SB3865 EnrolledLRB102 24242 RJF 33473 b

1    AN ACT concerning State government.
 
2    Be it enacted by the People of the State of Illinois,
3represented in the General Assembly:
 
4    Section 1. Legislative intent. It is the intent of the
5General Assembly in enacting this amendatory Act of the 102nd
6General Assembly to make only nonsubstantive changes that
7remove the dehumanizing term "alien" from all Illinois
8statutory provisions. No change made by this amendatory Act of
9the 102nd General Assembly shall be interpreted so as to make
10any substantive change to existing law, including, but not
11limited to, eligibility for federal programs or benefits that
12are available to a person who meets the definition of "alien"
13under State or federal law.
 
14    Section 5. The Illinois Notary Public Act is amended by
15changing Section 2-102 as follows:
 
16    (5 ILCS 312/2-102)  (from Ch. 102, par. 202-102)
17    (Text of Section before amendment by P.A. 102-160)
18    Sec. 2-102. Application. Every applicant for appointment
19and commission as a notary shall complete an application in a
20format prescribed by the Secretary of State to be filed with
21the Secretary of State, stating:
22        (a) the applicant's official name, as it appears on

 

 

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1    his or her current driver's license or state-issued
2    identification card;
3        (b) the county in which the applicant resides or, if
4    the applicant is a resident of a state bordering Illinois,
5    the county in Illinois in which that person's principal
6    place of work or principal place of business is located;
7        (c) the applicant's residence address, as it appears
8    on his or her current driver's license or state-issued
9    identification card;
10        (c-5) the applicant's business address if different
11    than the applicant's residence address, if performing
12    notarial acts constitutes any portion of the applicant's
13    job duties;
14        (d) that the applicant has resided in the State of
15    Illinois for 30 days preceding the application or that the
16    applicant who is a resident of a state bordering Illinois
17    has worked or maintained a business in Illinois for 30
18    days preceding the application;
19        (e) that the applicant is a citizen of the United
20    States or a person an alien lawfully admitted for
21    permanent residence in the United States;
22        (f) the applicant's date of birth;
23        (g) that the applicant is able to read and write the
24    English language;
25        (h) that the applicant has never been the holder of a
26    notary public appointment that was revoked or suspended

 

 

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1    during the past 10 years;
2        (i) that the applicant has not been convicted of a
3    felony;
4        (i-5) that the applicant's signature authorizes the
5    Office of the Secretary of State to conduct a verification
6    to confirm the information provided in the application,
7    including a criminal background check of the applicant, if
8    necessary; and
9        (j) any other information the Secretary of State deems
10    necessary.
11(Source: P.A. 99-112, eff. 1-1-16; 100-809, eff. 1-1-19.)
 
12    (Text of Section after amendment by P.A. 102-160)
13    Sec. 2-102. Application.
14    (a) Application for notary public commission. Every
15applicant for appointment and commission as a notary shall
16complete an application in a format prescribed by the
17Secretary of State to be filed with the Secretary of State,
18stating:
19        (1) the applicant's official name, as it appears on
20    his or her current driver's license or state-issued
21    identification card;
22        (2) the county in which the applicant resides or, if
23    the applicant is a resident of a state bordering Illinois,
24    the county in Illinois in which that person's principal
25    place of work or principal place of business is located;

 

 

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1        (3) the applicant's residence address, as it appears
2    on his or her current driver's license or state-issued
3    identification card;
4        (4) the applicant's e-mail address;
5        (5) the applicant's business address if different than
6    the applicant's residence address, if performing notarial
7    acts constitutes any portion of the applicant's job
8    duties;
9        (6) that the applicant has resided in the State of
10    Illinois for 30 days preceding the application or that the
11    applicant who is a resident of a state bordering Illinois
12    has worked or maintained a business in Illinois for 30
13    days preceding the application;
14        (7) that the applicant is a citizen of the United
15    States or lawfully admitted for permanent residence in the
16    United States;
17        (8) the applicant's date of birth;
18        (9) that the applicant is proficient in the the
19    English language;
20        (10) that the applicant has not had a prior
21    application or commission revoked due to a finding or
22    decision by the Secretary of State;
23        (11) that the applicant has not been convicted of a
24    felony;
25        (12) that the applicant's signature authorizes the
26    Office of the Secretary of State to conduct a verification

 

 

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1    to confirm the information provided in the application,
2    including a criminal background check of the applicant, if
3    necessary;
4        (13) that the applicant has provided satisfactory
5    proof to the Secretary of State that the applicant has
6    successfully completed any required course of study on
7    notarization; and
8        (14) any other information the Secretary of State
9    deems necessary.
10    (b) Any notary appointed under subsection (a) shall have
11the authority to conduct remote notarizations.
12    (c) Application for electronic notary public commission.
13An application for an electronic notary public commission must
14be filed with the Secretary of State in a manner prescribed by
15the Secretary of State. Every applicant for appointment and
16commission as an electronic notary public shall complete an
17application to be filed with the Secretary of State, stating:
18        (1) all information required to be included in an
19    application for appointment as an electronic notary
20    public, as provided under subsection (a);
21        (2) that the applicant is commissioned as a notary
22    public under this Act;
23        (3) the applicant's email address;
24        (4) that the applicant has provided satisfactory proof
25    to the Secretary of State that the applicant has
26    successfully completed any required course of study on

 

 

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1    electronic notarization and passed a qualifying
2    examination;
3        (5) a description of the technology or device that the
4    applicant intends to use to create his or her electronic
5    signature in performing electronic notarial acts;
6        (6) the electronic signature of the applicant; and
7        (7) any other information the Secretary of State deems
8    necessary.
9    (d) Electronic notarial acts. Before an electronic notary
10public performs an electronic notarial act using audio-video
11communication, he or she must be granted an electronic notary
12public commission by the Secretary of State under this
13Section, and identify the technology that the electronic
14notary public intends to use, which must be approved by the
15Secretary of State.
16    (e) Approval of commission. Upon the applicant's
17fulfillment of the requirements for a notarial commission or
18an electronic notary public commission, the Secretary of State
19shall approve the commission and issue to the applicant a
20unique commission number.
21    (f) Rejection of application. The Secretary of State may
22reject an application for a notarial commission or an
23electronic notary public commission if the applicant fails to
24comply with any Section of this Act.
25(Source: P.A. 102-160 (See Section 99 of P.A. 102-160 for
26effective date of P.A. 102-160).)
 

 

 

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1    Section 15. The Department of Commerce and Economic
2Opportunity Law of the Civil Administrative Code of Illinois
3is amended by changing Section 605-800 as follows:
 
4    (20 ILCS 605/605-800)  (was 20 ILCS 605/46.19a in part)
5    Sec. 605-800. Training grants for skills in critical
6demand.
7    (a) Grants to provide training in fields affected by
8critical demands for certain skills may be made as provided in
9this Section.
10    (b) The Director may make grants to eligible employers or
11to other eligible entities on behalf of employers as
12authorized in subsection (c) to provide training for employees
13in fields for which there are critical demands for certain
14skills. No participating employee may be a person without
15employment authorization under federal law an unauthorized
16alien, as defined in 8 U.S.C. 1324a.
17    (c) The Director may accept applications for training
18grant funds and grant requests from: (i) entities sponsoring
19multi-company eligible employee training projects as defined
20in subsection (d), including business associations, strategic
21business partnerships, institutions of secondary or higher
22education, large manufacturers for supplier network companies,
23federal Job Training Partnership Act administrative entities
24or grant recipients, and labor organizations when those

 

 

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1projects will address common training needs identified by
2participating companies; and (ii) individual employers that
3are undertaking eligible employee training projects as defined
4in subsection (d), including intermediaries and training
5agents.
6    (d) The Director may make grants to eligible applicants as
7defined in subsection (c) for employee training projects that
8include, but need not be limited to, one or more of the
9following:
10        (1) Training programs in response to new or changing
11    technology being introduced in the workplace.
12        (2) Job-linked training that offers special skills for
13    career advancement or that is preparatory for, and leads
14    directly to, jobs with definite career potential and
15    long-term job security.
16        (3) Training necessary to implement total quality
17    management or improvement or both management and
18    improvement systems within the workplace.
19        (4) Training related to new machinery or equipment.
20        (5) Training of employees of companies that are
21    expanding into new markets or expanding exports from
22    Illinois.
23        (6) Basic, remedial, or both basic and remedial
24    training of employees as a prerequisite for other
25    vocational or technical skills training or as a condition
26    for sustained employment.

