled to begin  | 
using paid leave 90 days following commencement of their  | 
employment or 90 days following the effective date of this  | 
Act, whichever is later. | 
 (h) Paid leave under this Act shall be provided upon the  | 
oral or written request of an employee in accordance with the  | 
employer's reasonable paid leave policy notification  | 
requirements which may include the following:  | 
  (1) If use of paid leave under this Act is  | 
 foreseeable, the employer may require the employee to  | 
 provide 7 calendar days' notice before the date the leave  | 
 is to begin.  | 
  (2) If paid leave under this Act is not foreseeable,  | 
 the employee shall provide such notice as soon as is  | 
 | 
 practicable after the employee is aware of the necessity  | 
 of the leave. An employer that requires notice of paid  | 
 leave under this Act when the leave is not foreseeable  | 
 shall provide a written policy that contains procedures  | 
 for the employee to provide notice. | 
  (3) Employers shall provide employees with written  | 
 notice of the paid leave policy notification requirements  | 
 in this Section in the manner provided in Section 20 for  | 
 notice and posting and within 5 calendar days of any  | 
 change to the employer's reasonable paid leave policy  | 
 notification requirements.  | 
  (4) An employer may not require, as a condition of  | 
 providing paid leave under this Act, that the employee  | 
 search for or find a replacement worker to cover the hours  | 
 during which the employee takes paid leave. | 
 (i) Except as provided in subsection (c), paid leave under  | 
this Act shall carry over annually to the extent not used by  | 
the employee, provided that nothing in this Act shall be  | 
construed to require an employer to provide more than 40 hours  | 
of paid leave for an employee in the 12-month period unless the  | 
employer agrees to do so.  | 
 (j) Nothing in this Section or any other Illinois law or  | 
rule shall be construed as requiring financial or other  | 
payment to an employee from an employer upon the employee's  | 
termination, resignation, retirement, or other separation from  | 
employment for paid leave accrued under this Act that has not  | 
 | 
been used. Nothing in this Section or any other Illinois law or  | 
rule shall be construed as requiring financial or other  | 
reimbursements to an employee from an employer for unused paid  | 
leave under this Act at the end of the benefit year or any  | 
other time.  | 
 (k) If an employee is transferred to a separate division,  | 
entity, or location, but remains employed by the same  | 
employer, the employee is entitled to all paid leave accrued  | 
at the prior division, entity, or location and is entitled to  | 
use all paid leave as provided in this Section. If there is a  | 
separation from employment and the employee is rehired within  | 
12 months of separation by the same employer, previously  | 
accrued paid leave that had not been used by the employee shall  | 
be reinstated. The employee shall be entitled to use accrued  | 
paid leave at the commencement of employment following a  | 
separation from employment of 12 months or less. | 
 (l) Paid leave under this Act shall not be charged or  | 
otherwise credited to an employee's paid time off bank or  | 
employee account unless the employer's policy permits such a  | 
credit. If the paid leave under this Act is credited to an  | 
employee's paid time off bank or employee vacation account  | 
then any unused paid leave shall be paid to the employee upon  | 
the employee's termination, resignation, retirement, or other  | 
separation to the same extent as vacation time under existing  | 
Illinois law or rule. Nothing in this Act shall be construed to  | 
waive or otherwise limit an employee's right to final  | 
 | 
compensation for promised and earned, but unpaid vacation time  | 
or paid time off, as provided under the Illinois Wage Payment  | 
and Collection Act and rules. Employers shall provide  | 
employees with written notice of changes to the employer's  | 
vacation time, paid time off, or other paid leave policies  | 
that affect an employee's right to final compensation for such  | 
