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| 1 | | AN ACT concerning employment. |
| 2 | | Be it enacted by the People of the State of Illinois, |
| 3 | | represented in the General Assembly: |
| 4 | | Section 5. The Illinois Secure Choice Savings Program Act |
| 5 | | is amended by changing Sections 10, 30, 55, 60, and 85 as |
| 6 | | follows: |
| 7 | | (820 ILCS 80/10) |
| 8 | | Sec. 10. Establishment of Illinois Secure Choice Savings |
| 9 | | Program. |
| 10 | | (a) A retirement savings program in the form of an |
| 11 | | automatic enrollment payroll deduction IRA, known as the |
| 12 | | Illinois Secure Choice Savings Program, is hereby established |
| 13 | | and shall be administered by the Board for the purpose of |
| 14 | | promoting greater retirement savings for private-sector |
| 15 | | employees in a convenient, low-cost, and portable manner. |
| 16 | | (b) The accounts established under this Program shall be |
| 17 | | IRAs, into which enrollees contribute funds that are invested |
| 18 | | in investment options established by the Board. A separate |
| 19 | | account shall be established for each enrollee and the |
| 20 | | accounts shall be owned by the enrollee. |
| 21 | | (c) The savings accounts established under the Program |
| 22 | | shall be portable and allow for an enrollee to make |
| 23 | | contributions from multiple employers into a single account, |
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| 1 | | either simultaneously or separately throughout the enrollee's |
| 2 | | lifetime. |
| 3 | | (d) An enrollee in the Program may have both a Roth IRA and |
| 4 | | a Traditional IRA through the Program. |
| 5 | | (Source: P.A. 98-1150, eff. 6-1-15.) |
| 6 | | (820 ILCS 80/30) |
| 7 | | Sec. 30. Duties of the Board. In addition to the other |
| 8 | | duties and responsibilities stated in this Act, the Board |
| 9 | | shall: |
| 10 | | (a) Cause the Program to be designed, established and |
| 11 | | operated in a manner that: |
| 12 | | (1) accords with best practices for retirement |
| 13 | | savings vehicles; |
| 14 | | (2) maximizes participation, savings, and sound |
| 15 | | investment practices; |
| 16 | | (3) maximizes simplicity, including ease of |
| 17 | | administration for participating employers and |
| 18 | | enrollees; |
| 19 | | (4) provides an efficient product to enrollees by |
| 20 | | pooling investment funds; |
| 21 | | (5) ensures the portability of benefits; and |
| 22 | | (6) provides for the deaccumulation of enrollee |
| 23 | | assets in a manner that maximizes financial security |
| 24 | | in retirement. |
| 25 | | (b) Appoint a trustee to the IRA Fund in compliance |
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| 1 | | with Section 408 of the Internal Revenue Code. |
| 2 | | (c) Explore and establish investment options, subject |
| 3 | | to Section 45 of this Act, that offer employees returns on |
| 4 | | contributions and the conversion of individual retirement |
| 5 | | savings account balances to secure retirement income |
| 6 | | without incurring debt or liabilities to the State. |
| 7 | | (d) Establish the process by which interest, |
| 8 | | investment earnings, and investment losses are allocated |
| 9 | | to individual program accounts on a pro rata basis and are |
| 10 | | computed at the interest rate on the balance of an |
| 11 | | individual's account. |
| 12 | | (e) Make and enter into contracts necessary for the |
| 13 | | administration of the Program and Fund, including, but not |
| 14 | | limited to, retaining and contracting with investment |
| 15 | | managers, private financial institutions, other financial |
| 16 | | and service providers, consultants, actuaries, counsel, |
| 17 | | auditors, third-party administrators, and other |
| 18 | | professionals as necessary. |
| 19 | | (e-5) Conduct a review of the performance of any |
| 20 | | investment vendors every 4 years, including, but not |
| 21 | | limited to, a review of returns, fees, and customer |
| 22 | | service. A copy of reviews conducted under this subsection |
| 23 | | (e-5) shall be posted to the Board's Internet website. |
| 24 | | (f) In collaboration with the State Treasurer, |
| 25 | | determine the number and duties of staff members needed to |
| 26 | | administer the Program and assemble such a staff. |
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| 1 | | (g) Cause moneys in the Fund to be held and invested as |
| 2 | | pooled investments described in Section 45 of this Act, |
| 3 | | with a view to achieving cost savings through efficiencies |
| 4 | | and economies of scale. |