 

 

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1        (7) Self-employment training of the unemployed and
2    underemployed with comprehensive, competency-based
3    instructional programs and services, entrepreneurial
4    education and training initiatives for youth and adult
5    learners in cooperation with the Illinois Institute for
6    Entrepreneurial Education, training and education,
7    conferences, workshops, and best practice information for
8    local program operators of entrepreneurial education and
9    self-employment training programs.
10        (8) Other training activities or projects, or both
11    training activities and projects, related to the support,
12    development, or evaluation of job training programs,
13    activities, and delivery systems, including training needs
14    assessment and design.
15    (e) Grants shall be made on the terms and conditions that
16the Department shall determine. No grant made under subsection
17(d), however, shall exceed 50% of the direct costs of all
18approved training programs provided by the employer or the
19employer's training agent or other entity as defined in
20subsection (c). Under this Section, allowable costs include,
21but are not limited to:
22        (1) Administrative costs of tracking, documenting,
23    reporting, and processing training funds or project costs.
24        (2) Curriculum development.
25        (3) Wages and fringe benefits of employees.
26        (4) Training materials, including scrap product costs.

 

 

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1        (5) Trainee travel expenses.
2        (6) Instructor costs, including wages, fringe
3    benefits, tuition, and travel expenses.
4        (7) Rent, purchase, or lease of training equipment.
5        (8) Other usual and customary training costs.
6    (f) The Department may conduct on-site grant monitoring
7visits to verify trainee employment dates and wages and to
8ensure that the grantee's financial management system is
9structured to provide for accurate, current, and complete
10disclosure of the financial results of the grant program in
11accordance with all provisions, terms, and conditions
12contained in the grant contract. Each applicant must, on
13request by the Department, provide to the Department a
14notarized certification signed and dated by a duly authorized
15representative of the applicant, or that representative's
16authorized designee, certifying that all participating
17employees are employed at an Illinois facility and, for each
18participating employee, stating the employee's name and
19providing either (i) the employee's social security number or
20(ii) a statement that the applicant has adequate written
21verification that the employee is employed at an Illinois
22facility. The Department may audit the accuracy of
23submissions. Applicants sponsoring multi-company training
24grant programs shall obtain information meeting the
25requirement of this subsection from each participating company
26and provide it to the Department upon request.

 

 

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1    (g) The Director may establish and collect a schedule of
2charges from subgrantee entities and other system users under
3federal job-training programs for participating in and
4utilizing the Department's automated job-training program
5information systems if the systems and the necessary
6participation and utilization are requirements of the federal
7job-training programs. All monies collected pursuant to this
8subsection shall be deposited into the Federal Workforce
9Training Fund and may be used, subject to appropriation by the
10General Assembly, only for the purpose of financing the
11maintenance and operation of the automated federal
12job-training information systems.
13(Source: P.A. 99-933, eff. 1-27-17.)
 
14    Section 20. The Illinois Guaranteed Job Opportunity Act is
15amended by changing Section 25 as follows:
 
16    (20 ILCS 1510/25)
17    Sec. 25. Program eligibility.
18    (a) General Rule. An individual is eligible to participate
19in the job projects assisted under this Act if the individual:
20        (1) is at least 16 years of age;
21        (2) has resided in the eligible area for at least 30
22    days;
23        (3) has been unemployed for 35 days prior to the
24    determination of employment for job projects assisted

 

 

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1    under this Act;
2        (4) is a citizen of the United States, is a national of
3    the United States, is a lawfully admitted permanent
4    resident alien, is a lawfully admitted refugee or parolee,
5    or is otherwise authorized by the United States Attorney
6    General to work in the United States; and
7        (5) is a recipient of assistance under Article IV of
8    the Illinois Public Aid Code.
9    (b) Limitations.
10        (1) (Blank).
11        (2) (Blank).
12        (3) No individual participating in the job opportunity
13    project assisted under this Act may work in any
14    compensated job other than the job assisted under this Act
15    for more than 20 hours per week.
16        (4) Individuals participating under this Act shall
17    seek employment during the period of employment assisted
18    under this Act.
19        (5) Any individual eligible for retirement benefits
20    under the Social Security Act, under any retirement system
21    for Federal Government employees, under the railroad
22    retirement system, under the military retirement system,
23    under a State or local government pension plan or
24    retirement system, or any private pension program is not
25    eligible to receive a job under a job project assisted
26    under this Act.

 

 

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1(Source: P.A. 93-46, eff. 7-1-03.)
 
2    Section 25. The Illinois Income Tax Act is amended by
3changing Section 1501 as follows:
 
4    (35 ILCS 5/1501)  (from Ch. 120, par. 15-1501)
5    Sec. 1501. Definitions.
6    (a) In general. When used in this Act, where not otherwise
7distinctly expressed or manifestly incompatible with the
8intent thereof:
9        (1) Business income. The term "business income" means
10    all income that may be treated as apportionable business
11    income under the Constitution of the United States.
12    Business income is net of the deductions allocable
13    thereto. Such term does not include compensation or the
14    deductions allocable thereto. For each taxable year
15    beginning on or after January 1, 2003, a taxpayer may
16    elect to treat all income other than compensation as
17    business income. This election shall be made in accordance
18    with rules adopted by the Department and, once made, shall
19    be irrevocable.
20        (1.5) Captive real estate investment trust:
21            (A) The term "captive real estate investment
22        trust" means a corporation, trust, or association:
23                (i) that is considered a real estate
24            investment trust for the taxable year under

 

 

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1            Section 856 of the Internal Revenue Code;
2                (ii) the certificates of beneficial interest
3            or shares of which are not regularly traded on an
4            established securities market; and
5                (iii) of which more than 50% of the voting
6            power or value of the beneficial interest or
7            shares, at any time during the last half of the
8            taxable year, is owned or controlled, directly,
9            indirectly, or constructively, by a single
10            corporation.
11            (B) The term "captive real estate investment
12        trust" does not include:
13                (i) a real estate investment trust of which
14            more than 50% of the voting power or value of the
15            beneficial interest or shares is owned or
16            controlled, directly, indirectly, or
17            constructively, by:
18                    (a) a real estate investment trust, other
19                than a captive real estate investment trust;
20                    (b) a person who is exempt from taxation
21                under Section 501 of the Internal Revenue
22                Code, and who is not required to treat income
23                received from the real estate investment trust
24                as unrelated business taxable income under
25                Section 512 of the Internal Revenue Code;
26                    (c) a listed Australian property trust, if

 

 

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1                no more than 50% of the voting power or value
2                of the beneficial interest or shares of that
3                trust, at any time during the last half of the
4                taxable year, is owned or controlled, directly
5                or indirectly, by a single person;
6                    (d) an entity organized as a trust,
7                provided a listed Australian property trust
8                described in subparagraph (c) owns or
9                controls, directly or indirectly, or
10                constructively, 75% or more of the voting
11                power or value of the beneficial interests or
12                shares of such entity; or
13                    (e) an entity that is organized outside of
14                the laws of the United States and that
15                satisfies all of the following criteria:
16                        (1) at least 75% of the entity's total
17                    asset value at the close of its taxable
18                    year is represented by real estate assets
19                    (as defined in Section 856(c)(5)(B) of the
20                    Internal Revenue Code, thereby including
21                    shares or certificates of beneficial
22                    interest in any real estate investment
23                    trust), cash and cash equivalents, and
24                    U.S. Government securities;
25                        (2) the entity is not subject to tax
26                    on amounts that are distributed to its

 

 