leave.  | 
 (m) During any period an employee takes leave under this  | 
Act, the employer shall maintain coverage for the employee and  | 
any family member under any group health plan for the duration  | 
of such leave at no less than the level and conditions of  | 
coverage that would have been provided if the employee had not  | 
taken the leave. The employer shall notify the employee that  | 
the employee is still responsible for paying the employee's  | 
share of the cost of the health care coverage, if any.  | 
 (n) Nothing in this Act shall be deemed to interfere with,  | 
impede, or in any way diminish the right of employees to  | 
bargain collectively with their employers through  | 
representatives of their own choosing in order to establish  | 
wages or other conditions of work in excess of the applicable  | 
minimum standards established in this Act. The paid leave  | 
requirements of this Act may be waived in a bona fide  | 
collective bargaining agreement, but only if the waiver is set  | 
forth explicitly in such agreement in clear and unambiguous  | 
terms. | 
 Nothing in this Act shall be deemed to affect the validity  | 
 | 
or change the terms of bona fide collective bargaining  | 
agreements in effect on January 1, 2024. After that date,  | 
requirements of this Act may be waived in a bona fide  | 
collective bargaining agreement, but only if the waiver is set  | 
forth explicitly in such agreement in clear and unambiguous  | 
terms. | 
 In no event shall this Act apply to any employee working in  | 
the construction industry who is covered by a bona fide  | 
collective bargaining agreement, nor shall this Act apply to  | 
any employee who is covered by a bona fide collective  | 
bargaining agreement with an employer that provides services  | 
nationally and internationally of delivery, pickup, and  | 
transportation of parcels, documents, and freight. | 
 Notwithstanding the provisions of this subsection, nothing  | 
in this Act shall be deemed to affect the validity or change  | 
the terms of a bona fide collective bargaining agreement  | 
applying to an employee who is employed by a State agency that  | 
is in effect on July 1, 2024. After that date, requirements of  | 
this Act may be waived in a bona fide collective bargaining  | 
agreement, but only if the waiver is set forth explicitly in  | 
such agreement in clear and unambiguous terms. As used in this  | 
subsection, "State agency" has the same meaning as set forth  | 
in Section 4 of the Forms Notice Act. | 
 (o) An agreement by an employee to waive his or her rights  | 
under this Act is void as against public policy. | 
 (p) The provisions of this Act shall not apply to any  | 
 | 
employer that is covered by a municipal or county ordinance  | 
that is in effect on the effective date of this Act that  | 
requires employers to give any form of paid leave to their  | 
employees, including paid sick leave or paid leave.  | 
Notwithstanding the provisions of this subsection, any  | 
employer that is not required to provide paid leave to its  | 
employees, including paid sick leave or paid leave, under a  | 
municipal or county ordinance that is in effect on the  | 
effective date of this Act shall be subject to the provisions  | 
of this Act if the employer would be required to provide paid  | 
leave under this Act to its employees. | 
 Any local ordinance that provides paid leave, including  | 
paid sick leave or paid leave, enacted or amended after the  | 
effective date of this Act must comply with the requirements  | 
of this Act or provide benefits, rights, and remedies that are  | 
greater than or equal to the benefits, rights, and remedies  | 
afforded under this Act. | 
 An employer in a municipality or county that enacts or  | 
amends a local ordinance that provides paid leave, including  | 
paid sick leave or paid leave, after the effective date of this  | 
Act shall only comply with the local ordinance or ordinances  | 
so long as the benefits, rights, and remedies are greater than  | 
or equal to the benefits, rights, and remedies afforded under  | 
this Act. | 
(Source: P.A. 102-1143, eff. 1-1-24; revised 12-22-23.)