| 5 | | (h) Evaluate and establish the process by which an |
| 6 | | enrollee is able to contribute a portion of his or her |
| 7 | | wages to the Program for automatic deposit of those |
| 8 | | contributions and the process by which the participating |
| 9 | | employer provides a payroll deposit retirement savings |
| 10 | | arrangement to forward those contributions and related |
| 11 | | information to the Program, including, but not limited to, |
| 12 | | contracting with financial service companies and |
| 13 | | third-party administrators with the capability to receive |
| 14 | | and process employee information and contributions for |
| 15 | | payroll deposit retirement savings arrangements or similar |
| 16 | | arrangements. |
| 17 | | (i) Design and establish the process for enrollment |
| 18 | | under Section 60 of this Act, including the process by |
| 19 | | which an employee can opt not to participate in the |
| 20 | | Program, select a contribution level, select an investment |
| 21 | | option, and terminate participation in the Program. |
| 22 | | (j) Evaluate and establish the process by which an |
| 23 | | individual may voluntarily enroll in and make |
| 24 | | contributions to the Program. |
| 25 | | (k) Accept any grants, appropriations, or other moneys |
| 26 | | from the State, any unit of federal, State, or local |
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| 1 | | government, or any other person, firm, partnership, or |
| 2 | | corporation solely for deposit into the Fund, whether for |
| 3 | | investment or administrative purposes. |
| 4 | | (l) Evaluate the need for, and procure as needed, |
| 5 | | insurance against any and all loss in connection with the |
| 6 | | property, assets, or activities of the Program, and |
| 7 | | indemnify as needed each member of the Board from personal |
| 8 | | loss or liability resulting from a member's action or |
| 9 | | inaction as a member of the Board. |
| 10 | | (m) Make provisions for the payment of administrative |
| 11 | | costs and expenses for the creation, management, and |
| 12 | | operation of the Program, including the costs associated |
| 13 | | with subsection (b) of Section 20 of this Act, subsections |
| 14 | | (e), (f), (h), and (l) of this Section, subsection (b) of |
| 15 | | Section 45 of this Act, subsection (a) of Section 80 of |
| 16 | | this Act, and subsection (n) of Section 85 of this Act. |
| 17 | | Subject to appropriation, the State may pay administrative |
| 18 | | costs associated with the creation and management of the |
| 19 | | Program until sufficient assets are available in the Fund |
| 20 | | for that purpose. Thereafter, all administrative costs of |
| 21 | | the Fund shall be paid only out of moneys on deposit |
| 22 | | therein. However, private funds or federal funding |
| 23 | | received under subsection (k) of Section 30 of this Act in |
| 24 | | order to implement the Program until the Fund is |
| 25 | | self-sustaining shall not be repaid unless those funds |
| 26 | | were offered contingent upon the promise of such |
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| 1 | | repayment. The Board shall keep investment fees as low as |
| 2 | | possible, but in no event shall they exceed 0.25% of the |
| 3 | | total trust balance. The Board may charge administrative |
| 4 | | fees, established by rule, that shall be consistent with |
| 5 | | industry standards. |
| 6 | | (n) Allocate administrative fees to individual |
| 7 | | retirement accounts in the Program on a pro rata basis. |
| 8 | | (o) Set minimum and maximum contribution levels in |
| 9 | | accordance with limits established for IRAs by the |
| 10 | | Internal Revenue Code. |
| 11 | | (o-5) Select a default contribution rate for Program |
| 12 | | participants within the range of 3% to 6% of an enrollee's |
| 13 | | wages. |
| 14 | | (o-10) Establish annual, automatic increases to the |
| 15 | | contribution rates based upon a schedule provided for in |
| 16 | | rules up to a maximum of 10% of an enrollee's wages. |
| 17 | | (p) Facilitate education and outreach to employers and |
| 18 | | employees. |
| 19 | | (q) Facilitate compliance by the Program with all |
| 20 | | applicable requirements for the Program under the Internal |
| 21 | | Revenue Code, including tax qualification requirements or |
| 22 | | any other applicable law and accounting requirements. |
| 23 | | (q-5) Verify employee eligibility for auto-enrollment |
| 24 | | in accordance with the Internal Revenue Code and |
| 25 | | applicable Federal and State laws. The verification shall |