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1                    beneficial owners or is exempt from
2                    entity-level taxation;
3                        (3) the entity distributes at least
4                    85% of its taxable income (as computed in
5                    the jurisdiction in which it is organized)
6                    to the holders of its shares or
7                    certificates of beneficial interest on an
8                    annual basis;
9                        (4) either (i) the shares or
10                    beneficial interests of the entity are
11                    regularly traded on an established
12                    securities market or (ii) not more than
13                    10% of the voting power or value in the
14                    entity is held, directly, indirectly, or
15                    constructively, by a single entity or
16                    individual; and
17                        (5) the entity is organized in a
18                    country that has entered into a tax treaty
19                    with the United States; or
20                (ii) during its first taxable year for which
21            it elects to be treated as a real estate
22            investment trust under Section 856(c)(1) of the
23            Internal Revenue Code, a real estate investment
24            trust the certificates of beneficial interest or
25            shares of which are not regularly traded on an
26            established securities market, but only if the

 

 

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1            certificates of beneficial interest or shares of
2            the real estate investment trust are regularly
3            traded on an established securities market prior
4            to the earlier of the due date (including
5            extensions) for filing its return under this Act
6            for that first taxable year or the date it
7            actually files that return.
8            (C) For the purposes of this subsection (1.5), the
9        constructive ownership rules prescribed under Section
10        318(a) of the Internal Revenue Code, as modified by
11        Section 856(d)(5) of the Internal Revenue Code, apply
12        in determining the ownership of stock, assets, or net
13        profits of any person.
14            (D) For the purposes of this item (1.5), for
15        taxable years ending on or after August 16, 2007, the
16        voting power or value of the beneficial interest or
17        shares of a real estate investment trust does not
18        include any voting power or value of beneficial
19        interest or shares in a real estate investment trust
20        held directly or indirectly in a segregated asset
21        account by a life insurance company (as described in
22        Section 817 of the Internal Revenue Code) to the
23        extent such voting power or value is for the benefit of
24        entities or persons who are either immune from
25        taxation or exempt from taxation under subtitle A of
26        the Internal Revenue Code.

 

 

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1        (2) Commercial domicile. The term "commercial
2    domicile" means the principal place from which the trade
3    or business of the taxpayer is directed or managed.
4        (3) Compensation. The term "compensation" means wages,
5    salaries, commissions and any other form of remuneration
6    paid to employees for personal services.
7        (4) Corporation. The term "corporation" includes
8    associations, joint-stock companies, insurance companies
9    and cooperatives. Any entity, including a limited
10    liability company formed under the Illinois Limited
11    Liability Company Act, shall be treated as a corporation
12    if it is so classified for federal income tax purposes.
13        (5) Department. The term "Department" means the
14    Department of Revenue of this State.
15        (6) Director. The term "Director" means the Director
16    of Revenue of this State.
17        (7) Fiduciary. The term "fiduciary" means a guardian,
18    trustee, executor, administrator, receiver, or any person
19    acting in any fiduciary capacity for any person.
20        (8) Financial organization.
21            (A) The term "financial organization" means any
22        bank, bank holding company, trust company, savings
23        bank, industrial bank, land bank, safe deposit
24        company, private banker, savings and loan association,
25        building and loan association, credit union, currency
26        exchange, cooperative bank, small loan company, sales

 

 

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1        finance company, investment company, or any person
2        which is owned by a bank or bank holding company. For
3        the purpose of this Section a "person" will include
4        only those persons which a bank holding company may
5        acquire and hold an interest in, directly or
6        indirectly, under the provisions of the Bank Holding
7        Company Act of 1956 (12 U.S.C. 1841, et seq.), except
8        where interests in any person must be disposed of
9        within certain required time limits under the Bank
10        Holding Company Act of 1956.
11            (B) For purposes of subparagraph (A) of this
12        paragraph, the term "bank" includes (i) any entity
13        that is regulated by the Comptroller of the Currency
14        under the National Bank Act, or by the Federal Reserve
15        Board, or by the Federal Deposit Insurance Corporation
16        and (ii) any federally or State chartered bank
17        operating as a credit card bank.
18            (C) For purposes of subparagraph (A) of this
19        paragraph, the term "sales finance company" has the
20        meaning provided in the following item (i) or (ii):
21                (i) A person primarily engaged in one or more
22            of the following businesses: the business of
23            purchasing customer receivables, the business of
24            making loans upon the security of customer
25            receivables, the business of making loans for the
26            express purpose of funding purchases of tangible

 

 

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1            personal property or services by the borrower, or
2            the business of finance leasing. For purposes of
3            this item (i), "customer receivable" means:
4                    (a) a retail installment contract or
5                retail charge agreement within the meaning of
6                the Sales Finance Agency Act, the Retail
7                Installment Sales Act, or the Motor Vehicle
8                Retail Installment Sales Act;
9                    (b) an installment, charge, credit, or
10                similar contract or agreement arising from the
11                sale of tangible personal property or services
12                in a transaction involving a deferred payment
13                price payable in one or more installments
14                subsequent to the sale; or
15                    (c) the outstanding balance of a contract
16                or agreement described in provisions (a) or
17                (b) of this item (i).
18                A customer receivable need not provide for
19            payment of interest on deferred payments. A sales
20            finance company may purchase a customer receivable
21            from, or make a loan secured by a customer
22            receivable to, the seller in the original
23            transaction or to a person who purchased the
24            customer receivable directly or indirectly from
25            that seller.
26                (ii) A corporation meeting each of the

 

 

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1            following criteria:
2                    (a) the corporation must be a member of an
3                "affiliated group" within the meaning of
4                Section 1504(a) of the Internal Revenue Code,
5                determined without regard to Section 1504(b)
6                of the Internal Revenue Code;
7                    (b) more than 50% of the gross income of
8                the corporation for the taxable year must be
9                interest income derived from qualifying loans.
10                A "qualifying loan" is a loan made to a member
11                of the corporation's affiliated group that
12                originates customer receivables (within the
13                meaning of item (i)) or to whom customer
14                receivables originated by a member of the
15                affiliated group have been transferred, to the
16                extent the average outstanding balance of
17                loans from that corporation to members of its
18                affiliated group during the taxable year do
19                not exceed the limitation amount for that
20                corporation. The "limitation amount" for a
21                corporation is the average outstanding
22                balances during the taxable year of customer
23                receivables (within the meaning of item (i))
24                originated by all members of the affiliated
25                group. If the average outstanding balances of
26                the loans made by a corporation to members of

 

 

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1                its affiliated group exceed the limitation
2                amount, the interest income of that
3                corporation from qualifying loans shall be
4                equal to its interest income from loans to
5                members of its affiliated groups times a
6                fraction equal to the limitation amount
7                divided by the average outstanding balances of
8                the loans made by that corporation to members
9                of its affiliated group;
10                    (c) the total of all shareholder's equity
11                (including, without limitation, paid-in
12                capital on common and preferred stock and
13                retained earnings) of the corporation plus the
14                total of all of its loans, advances, and other
15                obligations payable or owed to members of its
16                affiliated group may not exceed 20% of the
17                total assets of the corporation at any time
18                during the tax year; and
19                    (d) more than 50% of all interest-bearing
20                obligations of the affiliated group payable to
21                persons outside the group determined in
22                accordance with generally accepted accounting
23                principles must be obligations of the
24                corporation.
25            This amendatory Act of the 91st General Assembly
26        is declaratory of existing law.