 | 
 | 
 Section 660. The Child Labor Law is amended by changing  | 
Sections 17 and 17.3 as follows:
 | 
 (820 ILCS 205/17) (from Ch. 48, par. 31.17) | 
 Sec. 17. It shall be the duty of the Department of Labor to  | 
enforce the provisions of this Act. The Department of Labor  | 
shall have the power to conduct investigations in connection  | 
with the administration and enforcement of this Act and the  | 
authorized officers and employees of the Department of Labor  | 
are hereby authorized and empowered, to visit and inspect, at  | 
all reasonable times and as often as possible, all places  | 
covered by this Act. Truant officers and other school  | 
officials authorized by the board of education or school  | 
directors shall report violations under this Act to the  | 
Department of Labor, and may enter any place in which children  | 
are, or are believed to be employed and inspect the work  | 
certificates on file. Such truant officers or other school  | 
officials also are authorized to file complaints against any  | 
employer found violating the provisions of this Act in case no  | 
complaints for such violations are pending; and when such  | 
complaints are filed by truant officers or other school  | 
officials, the State's Attorneys attorneys of this State state  | 
shall appear for the people, and attend to the prosecution of  | 
such complaints. The Department of Labor shall conduct  | 
hearings in accordance with the "The Illinois Administrative  | 
Procedure Act", approved September 22, 1975, as amended, upon  | 
 | 
written complaint by an investigator of the Department of  | 
Labor, truant officer, or other school official, or any  | 
interested person of a violation of the Act or to revoke any  | 
certificate under this Act. After such hearing, if supported  | 
by the evidence, the Department of Labor may issue and cause to  | 
be served on any party an order to cease and desist from  | 
violation of the Act, take such further affirmative or other  | 
action as deemed reasonable to eliminate the effect of the  | 
violation, and may revoke any certificate issued under the Act  | 
and determine the amount of any civil penalty allowed by the  | 
Act. The Department may serve such orders by certified mail or  | 
by sending a copy by email to an email address previously  | 
designated by the party for purposes of receiving notice under  | 
this Act. An email address provided by the party in the course  | 
of the administrative proceeding shall not be used in any  | 
subsequent proceedings, unless the party designates that email  | 
address for the subsequent proceeding. The Director of Labor  | 
or his authorized representative may compel by subpoena, the  | 
attendance and testimony of witnesses and the production of  | 
books, payrolls, records, papers and other evidence in any  | 
investigation or hearing and may administer oaths to  | 
witnesses. | 
(Source: P.A. 103-201, eff. 1-1-24; revised 1-2-24.)
 | 
 (820 ILCS 205/17.3) (from Ch. 48, par. 31.17-3) | 
 Sec. 17.3. Any employer who violates any of the provisions  | 
 | 
of this Act or any rule or regulation issued under the Act  | 
shall be subject to a civil penalty of not to exceed $5,000 for  | 
each such violation. In determining the amount of such  | 
penalty, the appropriateness of such penalty to the size of  | 
the business of the employer charged and the gravity of the  | 
violation shall be considered. The amount of such penalty,  | 
when finally determined, may be | 
  (1) recovered in a civil action brought by the  | 
 Director of Labor in any circuit court, in which  | 
 litigation the Director of Labor shall be represented by  | 
 the Attorney General; | 
  (2) ordered by the court, in an action brought for  | 
 violation under Section 19, to be paid to the Director of  | 
 Labor. | 
 Any administrative determination by the Department of  | 
Labor of the amount of each penalty shall be final unless  | 
reviewed as provided in Section 17.1 of this Act. | 
 Civil penalties recovered under this Section shall be paid  | 
by certified check, money order, or by an electronic payment  | 
system designated by the Department, and deposited into the  | 
Child Labor and Day and Temporary Labor Services Enforcement  | 
Fund, a special fund which is hereby created in the State  | 
treasury. Moneys in the Fund may be used, subject to  | 
appropriation, for exemplary programs, demonstration projects,  | 
and other activities or purposes related to the enforcement of  | 
this Act or for the activities or purposes related to the  | 
 | 
enforcement of the Day and Temporary Labor Services Act, or  | 
for the activities or purposes related to the enforcement of  | 
the Private Employment Agency Act. | 
(Source: P.A. 103-201, eff. 1-1-24; revised 9-21-23.)