| 26 | | include the rejection of any enrollee under 18 years of |
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| 1 | | age. |
| 2 | | (r) Carry out the duties and obligations of the |
| 3 | | Program in an effective, efficient, and low-cost manner. |
| 4 | | (s) Exercise any and all other powers reasonably |
| 5 | | necessary for the effectuation of the purposes, |
| 6 | | objectives, and provisions of this Act pertaining to the |
| 7 | | Program. |
| 8 | | (t) Deposit into the Illinois Secure Choice |
| 9 | | Administrative Fund all grants, gifts, donations, fees, |
| 10 | | and earnings from investments from the Illinois Secure |
| 11 | | Choice Savings Program Fund that are used to recover |
| 12 | | administrative costs. All expenses of the Board shall be |
| 13 | | paid from the Illinois Secure Choice Administrative Fund. |
| 14 | | (u) Assess the feasibility of agreements with other |
| 15 | | governmental entities, including other states and their |
| 16 | | agencies and instrumentalities, to achieve greater |
| 17 | | economies of scale through shared resources and to enter |
| 18 | | into those agreements if determined to be beneficial. |
| 19 | | The Board may enter into agreements with other |
| 20 | | governmental entities, including other states or their |
| 21 | | agencies and instrumentalities, to enable residents of other |
| 22 | | states to participate in the Program. |
| 23 | | (Source: P.A. 102-179, eff. 1-1-22; 103-43, eff. 6-9-23.) |
| 24 | | (820 ILCS 80/55) |
| 25 | | Sec. 55. Employer and employee information packets and |
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| 1 | | disclosure forms. |
| 2 | | (a) Prior to the opening of the Program for enrollment, |
| 3 | | the Board shall design and disseminate to all employers an |
| 4 | | employer information packet and an employee information |
| 5 | | packet, which shall include background information on the |
| 6 | | Program, appropriate disclosures for employees, and |
| 7 | | information regarding the vendor Internet website described in |
| 8 | | subsection (i) of Section 60 of this Act. |
| 9 | | (b) The Board shall provide for the contents of both the |
| 10 | | employee information packet and the employer information |
| 11 | | packet. |
| 12 | | (c) The employee information packet shall include a |
| 13 | | disclosure form. The disclosure form shall explain, but not be |
| 14 | | limited to, all of the following: |
| 15 | | (1) the benefits and risks associated with making |
| 16 | | contributions to the Program; |
| 17 | | (2) the mechanics of how to make contributions to the |
| 18 | | Program; |
| 19 | | (3) how to opt out of the Program; |
| 20 | | (4) how to participate in the Program with a level of |
| 21 | | employee contributions other than the default contribution |
| 22 | | rate; |
| 23 | | (5) the process for withdrawal of retirement savings; |
| 24 | | (6) how to obtain additional information about the |
| 25 | | Program; |
| 26 | | (7) that employees seeking financial advice should |
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| 1 | | contact financial advisors, that participating employers |
| 2 | | are not in a position to provide financial advice, and |
| 3 | | that participating employers are not liable for decisions |
| 4 | | employees make pursuant to this Act; |
| 5 | | (8) that the Program is not an employer-sponsored |
| 6 | | retirement plan; and |
| 7 | | (9) that the Program Fund is not guaranteed by the |
| 8 | | State. |
| 9 | | (d) The employee information packet shall also include a |
| 10 | | form for an employee to note his or her decision to opt out of |
| 11 | | participation in the Program and information on how or elect |
| 12 | | to participate with a custom level of employee contributions |
| 13 | | other than the default contribution rate. |
| 14 | | (e) Participating employers shall supply the employee |
| 15 | | information packet to employees upon launch of the Program. |
| 16 | | Participating employers shall supply the employee information |
| 17 | | packet to new employees at the time of hiring, and new |
| 18 | | employees may opt out of participation in the Program or elect |
| 19 | | to participate with a level of employee contributions other |
| 20 | | than the default contribution rate at that time. |
| 21 | | (Source: P.A. 100-6, eff. 6-30-17.) |
| 22 | | (820 ILCS 80/60) |
| 23 | | Sec. 60. Program implementation and enrollment. Except as |
| 24 | | otherwise provided in Section 93 of this Act, the Program |
| 25 | | shall be implemented, and enrollment of employees shall begin |