 

 

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1            (D) Subparagraphs (B) and (C) of this paragraph
2        are declaratory of existing law and apply
3        retroactively, for all tax years beginning on or
4        before December 31, 1996, to all original returns, to
5        all amended returns filed no later than 30 days after
6        the effective date of this amendatory Act of 1996, and
7        to all notices issued on or before the effective date
8        of this amendatory Act of 1996 under subsection (a) of
9        Section 903, subsection (a) of Section 904, subsection
10        (e) of Section 909, or Section 912. A taxpayer that is
11        a "financial organization" that engages in any
12        transaction with an affiliate shall be a "financial
13        organization" for all purposes of this Act.
14            (E) For all tax years beginning on or before
15        December 31, 1996, a taxpayer that falls within the
16        definition of a "financial organization" under
17        subparagraphs (B) or (C) of this paragraph, but who
18        does not fall within the definition of a "financial
19        organization" under the Proposed Regulations issued by
20        the Department of Revenue on July 19, 1996, may
21        irrevocably elect to apply the Proposed Regulations
22        for all of those years as though the Proposed
23        Regulations had been lawfully promulgated, adopted,
24        and in effect for all of those years. For purposes of
25        applying subparagraphs (B) or (C) of this paragraph to
26        all of those years, the election allowed by this

 

 

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1        subparagraph applies only to the taxpayer making the
2        election and to those members of the taxpayer's
3        unitary business group who are ordinarily required to
4        apportion business income under the same subsection of
5        Section 304 of this Act as the taxpayer making the
6        election. No election allowed by this subparagraph
7        shall be made under a claim filed under subsection (d)
8        of Section 909 more than 30 days after the effective
9        date of this amendatory Act of 1996.
10            (F) Finance Leases. For purposes of this
11        subsection, a finance lease shall be treated as a loan
12        or other extension of credit, rather than as a lease,
13        regardless of how the transaction is characterized for
14        any other purpose, including the purposes of any
15        regulatory agency to which the lessor is subject. A
16        finance lease is any transaction in the form of a lease
17        in which the lessee is treated as the owner of the
18        leased asset entitled to any deduction for
19        depreciation allowed under Section 167 of the Internal
20        Revenue Code.
21        (9) Fiscal year. The term "fiscal year" means an
22    accounting period of 12 months ending on the last day of
23    any month other than December.
24        (9.5) Fixed place of business. The term "fixed place
25    of business" has the same meaning as that term is given in
26    Section 864 of the Internal Revenue Code and the related

 

 

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1    Treasury regulations.
2        (10) Includes and including. The terms "includes" and
3    "including" when used in a definition contained in this
4    Act shall not be deemed to exclude other things otherwise
5    within the meaning of the term defined.
6        (11) Internal Revenue Code. The term "Internal Revenue
7    Code" means the United States Internal Revenue Code of
8    1954 or any successor law or laws relating to federal
9    income taxes in effect for the taxable year.
10        (11.5) Investment partnership.
11            (A) The term "investment partnership" means any
12        entity that is treated as a partnership for federal
13        income tax purposes that meets the following
14        requirements:
15                (i) no less than 90% of the partnership's cost
16            of its total assets consists of qualifying
17            investment securities, deposits at banks or other
18            financial institutions, and office space and
19            equipment reasonably necessary to carry on its
20            activities as an investment partnership;
21                (ii) no less than 90% of its gross income
22            consists of interest, dividends, and gains from
23            the sale or exchange of qualifying investment
24            securities; and
25                (iii) the partnership is not a dealer in
26            qualifying investment securities.

 

 

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1            (B) For purposes of this paragraph (11.5), the
2        term "qualifying investment securities" includes all
3        of the following:
4                (i) common stock, including preferred or debt
5            securities convertible into common stock, and
6            preferred stock;
7                (ii) bonds, debentures, and other debt
8            securities;
9                (iii) foreign and domestic currency deposits
10            secured by federal, state, or local governmental
11            agencies;
12                (iv) mortgage or asset-backed securities
13            secured by federal, state, or local governmental
14            agencies;
15                (v) repurchase agreements and loan
16            participations;
17                (vi) foreign currency exchange contracts and
18            forward and futures contracts on foreign
19            currencies;
20                (vii) stock and bond index securities and
21            futures contracts and other similar financial
22            securities and futures contracts on those
23            securities;
24                (viii) options for the purchase or sale of any
25            of the securities, currencies, contracts, or
26            financial instruments described in items (i) to

 

 

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1            (vii), inclusive;
2                (ix) regulated futures contracts;
3                (x) commodities (not described in Section
4            1221(a)(1) of the Internal Revenue Code) or
5            futures, forwards, and options with respect to
6            such commodities, provided, however, that any item
7            of a physical commodity to which title is actually
8            acquired in the partnership's capacity as a dealer
9            in such commodity shall not be a qualifying
10            investment security;
11                (xi) derivatives; and
12                (xii) a partnership interest in another
13            partnership that is an investment partnership.
14        (12) Mathematical error. The term "mathematical error"
15    includes the following types of errors, omissions, or
16    defects in a return filed by a taxpayer which prevents
17    acceptance of the return as filed for processing:
18            (A) arithmetic errors or incorrect computations on
19        the return or supporting schedules;
20            (B) entries on the wrong lines;
21            (C) omission of required supporting forms or
22        schedules or the omission of the information in whole
23        or in part called for thereon; and
24            (D) an attempt to claim, exclude, deduct, or
25        improperly report, in a manner directly contrary to
26        the provisions of the Act and regulations thereunder

 

 

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1        any item of income, exemption, deduction, or credit.
2        (13) Nonbusiness income. The term "nonbusiness income"
3    means all income other than business income or
4    compensation.
5        (14) Nonresident. The term "nonresident" means a
6    person who is not a resident.
7        (15) Paid, incurred and accrued. The terms "paid",
8    "incurred" and "accrued" shall be construed according to
9    the method of accounting upon the basis of which the
10    person's base income is computed under this Act.
11        (16) Partnership and partner. The term "partnership"
12    includes a syndicate, group, pool, joint venture or other
13    unincorporated organization, through or by means of which
14    any business, financial operation, or venture is carried
15    on, and which is not, within the meaning of this Act, a
16    trust or estate or a corporation; and the term "partner"
17    includes a member in such syndicate, group, pool, joint
18    venture or organization.
19        The term "partnership" includes any entity, including
20    a limited liability company formed under the Illinois
21    Limited Liability Company Act, classified as a partnership
22    for federal income tax purposes.
23        The term "partnership" does not include a syndicate,
24    group, pool, joint venture, or other unincorporated
25    organization established for the sole purpose of playing
26    the Illinois State Lottery.

 

 

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1        (17) Part-year resident. The term "part-year resident"
2    means an individual who became a resident during the
3    taxable year or ceased to be a resident during the taxable
4    year. Under Section 1501(a)(20)(A)(i) residence commences
5    with presence in this State for other than a temporary or
6    transitory purpose and ceases with absence from this State
7    for other than a temporary or transitory purpose. Under
8    Section 1501(a)(20)(A)(ii) residence commences with the
9    establishment of domicile in this State and ceases with
10    the establishment of domicile in another State.
11        (18) Person. The term "person" shall be construed to
12    mean and include an individual, a trust, estate,
13    partnership, association, firm, company, corporation,
14    limited liability company, or fiduciary. For purposes of
15    Section 1301 and 1302 of this Act, a "person" means (i) an
16    individual, (ii) a corporation, (iii) an officer, agent,
17    or employee of a corporation, (iv) a member, agent or
18    employee of a partnership, or (v) a member, manager,
19    employee, officer, director, or agent of a limited
20    liability company who in such capacity commits an offense
21    specified in Section 1301 and 1302.
22        (18A) Records. The term "records" includes all data
23    maintained by the taxpayer, whether on paper, microfilm,
24    microfiche, or any type of machine-sensible data
25    compilation.
26        (19) Regulations. The term "regulations" includes

 

 

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1    rules promulgated and forms prescribed by the Department.
2        (20) Resident. The term "resident" means:
3            (A) an individual (i) who is in this State for
4        other than a temporary or transitory purpose during
5        the taxable year; or (ii) who is domiciled in this
6        State but is absent from the State for a temporary or
7        transitory purpose during the taxable year;
8            (B) The estate of a decedent who at his or her
9        death was domiciled in this State;
10            (C) A trust created by a will of a decedent who at
11        his death was domiciled in this State; and
12            (D) An irrevocable trust, the grantor of which was
13        domiciled in this State at the time such trust became
14        irrevocable. For purpose of this subparagraph, a trust
15        shall be considered irrevocable to the extent that the
16        grantor is not treated as the owner thereof under
17        Sections 671 through 678 of the Internal Revenue Code.
18        (21) Sales. The term "sales" means all gross receipts
19    of the taxpayer not allocated under Sections 301, 302 and
20    303.
21        (22) State. The term "state" when applied to a
22    jurisdiction other than this State means any state of the
23    United States, the District of Columbia, the Commonwealth
24    of Puerto Rico, any Territory or Possession of the United
25    States, and any foreign country, or any political
26    subdivision of any of the foregoing. For purposes of the