 | 
 Section 665. The Line of Duty Compensation Act is amended  | 
by changing Section 2 as follows:
 | 
 (820 ILCS 315/2) (from Ch. 48, par. 282) | 
 Sec. 2. As used in this Act, unless the context otherwise  | 
requires:  | 
 (a) "Law enforcement officer" or "officer" means any  | 
person employed by the State or a local governmental entity as  | 
a policeman, peace officer, auxiliary policeman or in some  | 
like position involving the enforcement of the law and  | 
protection of the public interest at the risk of that person's  | 
life. This includes supervisors, wardens, superintendents and  | 
their assistants, guards and keepers, correctional officers,  | 
youth supervisors, parole agents, aftercare specialists,  | 
school teachers, and correctional counselors counsellors in  | 
all facilities of both the Department of Corrections and the  | 
Department of Juvenile Justice, while within the facilities  | 
under the control of the Department of Corrections or the  | 
Department of Juvenile Justice or in the act of transporting  | 
inmates or wards from one location to another or while  | 
performing their official duties, and all other Department of  | 
 | 
Corrections Correction or Department of Juvenile Justice  | 
employees who have daily contact with inmates. For the  | 
purposes of this Act, "law enforcement officer" or "officer"  | 
also means a probation officer, as defined in Section 9b of the  | 
Probation and Probation Officers Act.  | 
 The death of the foregoing employees of the Department of  | 
Corrections or the Department of Juvenile Justice in order to  | 
be included herein must be by the direct or indirect willful  | 
act of an inmate, ward, work-releasee, parolee, aftercare  | 
releasee, parole violator, aftercare release violator, person  | 
under conditional release, or any person sentenced or  | 
committed, or otherwise subject to confinement in or to the  | 
Department of Corrections or the Department of Juvenile  | 
Justice. | 
 (b) "Fireman" means any person employed by the State or a  | 
local governmental entity as, or otherwise serving as, a  | 
member or officer of a fire department either for the purpose  | 
of the prevention or control of fire or the underwater  | 
recovery of drowning victims, including volunteer firemen. | 
 (c) "Local governmental entity" includes counties,  | 
municipalities, and municipal corporations. | 
 (d) "State" means the State of Illinois and its  | 
departments, divisions, boards, bureaus, commissions,  | 
authorities, and colleges and universities. | 
 (e) "Killed in the line of duty" means losing one's life as  | 
a result of injury received in the active performance of  | 
 | 
duties as a law enforcement officer, civil defense worker,  | 
civil air patrol member, paramedic, fireman, or chaplain if  | 
the death occurs within one year from the date the injury was  | 
received and if that injury arose from violence or other  | 
accidental cause. In the case of a State employee, "killed in  | 
the line of duty" means losing one's life as a result of injury  | 
received in the active performance of one's duties as a State  | 
employee, if the death occurs within one year from the date the  | 
injury was received and if that injury arose from a willful act  | 
of violence by another State employee committed during such  | 
other employee's course of employment and after January 1,  | 
1988. The term excludes death resulting from the willful  | 
misconduct or intoxication of the officer, civil defense  | 
worker, civil air patrol member, paramedic, fireman, chaplain,  | 
or State employee. However, the burden of proof of such  | 
willful misconduct or intoxication of the officer, civil  | 
defense worker, civil air patrol member, paramedic, fireman,  | 
chaplain, or State employee is on the Attorney General.  | 
Subject to the conditions set forth in subsection (a) with  | 
respect to inclusion under this Act of Department of  | 
Corrections and Department of Juvenile Justice employees  | 
described in that subsection, for the purposes of this Act,  | 
instances in which a law enforcement officer receives an  | 
injury in the active performance of duties as a law  | 
enforcement officer include, but are not limited to, instances  | 
when: | 
 | 
  (1) the injury is received as a result of a willful  | 
 wilful act of violence committed other than by the officer  | 
 and a relationship exists between the commission of such  | 