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| 1 | | in 2018. The Board shall establish an implementation timeline |
| 2 | | under which employers shall initially enroll their employees |
| 3 | | in the Program. The timeline shall include the date by which an |
| 4 | | employer must begin enrollment of its employees in the Program |
| 5 | | and the date by which enrollment must be complete. The Board |
| 6 | | shall adopt the implementation timeline at a public meeting of |
| 7 | | the Board and shall publicize the implementation timeline. The |
| 8 | | Board shall provide advance notice to employers of their |
| 9 | | enrollment date and the amount of time to complete enrollment. |
| 10 | | The enrollment deadline for employers with fewer than 25 |
| 11 | | employees and more than 15 employees shall be no sooner than |
| 12 | | September 1, 2022. The enrollment deadline for employers with |
| 13 | | at least 5 employees but not more than 15 employees shall be no |
| 14 | | sooner than September 1, 2023. The provisions of this Section |
| 15 | | shall be in force after the Board opens the Program for |
| 16 | | enrollment. |
| 17 | | (a) Each employer shall establish a payroll deposit |
| 18 | | retirement savings arrangement to allow each employee to |
| 19 | | participate in the Program within the timeline set by the |
| 20 | | Board after the Program opens for enrollment. |
| 21 | | (b) At the time of initial enrollment, employers Employers |
| 22 | | shall automatically enroll in the Program each of their |
| 23 | | employees who have been employed for 120 days or more by the |
| 24 | | employer has not opted out of participation in the Program in |
| 25 | | the manner described in subsection (c) of Section 55 of this |
| 26 | | Act and shall provide payroll deduction retirement savings |
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| 1 | | arrangements for such employees and deposit, on behalf of such |
| 2 | | employees, these funds into the Program. Following initial |
| 3 | | enrollment, employers shall enroll new employees as soon as |
| 4 | | practicable, but no later than 120 days after the employee is |
| 5 | | first employed by the employer. Small employers may, but are |
| 6 | | not required to, provide payroll deduction retirement savings |
| 7 | | arrangements for each employee who elects to participate in |
| 8 | | the Program. Utilization of automatic enrollment by small |
| 9 | | employers may be allowed only if it does not create employer |
| 10 | | liability under the federal Employee Retirement Income |
| 11 | | Security Act. An employee may opt out of participation in the |
| 12 | | Program in the manner described in Section 55. |
| 13 | | (c) Enrollees shall have the ability to select a |
| 14 | | contribution level into the Fund. This level may be expressed |
| 15 | | as a percentage of wages or as a dollar amount up to the |
| 16 | | deductible amount for the enrollee's taxable year under |
| 17 | | Section 219(b)(1)(A) of the Internal Revenue Code. Enrollees |
| 18 | | may change their contribution level at any time, subject to |
| 19 | | rules promulgated by the Board. If an enrollee fails to select |
| 20 | | a contribution level using the form described in subsection |
| 21 | | (c) of Section 55 of this Act, then he or she shall contribute |
| 22 | | the default contribution rate of his or her wages to the |
| 23 | | Program, provided that such contributions shall not cause the |
| 24 | | enrollee's total contributions to IRAs for the year to exceed |
| 25 | | the deductible amount for the enrollee's taxable year under |
| 26 | | Section 219(b)(1)(A) of the Internal Revenue Code. |
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| 1 | | (d) Enrollees may select an investment option from the |
| 2 | | permitted investment options listed in Section 45 of this Act. |
| 3 | | Enrollees may change their investment option at any time, |
| 4 | | subject to rules promulgated by the Board. In the event that an |
| 5 | | enrollee fails to select an investment option, that enrollee |
| 6 | | shall be placed in the investment option selected by the Board |
| 7 | | as the default under subsection (c) of Section 45 of this Act. |
| 8 | | If the Board has not selected a default investment option |
| 9 | | under subsection (c) of Section 45 of this Act, then an |
| 10 | | enrollee who fails to select an investment option shall be |
| 11 | | placed in the life-cycle fund investment option. |
| 12 | | (e) Following initial implementation of the Program |