 

 

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1    foreign tax credit under Section 601, the term "state"
2    means any state of the United States, the District of
3    Columbia, the Commonwealth of Puerto Rico, and any
4    territory or possession of the United States, or any
5    political subdivision of any of the foregoing, effective
6    for tax years ending on or after December 31, 1989.
7        (23) Taxable year. The term "taxable year" means the
8    calendar year, or the fiscal year ending during such
9    calendar year, upon the basis of which the base income is
10    computed under this Act. "Taxable year" means, in the case
11    of a return made for a fractional part of a year under the
12    provisions of this Act, the period for which such return
13    is made.
14        (24) Taxpayer. The term "taxpayer" means any person
15    subject to the tax imposed by this Act.
16        (25) International banking facility. The term
17    international banking facility shall have the same meaning
18    as is set forth in the Illinois Banking Act or as is set
19    forth in the laws of the United States or regulations of
20    the Board of Governors of the Federal Reserve System.
21        (26) Income Tax Return Preparer.
22            (A) The term "income tax return preparer" means
23        any person who prepares for compensation, or who
24        employs one or more persons to prepare for
25        compensation, any return of tax imposed by this Act or
26        any claim for refund of tax imposed by this Act. The

 

 

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1        preparation of a substantial portion of a return or
2        claim for refund shall be treated as the preparation
3        of that return or claim for refund.
4            (B) A person is not an income tax return preparer
5        if all he or she does is
6                (i) furnish typing, reproducing, or other
7            mechanical assistance;
8                (ii) prepare returns or claims for refunds for
9            the employer by whom he or she is regularly and
10            continuously employed;
11                (iii) prepare as a fiduciary returns or claims
12            for refunds for any person; or
13                (iv) prepare claims for refunds for a taxpayer
14            in response to any notice of deficiency issued to
15            that taxpayer or in response to any waiver of
16            restriction after the commencement of an audit of
17            that taxpayer or of another taxpayer if a
18            determination in the audit of the other taxpayer
19            directly or indirectly affects the tax liability
20            of the taxpayer whose claims he or she is
21            preparing.
22        (27) Unitary business group.
23            (A) The term "unitary business group" means a
24        group of persons related through common ownership
25        whose business activities are integrated with,
26        dependent upon and contribute to each other. The group

 

 

SB3865 Enrolled- 33 -LRB102 24242 RJF 33473 b

1        will not include those members whose business activity
2        outside the United States is 80% or more of any such
3        member's total business activity; for purposes of this
4        paragraph and clause (a)(3)(B)(ii) of Section 304,
5        business activity within the United States shall be
6        measured by means of the factors ordinarily applicable
7        under subsections (a), (b), (c), (d), or (h) of
8        Section 304 except that, in the case of members
9        ordinarily required to apportion business income by
10        means of the 3 factor formula of property, payroll and
11        sales specified in subsection (a) of Section 304,
12        including the formula as weighted in subsection (h) of
13        Section 304, such members shall not use the sales
14        factor in the computation and the results of the
15        property and payroll factor computations of subsection
16        (a) of Section 304 shall be divided by 2 (by one if
17        either the property or payroll factor has a
18        denominator of zero). The computation required by the
19        preceding sentence shall, in each case, involve the
20        division of the member's property, payroll, or revenue
21        miles in the United States, insurance premiums on
22        property or risk in the United States, or financial
23        organization business income from sources within the
24        United States, as the case may be, by the respective
25        worldwide figures for such items. Common ownership in
26        the case of corporations is the direct or indirect

 

 

SB3865 Enrolled- 34 -LRB102 24242 RJF 33473 b

1        control or ownership of more than 50% of the
2        outstanding voting stock of the persons carrying on
3        unitary business activity. Unitary business activity
4        can ordinarily be illustrated where the activities of
5        the members are: (1) in the same general line (such as
6        manufacturing, wholesaling, retailing of tangible
7        personal property, insurance, transportation or
8        finance); or (2) are steps in a vertically structured
9        enterprise or process (such as the steps involved in
10        the production of natural resources, which might
11        include exploration, mining, refining, and marketing);
12        and, in either instance, the members are functionally
13        integrated through the exercise of strong centralized
14        management (where, for example, authority over such
15        matters as purchasing, financing, tax compliance,
16        product line, personnel, marketing and capital
17        investment is not left to each member).
18            (B) In no event, for taxable years ending prior to
19        December 31, 2017, shall any unitary business group
20        include members which are ordinarily required to
21        apportion business income under different subsections
22        of Section 304 except that for tax years ending on or
23        after December 31, 1987 this prohibition shall not
24        apply to a holding company that would otherwise be a
25        member of a unitary business group with taxpayers that
26        apportion business income under any of subsections

 

 

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1        (b), (c), (c-1), or (d) of Section 304. If a unitary
2        business group would, but for the preceding sentence,
3        include members that are ordinarily required to
4        apportion business income under different subsections
5        of Section 304, then for each subsection of Section
6        304 for which there are two or more members, there
7        shall be a separate unitary business group composed of
8        such members. For purposes of the preceding two
9        sentences, a member is "ordinarily required to
10        apportion business income" under a particular
11        subsection of Section 304 if it would be required to
12        use the apportionment method prescribed by such
13        subsection except for the fact that it derives
14        business income solely from Illinois. As used in this
15        paragraph, for taxable years ending before December
16        31, 2017, the phrase "United States" means only the 50
17        states and the District of Columbia, but does not
18        include any territory or possession of the United
19        States or any area over which the United States has
20        asserted jurisdiction or claimed exclusive rights with
21        respect to the exploration for or exploitation of
22        natural resources. For taxable years ending on or
23        after December 31, 2017, the phrase "United States",
24        as used in this paragraph, means only the 50 states,
25        the District of Columbia, and any area over which the
26        United States has asserted jurisdiction or claimed

 

 

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1        exclusive rights with respect to the exploration for
2        or exploitation of natural resources, but does not
3        include any territory or possession of the United
4        States.
5            (C) Holding companies.
6                (i) For purposes of this subparagraph, a
7            "holding company" is a corporation (other than a
8            corporation that is a financial organization under
9            paragraph (8) of this subsection (a) of Section
10            1501 because it is a bank holding company under
11            the provisions of the Bank Holding Company Act of
12            1956 (12 U.S.C. 1841, et seq.) or because it is
13            owned by a bank or a bank holding company) that
14            owns a controlling interest in one or more other
15            taxpayers ("controlled taxpayers"); that, during
16            the period that includes the taxable year and the
17            2 immediately preceding taxable years or, if the
18            corporation was formed during the current or
19            immediately preceding taxable year, the taxable
20            years in which the corporation has been in
21            existence, derived substantially all its gross
22            income from dividends, interest, rents, royalties,
23            fees or other charges received from controlled
24            taxpayers for the provision of services, and gains
25            on the sale or other disposition of interests in
26            controlled taxpayers or in property leased or

 

 

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1            licensed to controlled taxpayers or used by the
2            taxpayer in providing services to controlled
3            taxpayers; and that incurs no substantial expenses
4            other than expenses (including interest and other
5            costs of borrowing) incurred in connection with
6            the acquisition and holding of interests in
7            controlled taxpayers and in the provision of
8            services to controlled taxpayers or in the leasing
9            or licensing of property to controlled taxpayers.
10                (ii) The income of a holding company which is
11            a member of more than one unitary business group
12            shall be included in each unitary business group
13            of which it is a member on a pro rata basis, by
14            including in each unitary business group that
15            portion of the base income of the holding company
16            that bears the same proportion to the total base
17            income of the holding company as the gross
18            receipts of the unitary business group bears to
19            the combined gross receipts of all unitary
20            business groups (in both cases without regard to
21            the holding company) or on any other reasonable
22            basis, consistently applied.
23                (iii) A holding company shall apportion its
24            business income under the subsection of Section
25            304 used by the other members of its unitary
26            business group. The apportionment factors of a