 act and the officer's performance of his duties as a law  | 
 enforcement officer, whether or not the injury is received  | 
 while the officer is on duty as a law enforcement officer; | 
  (2) the injury is received by the officer while the  | 
 officer is attempting to prevent the commission of a  | 
 criminal act by another or attempting to apprehend an  | 
 individual the officer suspects has committed a crime,  | 
 whether or not the injury is received while the officer is  | 
 on duty as a law enforcement officer; | 
  (3) the injury is received by the officer while the  | 
 officer is traveling travelling to or from his employment  | 
 as a law enforcement officer or during any meal break, or  | 
 other break, which takes place during the period in which  | 
 the officer is on duty as a law enforcement officer. | 
 In the case of an Armed Forces member, "killed in the line  | 
of duty" means losing one's life while on active duty in  | 
connection with the September 11, 2001 terrorist attacks on  | 
the United States, Operation Enduring Freedom, Operation  | 
Freedom's Sentinel, Operation Iraqi Freedom, Operation New  | 
Dawn, or Operation Inherent Resolve. | 
 (f) "Volunteer fireman" means a person having principal  | 
employment other than as a fireman, but who is carried on the  | 
rolls of a regularly constituted fire department either for  | 
 | 
the purpose of the prevention or control of fire or the  | 
underwater recovery of drowning victims, the members of which  | 
are under the jurisdiction of the corporate authorities of a  | 
city, village, incorporated town, or fire protection district,  | 
and includes a volunteer member of a fire department organized  | 
under the "General Not for Profit Corporation Act", approved  | 
July 17, 1943, as now or hereafter amended, which is under  | 
contract with any city, village, incorporated town, fire  | 
protection district, or persons residing therein, for fire  | 
fighting services. "Volunteer fireman" does not mean an  | 
individual who volunteers assistance without being regularly  | 
enrolled as a fireman. | 
 (g) "Civil defense worker" means any person employed by  | 
the State or a local governmental entity as, or otherwise  | 
serving as, a member of a civil defense work force, including  | 
volunteer civil defense work forces engaged in serving the  | 
public interest during periods of disaster, whether natural or  | 
man-made. | 
 (h) "Civil air patrol member" means any person employed by  | 
the State or a local governmental entity as, or otherwise  | 
serving as, a member of the organization commonly known as the  | 
"Civil Air Patrol", including volunteer members of the  | 
organization commonly known as the "Civil Air Patrol". | 
 (i) "Paramedic" means an Emergency Medical  | 
Technician-Paramedic certified by the Illinois Department of  | 
Public Health under the Emergency Medical Services (EMS)  | 
 | 
Systems Act, and all other emergency medical personnel  | 
certified by the Illinois Department of Public Health who are  | 
members of an organized body or not-for-profit corporation  | 
under the jurisdiction of a city, village, incorporated town,  | 
fire protection district, or county, that provides emergency  | 
medical treatment to persons of a defined geographical area. | 
 (j) "State employee" means any employee as defined in  | 
Section 14-103.05 of the Illinois Pension Code, as now or  | 
hereafter amended. | 
 (k) "Chaplain" means an individual who: | 
  (1) is a chaplain of (i) a fire department or (ii) a  | 
 police department or other agency consisting of law  | 
 enforcement officers; and | 
  (2) has been designated a chaplain by (i) the fire  | 
 department, police department, or other agency or an  | 
 officer or body having jurisdiction over the department or  | 
 agency or (ii) a labor organization representing the  | 
 firemen or law enforcement officers. | 
 (l) "Armed Forces member" means an Illinois resident who  | 
is: a member of the Armed Forces of the United States; a member  | 
of the Illinois National Guard while on active military  | 
service pursuant to an order of the President of the United  | 
States; or a member of any reserve component of the Armed  | 
Forces of the United States while on active military service  | 
pursuant to an order of the President of the United States. | 
(Source: P.A. 102-221, eff. 1-1-22; revised 1-20-24.)
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