| 13 | | pursuant to this Section, participating employers may |
| 14 | | designate an open enrollment period during which employees who |
| 15 | | previously opted out of the Program may enroll in the Program. |
| 16 | | (f) (Blank). |
| 17 | | (g) Employers shall retain the option at all times to set |
| 18 | | up a qualified retirement plan, including, but not limited to, |
| 19 | | a defined benefit plan or a 401(k), a Simplified Employee |
| 20 | | Pension (SEP) plan, or a Savings Incentive Match Plan for |
| 21 | | Employees (SIMPLE) plan, instead of facilitating their |
| 22 | | employees' participation in the Program. |
| 23 | | (h) An employee may terminate his or her participation in |
| 24 | | the Program at any time in a manner prescribed by the Board. |
| 25 | | (i) The Board shall establish and maintain an Internet |
| 26 | | website designed to assist employers in identifying private |
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| 1 | | sector providers of retirement arrangements that can be set up |
| 2 | | by the employer rather than allowing employee participation in |
| 3 | | the Program under this Act; however, the Board shall only |
| 4 | | establish and maintain an Internet website under this |
| 5 | | subsection if there is sufficient interest in such an Internet |
| 6 | | website by private sector providers and if the private sector |
| 7 | | providers furnish the funding necessary to establish and |
| 8 | | maintain the Internet website. The Board must provide public |
| 9 | | notice of the availability of and the process for inclusion on |
| 10 | | the Internet website before it becomes publicly available. |
| 11 | | This Internet website must be available to the public before |
| 12 | | the Board opens the Program for enrollment, and the Internet |
| 13 | | website address must be included on any Internet website |
| 14 | | posting or other materials regarding the Program offered to |
| 15 | | the public by the Board. |
| 16 | | (Source: P.A. 102-179, eff. 1-1-22; 103-681, eff. 1-1-25.) |
| 17 | | (820 ILCS 80/85) |
| 18 | | Sec. 85. Penalties. |
| 19 | | (a) An employer who fails without reasonable cause to |
| 20 | | enroll an employee in the Program within the time prescribed |
| 21 | | under Section 60 of this Act and fails to remit their |
| 22 | | contributions shall be subject to a penalty equal to: |
| 23 | | (1) $250 per employee for the first calendar year the |
| 24 | | employer is noncompliant; or |
| 25 | | (2) $500 per employee for each subsequent calendar |
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| 1 | | year the employer is noncompliant; noncompliance does not |
| 2 | | need to be consecutive to qualify for the $500 penalty. |
| 3 | | The Department shall determine total employee count using |
| 4 | | the annual average from employer-reported quarterly data. |
| 5 | | (b) After determining that an employer is subject to a |
| 6 | | penalty under this Section for a calendar year, the Department |
| 7 | | shall issue a notice of proposed assessment to such employer, |
| 8 | | stating the number of employees for which the penalty is |
| 9 | | proposed under item (1) of subsection (a) of this Section or |
| 10 | | the number of employees for which the penalty is proposed |
| 11 | | under item (2) of subsection (a) of this Section for such |
| 12 | | calendar year, and the total amount of penalties proposed. |
| 13 | | Upon the expiration of 120 days after the date on which a |
| 14 | | notice of proposed assessment was issued, the penalties |
| 15 | | specified therein shall be deemed assessed, unless the |
| 16 | | employer had filed a protest with the Department under |
| 17 | | subsection (c) of this Section or come into full compliance |
| 18 | | with the Program as required under Section 60 of this Act. |
| 19 | | If, within 120 days after the date on which it was issued, |
| 20 | | a protest of a notice of proposed assessment is filed under |
| 21 | | subsection (c) of this Section, the penalties specified |
| 22 | | therein shall be deemed assessed upon the date when the |
| 23 | | decision of the Department with respect to the protest becomes |
| 24 | | final. |
| 25 | | (c) A written protest against the proposed assessment |
| 26 | | shall be filed with the Department in such form as the |
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| 1 | | Department may by rule prescribe, setting forth the grounds on |
| 2 | | which such protest is based. If such a protest is filed within |
| 3 | | 120 days after the date the notice of proposed assessment is |
| 4 | | issued, the Department shall reconsider the proposed |