 

 

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1            holding company which would be a member of more
2            than one unitary business group shall be included
3            with the apportionment factors of each unitary
4            business group of which it is a member on a pro
5            rata basis using the same method used in clause
6            (ii).
7                (iv) The provisions of this subparagraph (C)
8            are intended to clarify existing law.
9            (D) If including the base income and factors of a
10        holding company in more than one unitary business
11        group under subparagraph (C) does not fairly reflect
12        the degree of integration between the holding company
13        and one or more of the unitary business groups, the
14        dependence of the holding company and one or more of
15        the unitary business groups upon each other, or the
16        contributions between the holding company and one or
17        more of the unitary business groups, the holding
18        company may petition the Director, under the
19        procedures provided under Section 304(f), for
20        permission to include all base income and factors of
21        the holding company only with members of a unitary
22        business group apportioning their business income
23        under one subsection of subsections (a), (b), (c), or
24        (d) of Section 304. If the petition is granted, the
25        holding company shall be included in a unitary
26        business group only with persons apportioning their

 

 

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1        business income under the selected subsection of
2        Section 304 until the Director grants a petition of
3        the holding company either to be included in more than
4        one unitary business group under subparagraph (C) or
5        to include its base income and factors only with
6        members of a unitary business group apportioning their
7        business income under a different subsection of
8        Section 304.
9            (E) If the unitary business group members'
10        accounting periods differ, the common parent's
11        accounting period or, if there is no common parent,
12        the accounting period of the member that is expected
13        to have, on a recurring basis, the greatest Illinois
14        income tax liability must be used to determine whether
15        to use the apportionment method provided in subsection
16        (a) or subsection (h) of Section 304. The prohibition
17        against membership in a unitary business group for
18        taxpayers ordinarily required to apportion income
19        under different subsections of Section 304 does not
20        apply to taxpayers required to apportion income under
21        subsection (a) and subsection (h) of Section 304. The
22        provisions of this amendatory Act of 1998 apply to tax
23        years ending on or after December 31, 1998.
24        (28) Subchapter S corporation. The term "Subchapter S
25    corporation" means a corporation for which there is in
26    effect an election under Section 1362 of the Internal

 

 

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1    Revenue Code, or for which there is a federal election to
2    opt out of the provisions of the Subchapter S Revision Act
3    of 1982 and have applied instead the prior federal
4    Subchapter S rules as in effect on July 1, 1982.
5        (30) Foreign person. The term "foreign person" means
6    any person who is a nonresident individual who is a
7    national or citizen of a country other than the United
8    States alien individual and any nonindividual entity,
9    regardless of where created or organized, whose business
10    activity outside the United States is 80% or more of the
11    entity's total business activity.
12    (b) Other definitions.
13        (1) Words denoting number, gender, and so forth, when
14    used in this Act, where not otherwise distinctly expressed
15    or manifestly incompatible with the intent thereof:
16            (A) Words importing the singular include and apply
17        to several persons, parties or things;
18            (B) Words importing the plural include the
19        singular; and
20            (C) Words importing the masculine gender include
21        the feminine as well.
22        (2) "Company" or "association" as including successors
23    and assigns. The word "company" or "association", when
24    used in reference to a corporation, shall be deemed to
25    embrace the words "successors and assigns of such company
26    or association", and in like manner as if these last-named

 

 

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1    words, or words of similar import, were expressed.
2        (3) Other terms. Any term used in any Section of this
3    Act with respect to the application of, or in connection
4    with, the provisions of any other Section of this Act
5    shall have the same meaning as in such other Section.
6(Source: P.A. 99-213, eff. 7-31-15; 100-22, eff. 7-6-17.)
 
7    Section 30. The Counties Code is amended by changing
8Section 3-12007 as follows:
 
9    (55 ILCS 5/3-12007)  (from Ch. 34, par. 3-12007)
10    Sec. 3-12007. Proposed rules for classified service. (a)
11The Director of Personnel shall prepare and submit to the
12commission proposed rules for the classified service. The
13director shall give at least 10 days' notice to the heads of
14all departments or agencies affected and they shall be given
15an opportunity, upon their request, to appear before the
16commission to express their views thereon before action is
17taken by the commission.
18    (b) The rules, as adopted pursuant to subsection (a) of
19Section 3-12005 shall provide for:
20    (1) preparation, maintenance and revision of a position
21classification plan for all positions in the classified
22service, based upon the similarity of duties performed and
23responsibilities assumed, so that the same qualifications may
24reasonably be required and the same schedule of pay may be

 

 

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1applied to all positions in the same class. Each position
2authorized by the Board shall be allocated by the director to
3the proper class and assigned to the appropriate pay range for
4that class.
5    (2) promotion which shall give appropriate consideration
6to the applicant's qualifications, record of performance,
7seniority, and conduct. Vacancies shall be filled by promotion
8whenever practicable and in the best interest of the county
9service, and preference may be given to employees within the
10department in which the vacancy occurs.
11    (3) open competitive examinations to determine the
12relative fitness of applicants for the respective competitive
13positions.
14    (4) competitive selection of employees for all classes in
15the classified service.
16    (5) establishment of lists of eligibles for appointment
17and promotion, upon which lists shall be placed the names of
18successful candidates in the order of their relative
19excellence in the respective examinations. The duration of
20eligible lists for initial appointment shall be for no more
21than one year unless extended by the director for not more than
22one additional year; lists of eligibles for promotion shall be
23maintained for as long as the tests on which they are based are
24considered valid by the director.
25    (6) certification by the director to the appointing
26authorities of not more than the top 5 names from the list of

 

 

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1eligibles for a single vacancy.
2    (7) rejection of candidates who do not comply with
3reasonable job requirements in regard to such factors as age,
4physical condition, training and experience, or who are
5addicted to alcohol or narcotics or have been guilty of
6infamous or disgraceful conduct or are undocumented immigrants
7illegal aliens.
8    (8) periods of probationary employment. During the initial
9probation period following appointment any employee may be
10discharged or demoted without charges or hearing except that
11any applicant or employee, regardless of status, who has
12reason to believe that he/she has been discriminated against
13because of religious opinions or affiliation, or race, sex, or
14national origin in any personnel action may appeal to the
15commission in accordance with the provisions of this Division
16or in appropriate rules established by the commission pursuant
17to subsection (a) of Section 3-12005.
18    (9) provisional employment without competitive
19examinations when there is no appropriate eligible list
20available. No person hired as a provisional employee shall
21continue on the county payroll longer than 6 months per
22calendar year nor shall successive provisional appointments be
23allowed.
24    (10) transfer from a position in one department to a
25position in another department involving similar
26qualifications, duties, responsibilities and salary.

 

 

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1    (11) procedures for authorized reinstatement within one
2year of persons who resign in good standing.
3    (12) layoff by reason of lack of funds or work or abolition
4of the position, or material changes in duties or
5organization, and for the layoff of nontenured employees
6first, and for the reemployment of permanent employees so laid
7off, giving consideration in both layoff and reemployment to
8performance record and seniority in service.
9    (13) keeping records of performance of all employees in
10the classified service.
11    (14) suspension, demotion or dismissal of an employee for
12misconduct, inefficiency, incompetence, insubordination,
13malfeasance or other unfitness to render effective service and
14for the investigation and hearing of appeals of any employee
15recommended for suspension, demotion or dismissal by a
16department head for any of the foregoing reasons.
17    (15) establishment of a plan for resolving employee
18grievances and complaints, including an appeals procedure.
19    (16) hours of work, holidays and attendance regulations,
20and for annual, sick and special leaves of absence, with or
21without pay, or at reduced pay.
22    (17) development of employee morale, safety and training
23programs.
24    (18) establishment of a period of probation, the length of
25which shall be determined by the complexity of the work
26involved, but which shall not exceed one year without special

 

 

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1written approval from the commission.
2    (19) such other rules, not inconsistent with this
3Division, as may be proper and necessary for its enforcement.
4(Source: P.A. 86-962.)
 