| 5 | | assessment and shall grant the employer a hearing. As soon as |
| 6 | | practicable after such reconsideration and hearing, the |
| 7 | | Department shall issue a notice of decision to the employer, |
| 8 | | setting forth the Department's findings of fact and the basis |
| 9 | | of decision. The decision of the Department shall become |
| 10 | | final: |
| 11 | | (1) if no action for review of the decision is |
| 12 | | commenced under the Administrative Review Law, on the date |
| 13 | | on which the time for commencement of such review has |
| 14 | | expired; or |
| 15 | | (2) if a timely action for review of the decision is |
| 16 | | commenced under the Administrative Review Law, on the date |
| 17 | | all proceedings in court for the review of such assessment |
| 18 | | have terminated or the time for the taking thereof has |
| 19 | | expired without such proceedings being instituted. |
| 20 | | (d) As soon as practicable after the penalties specified |
| 21 | | in a notice of proposed assessment are deemed assessed, the |
| 22 | | Department shall give notice to the employer liable for any |
| 23 | | unpaid portion of such assessment, stating the amount due and |
| 24 | | demanding payment. If an employer neglects or refuses to pay |
| 25 | | the entire liability shown on the notice and demand within 10 |
| 26 | | days after the notice and demand is issued, the unpaid amount |
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| 1 | | of the liability shall be a lien in favor of the State of |
| 2 | | Illinois upon all property and rights to property, whether |
| 3 | | real or personal, belonging to the employer, and the |
| 4 | | provisions in the Illinois Income Tax Act regarding liens, |
| 5 | | levies and collection actions with regard to assessed and |
| 6 | | unpaid liabilities under that Act, including the periods for |
| 7 | | taking any action, shall apply. |
| 8 | | (e) An employer who has overpaid a penalty assessed under |
| 9 | | this Section may file a claim for refund with the Department. A |
| 10 | | claim shall be in writing in such form as the Department may by |
| 11 | | rule prescribe and shall state the specific grounds upon which |
| 12 | | it is founded. As soon as practicable after a claim for refund |
| 13 | | is filed, the Department shall examine it and either issue a |
| 14 | | refund or issue a notice of denial. If such a protest is filed, |
| 15 | | the Department shall reconsider the denial and grant the |
| 16 | | employer a hearing. As soon as practicable after such |
| 17 | | reconsideration and hearing, the Department shall issue a |
| 18 | | notice of decision to the employer. The notice shall set forth |
| 19 | | briefly the Department's findings of fact and the basis of |
| 20 | | decision in each case decided in whole or in part adversely to |
| 21 | | the employer. A denial of a claim for refund becomes final 120 |
| 22 | | days after the date of issuance of the notice of the denial |
| 23 | | except for such amounts denied as to which the employer has |
| 24 | | filed a protest with the Department. If a protest has been |
| 25 | | timely filed, the decision of the Department shall become |
| 26 | | final: |
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| 1 | | (1) if no action for review of the decision is |
| 2 | | commenced under the Administrative Review Law, on the date |
| 3 | | on which the time for commencement of such review has |
| 4 | | expired; or |
| 5 | | (2) if a timely action for review of the decision is |
| 6 | | commenced under the Administrative Review Law, on the date |
| 7 | | all proceedings in court for the review of such assessment |
| 8 | | have terminated or the time for the taking thereof has |
| 9 | | expired without such proceedings being instituted. |
| 10 | | (f) No notice of proposed assessment may be issued with |
| 11 | | respect to a calendar year after June 30 of the fourth |
| 12 | | subsequent calendar year. No claim for refund may be filed |
| 13 | | more than 1 year after the date of payment of the amount to be |
| 14 | | refunded. |
| 15 | | (g) The provisions of the Administrative Review Law and |
| 16 | | the rules adopted pursuant to it shall apply to and govern all |
| 17 | | proceedings for the judicial review of final decisions of the |
| 18 | | Department in response to a protest filed by the employer |
| 19 | | under subsections (c) and (e) of this Section. Final decisions |
| 20 | | of the Department shall constitute "administrative decisions" |
| 21 | | as defined in Section 3-101 of the Code of Civil Procedure. The |
| 22 | | Department may adopt any rules necessary to carry out its |
| 23 | | duties pursuant to this Section. |
| 24 | | (h) Whenever notice is required by this Section, it may be |
| 25 | | given or issued by mailing it by first-class mail addressed to |
| 26 | | the person concerned at his or her last known address or in an |
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| 1 | | electronic format as determined by the Department. |
| 2 | | (i) All books and records and other papers and documents |
| 3 | | relevant to the determination of any penalty due under this |
| 4 | | Section shall, at all times during business hours of the day, |
| 5 | | be subject to inspection by the Department or its duly |
| 6 | | authorized agents and employees. |
| 7 | | (j) The Department may require employers to report |
| 8 | | information relevant to their compliance with this Act on |
| 9 | | returns otherwise due from the employers under Section 704A of |
| 10 | | the Illinois Income Tax Act and failure to provide the |
| 11 | | requested information on a return shall cause such return to |
| 12 | | be treated as unprocessable. |
| 13 | | (k) For purposes of any provision of State law allowing |
| 14 | | the Department or any other agency of this State to offset an |
| 15 | | amount owed to a taxpayer against a tax liability of that |
| 16 | | taxpayer or allowing the Department to offset an overpayment |
| 17 | | of tax against any liability owed to the State, a penalty |
| 18 | | assessed under this Section shall be deemed to be a tax |
| 19 | | liability of the employer and any refund due to an employer |
| 20 | | shall be deemed to be an overpayment of tax of the employer. |
| 21 | | (l) Except as provided in this subsection, all information |
| 22 | | received by the Department from returns filed by an employer |
| 23 | | or from any investigation conducted under the provisions of |
| 24 | | this Act shall be confidential, except for official purposes |
| 25 | | within the Department or pursuant to official procedures for |
| 26 | | collection of penalties assessed under this Act. Nothing |
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| 1 | | contained in this subsection shall prevent the Director from |
| 2 | | publishing or making available to the public reasonable |
| 3 | | statistics concerning the operation of this Act wherein the |
| 4 | | contents of returns are grouped into aggregates in such a way |
| 5 | | that the specific information of any employer shall not be |
| 6 | | disclosed. Nothing contained in this subsection shall prevent |
| 7 | | the Director from divulging information to an authorized |
| 8 | | representative of the employer or to any person pursuant to a |
| 9 | | request or authorization made by the employer or by an |
| 10 | | authorized representative of the employer. |
| 11 | | (m) Civil penalties collected under this Act and fees |
| 12 | | collected pursuant to subsection (n) of this Section shall be |
| 13 | | deposited into the Tax Compliance and Administration Fund. The |
| 14 | | Department may, subject to appropriation, use moneys in the |
| 15 | | fund to cover expenses it incurs in the performance of its |
| 16 | | duties under this Act. Interest attributable to moneys in the |
| 17 | | Tax Compliance and Administration Fund shall be credited to |
| 18 | | the Tax Compliance and Administration Fund. |
| 19 | | (n) The Department may charge the Board a reasonable fee |
| 20 | | for its costs in performing its duties under this Section to |
| 21 | | the extent that such costs have not been recovered from |
| 22 | | penalties imposed under this Section. |
| 23 | | (o) The Department shall post on its Internet website a |
| 24 | | notice stating that this Section is operative and the date |
| 25 | | that it is first operative. This notice shall include a |
| 26 | | statement that rather than enrolling employees in the Program |
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| 1 | | under this Act, employers may set up a qualified retirement |
| 2 | | plan, including, but not limited to, a defined benefit plan, |
| 3 | | 401(k) plan, a Simplified Employee Pension (SEP) plan, or a |
| 4 | | Savings Incentive Match Plan for Employees (SIMPLE) plan. The |
| 5 | | Board shall provide a link to the vendor Internet website |
| 6 | | described in subsection (i) of Section 60 of this Act, if |
| 7 | | applicable. |
| 8 | | (Source: P.A. 102-179, eff. 1-1-22; 103-681, eff. 1-1-25.) |
| 9 | | Section 99. Effective date. This Act takes effect upon |
| 10 | | becoming law. |