5    Section 35. The Metropolitan Water Reclamation District
6Act is amended by changing Section 11.15 as follows:
 
7    (70 ILCS 2605/11.15)  (from Ch. 42, par. 331.15)
8    Sec. 11.15. No person shall be employed upon contracts for
9work to be done by any such sanitary district unless he or she
10is a citizen of the United States, a national of the United
11States under Section 1401 of Title 8 of the United States Code,
12a person an alien lawfully admitted for permanent residence
13under Section 1101 of Title 8 of the United States Code, an
14individual who has been granted asylum under Section 1158 of
15Title 8 of the United States Code, or an individual who is
16otherwise legally authorized to work in the United States.
17(Source: P.A. 98-280, eff. 8-9-13; 99-231, eff. 8-3-15.)
 
18    Section 40. The Board of Higher Education Act is amended
19by changing Section 9.16 as follows:
 
20    (110 ILCS 205/9.16)  (from Ch. 144, par. 189.16)
21    Sec. 9.16. Underrepresentation of certain groups in higher
22education. To require public institutions of higher education

 

 

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1to develop and implement methods and strategies to increase
2the participation of minorities, women and individuals with
3disabilities who are traditionally underrepresented in
4education programs and activities. For the purpose of this
5Section, minorities shall mean persons who are citizens of the
6United States or lawful permanent residents resident aliens of
7the United States and who are any of the following:
8        (1) American Indian or Alaska Native (a person having
9    origins in any of the original peoples of North and South
10    America, including Central America, and who maintains
11    tribal affiliation or community attachment).
12        (2) Asian (a person having origins in any of the
13    original peoples of the Far East, Southeast Asia, or the
14    Indian subcontinent, including, but not limited to,
15    Cambodia, China, India, Japan, Korea, Malaysia, Pakistan,
16    the Philippine Islands, Thailand, and Vietnam).
17        (3) Black or African American (a person having origins
18    in any of the black racial groups of Africa).
19        (4) Hispanic or Latino (a person of Cuban, Mexican,
20    Puerto Rican, South or Central American, or other Spanish
21    culture or origin, regardless of race).
22        (5) Native Hawaiian or Other Pacific Islander (a
23    person having origins in any of the original peoples of
24    Hawaii, Guam, Samoa, or other Pacific Islands).
25    The Board shall adopt any rules necessary to administer
26this Section. The Board shall also do the following:

 

 

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1    (a) require all public institutions of higher education to
2develop and submit plans for the implementation of this
3Section;
4    (b) conduct periodic review of public institutions of
5higher education to determine compliance with this Section;
6and if the Board finds that a public institution of higher
7education is not in compliance with this Section, it shall
8notify the institution of steps to take to attain compliance;
9    (c) provide advice and counsel pursuant to this Section;
10    (d) conduct studies of the effectiveness of methods and
11strategies designed to increase participation of students in
12education programs and activities in which minorities, women
13and individuals with disabilities are traditionally
14underrepresented, and monitor the success of students in such
15education programs and activities;
16    (e) encourage minority student recruitment and retention
17in colleges and universities. In implementing this paragraph,
18the Board shall undertake but need not be limited to the
19following: the establishment of guidelines and plans for
20public institutions of higher education for minority student
21recruitment and retention, the review and monitoring of
22minority student programs implemented at public institutions
23of higher education to determine their compliance with any
24guidelines and plans so established, the determination of the
25effectiveness and funding requirements of minority student
26programs at public institutions of higher education, the

 

 

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1dissemination of successful programs as models, and the
2encouragement of cooperative partnerships between community
3colleges and local school attendance centers which are
4experiencing difficulties in enrolling minority students in
5four-year colleges and universities;
6    (f) mandate all public institutions of higher education to
7submit data and information essential to determine compliance
8with this Section. The Board shall prescribe the format and
9the date for submission of this data and any other education
10equity data; and
11    (g) report to the General Assembly and the Governor
12annually with a description of the plans submitted by each
13public institution of higher education for implementation of
14this Section, including financial data relating to the most
15recent fiscal year expenditures for specific minority
16programs, the effectiveness of such plans and programs and the
17effectiveness of the methods and strategies developed by the
18Board in meeting the purposes of this Section, the degree of
19compliance with this Section by each public institution of
20higher education as determined by the Board pursuant to its
21periodic review responsibilities, and the findings made by the
22Board in conducting its studies and monitoring student success
23as required by paragraph d) of this Section. With respect to
24each public institution of higher education such report also
25shall include, but need not be limited to, information with
26respect to each institution's minority program budget

 

 

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1allocations; minority student admission, retention and
2graduation statistics; admission, retention, and graduation
3statistics of all students who are the first in their
4immediate family to attend an institution of higher education;
5number of financial assistance awards to undergraduate and
6graduate minority students; and minority faculty
7representation. This paragraph shall not be construed to
8prohibit the Board from making, preparing or issuing
9additional surveys or studies with respect to minority
10education in Illinois.
11(Source: P.A. 102-465, eff. 1-1-22.)
 
12    Section 45. The Dental Student Grant Act is amended by
13changing Section 3.06 as follows:
 
14    (110 ILCS 925/3.06)  (from Ch. 144, par. 1503.06)
15    Sec. 3.06. "Eligible dental student" means a person who
16meets all of the following qualifications:
17    (a) That the individual is a resident of this State and a
18citizen or lawful permanent resident alien of the United
19States;
20    (b) That the individual has been accepted in a dental
21school located in Illinois;
22    (c) That the individual exhibits financial need as
23determined by the Department;
24    (d) That the individual has earned an educational diploma

 

 

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1at an institution of education located in this State or has
2been a resident of the State for no less than 3 years prior to
3applying for the grant;
4    (e) That the individual is a member of a racial minority as
5defined in Section 3.07; and
6    (f) That the individual meets other qualifications which
7shall be established by the Department.
8(Source: P.A. 87-665.)
 
9    Section 50. The Diversifying Higher Education Faculty in
10Illinois Act is amended by changing Sections 2 and 7 as
11follows:
 
12    (110 ILCS 930/2)  (from Ch. 144, par. 2302)
13    Sec. 2. Definitions. As used in this Act, unless the
14context otherwise requires:
15    "Board" means the Board of Higher Education.
16    "DFI" means the Diversifying Higher Education Faculty in
17Illinois Program of financial assistance to minorities who are
18traditionally underrepresented as participants in
19postsecondary education. The program shall assist them in
20pursuing a graduate or professional degree and shall also
21assist program graduates to find employment at an Illinois
22institution of higher education, including a community
23college, in a faculty or staff position.
24    "Program Board" means the entity created to administer the

 

 

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1grant program authorized by this Act.
2    "Qualified institution of higher education" means a
3qualifying publicly or privately operated educational
4institution located within Illinois (i) that offers
5instruction leading toward or prerequisite to an academic or
6professional degree beyond the baccalaureate degree, excluding
7theological schools, and (ii) that is authorized to operate in
8the State of Illinois.
9    "Racial minority" means a person who is a citizen of the
10United States or a lawful permanent resident alien of the
11United States and who is any of the following:
12        (1) American Indian or Alaska Native (a person having
13    origins in any of the original peoples of North and South
14    America, including Central America, and who maintains
15    tribal affiliation or community attachment).
16        (2) Asian (a person having origins in any of the
17    original peoples of the Far East, Southeast Asia, or the
18    Indian subcontinent, including, but not limited to,
19    Cambodia, China, India, Japan, Korea, Malaysia, Pakistan,
20    the Philippine Islands, Thailand, and Vietnam).
21        (3) Black or African American (a person having origins
22    in any of the black racial groups of Africa).
23        (4) Hispanic or Latino (a person of Cuban, Mexican,
24    Puerto Rican, South or Central American, or other Spanish
25    culture or origin, regardless of race).
26        (5) Native Hawaiian or Other Pacific Islander (a

 

 

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1    person having origins in any of the original peoples of
2    Hawaii, Guam, Samoa, or other Pacific Islands).
3(Source: P.A. 102-465, eff. 1-1-22.)
 
4    (110 ILCS 930/7)  (from Ch. 144, par. 2307)
5    Sec. 7. Eligibility for DFI grants. An individual is
6eligible for an award under the provisions of this Act when the
7Program Board finds:
8        (a) That the individual is a resident of this State
9    and a citizen or lawful permanent resident alien of the
10    United States;
11        (b) That the individual is a member of a racial
12    minority as defined under the terms of this Act;
13        (c) That the individual has earned any educational
14    diploma at an institution of education located in this
15    State, or is a resident of the State for no less than three
16    years prior to applying for the grant, and the individual
17    must hold a baccalaureate degree from an institution of
18    higher learning;
19        (d) That the individual's financial resources are such
20    that, in the absence of a DFI grant, the individual will be
21    prevented from pursuing a graduate or professional degree
22    at a qualified institution of higher education of his or
23    her choice;
24        (e) That the individual has above average academic
25    ability to pursue a graduate or professional degree; and

 

 

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1        (f) That the individual meets other qualifications
2    which shall be established by the Program Board.
3    Grant funds shall be awarded only to those persons
4pursuing a graduate or professional degree program at a
5qualified institution of higher education.
6    The Board shall by rule promulgate, pursuant to the
7Illinois Administrative Procedure Act, precise standards to be
8used by the Program Board to determine whether a program
9applicant has above average academic ability to pursue a
10graduate or professional degree.
11(Source: P.A. 93-862, eff. 8-4-04.)
 
12    Section 55. The Higher Education Student Assistance Act is
13amended by changing Sections 65.50 and 65.110 as follows:
 
14    (110 ILCS 947/65.50)
15    Sec. 65.50. Teacher training full-time undergraduate
16scholarships.
17    (a) Five hundred new scholarships shall be provided each
18year for qualified high school students or high school
19graduates who desire to pursue full-time undergraduate studies
20in teacher education at public or private universities or
21colleges and community colleges in this State. The Commission,
22in accordance with rules and regulations promulgated for this
23program, shall provide funding and shall designate each year's
24new recipients from among those applicants who qualify for

 

 

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1consideration by showing:
2        (1) that he or she is a resident of this State and a
3    citizen or a lawful permanent resident alien of the United
4    States;
5        (2) that he or she has successfully completed the
6    program of instruction at an approved high school or is a
7    student in good standing at such a school and is engaged in
8    a program that will be completed by the end of the academic
9    year, and in either event that his or her cumulative grade
10    average was or is in the upper 1/4 of the high school
11    class;
12        (3) that he or she has superior capacity to profit by a
13    higher education; and
14        (4) that he or she agrees to teach in Illinois schools
15    in accordance with subsection (b).
16    No rule or regulation promulgated by the State Board of
17Education prior to the effective date of this amendatory Act
18of 1993 pursuant to the exercise of any right, power, duty,
19responsibility or matter of pending business transferred from
20the State Board of Education to the Commission under this
21Section shall be affected thereby, and all such rules and
22regulations shall become the rules and regulations of the
23Commission until modified or changed by the Commission in
24accordance with law.
25    If in any year the number of qualified applicants exceeds
26the number of scholarships to be awarded, the Commission shall

 

 

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1give priority in awarding scholarships to students in
2financial need. The Commission shall consider factors such as
3the applicant's family income, the size of the applicant's
4family and the number of other children in the applicant's
5family attending college in determining the financial need of
6the individual.
7    Unless otherwise indicated, these scholarships shall be
8good for a period of up to 4 years while the recipient is
9enrolled for residence credit at a public or private
10university or college or at a community college. The
11scholarship shall cover tuition, fees and a stipend of $1,500
12per year. For purposes of calculating scholarship awards for
13recipients attending private universities or colleges, tuition
14and fees for students at private colleges and universities
15shall not exceed the average tuition and fees for students at
164-year public colleges and universities for the academic year
17in which the scholarship is made.
18    (b) Upon graduation from or termination of enrollment in a
19teacher education program, any person who accepted a
20scholarship under the undergraduate scholarship program
21continued by this Section, including persons whose graduation
22or termination of enrollment occurred prior to the effective
23date of this amendatory Act of 1993, shall teach in any school
24in this State for at least 4 of the 7 years immediately
25following his or her graduation or termination. If the
26recipient spends up to 4 years in military service before or

 

 

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1after he or she graduates, the period of military service
2shall be excluded from the computation of that 7 year period. A
3recipient who is enrolled full-time in an academic program
4leading to a graduate degree in education shall have the
5period of graduate study excluded from the computation of that
67 year period.
7    Any person who fails to fulfill the teaching requirement
8shall pay to the Commission an amount equal to one-fourth of
9the scholarship received for each unfulfilled year of the
104-year teaching requirement, together with interest at 8% per
11year on that amount. However, this obligation to repay does
12not apply when the failure to fulfill the teaching requirement
13results from involuntarily leaving the profession due to a
14decrease in the number of teachers employed by the school
15board or a discontinuation of a type of teaching service under
16Section 24-12 of the School Code or from the death or
17adjudication as incompetent of the person holding the
18scholarship. No claim for repayment may be filed against the
19estate of such a decedent or incompetent.
20    Each person applying for such a scholarship shall be
21provided with a copy of this subsection at the time he or she
22applies for the benefits of such scholarship.
23    (c) This Section is substantially the same as Sections
2430-14.5 and 30-14.6 of the School Code, which are repealed by
25this amendatory Act of 1993, and shall be construed as a
26continuation of the teacher training undergraduate scholarship

 

 

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1program established by that prior law, and not as a new or
2different teacher training undergraduate scholarship program.
3The State Board of Education shall transfer to the Commission,
4as the successor to the State Board of Education for all
5purposes of administering and implementing the provisions of
6this Section, all books, accounts, records, papers, documents,
7contracts, agreements, and pending business in any way
8relating to the teacher training undergraduate scholarship
9program continued under this Section, and all scholarships at
10any time awarded under that program by, and all applications
11for any such scholarship at any time made to, the State Board
12of Education shall be unaffected by the transfer to the
13Commission of all responsibility for the administration and
14implementation of the teacher training undergraduate
15scholarship program continued under this Section. The State
16Board of Education shall furnish to the Commission such other
17information as the Commission may request to assist it in
18administering this Section.
19(Source: P.A. 88-228.)
 
20    (110 ILCS 947/65.110)
21    Sec. 65.110. Post-Master of Social Work School Social Work
22Professional Educator License scholarship.
23    (a) Subject to appropriation, beginning with awards for
24the 2022-2023 academic year, the Commission shall award
25annually up to 250 Post-Master of Social Work School Social

 

 

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1Work Professional Educator License scholarships to a person
2who:
3        (1) holds a valid Illinois-licensed clinical social
4    work license or social work license;
5        (2) has obtained a master's degree in social work from
6    an approved program;
7        (3) is a United States citizen or eligible noncitizen;
8    and
9        (4) submits an application to the Commission for such
10    scholarship and agrees to take courses to obtain an
11    Illinois Professional Educator License with an endorsement
12    in School Social Work.
13    (b) If an appropriation for this Section for a given
14fiscal year is insufficient to provide scholarships to all
15qualified applicants, the Commission shall allocate the
16appropriation in accordance with this subsection (b). If funds
17are insufficient to provide all qualified applicants with a
18scholarship as authorized by this Section, the Commission
19shall allocate the available scholarship funds for that fiscal
20year to qualified applicants who submit a complete application
21on or before a date specified by the Commission, based on the
22following order of priority:
23        (1) firstly, to students who received a scholarship
24    under this Section in the prior academic year and who
25    remain eligible for a scholarship under this Section;
26        (2) secondly, to new, qualified applicants who are

 

 

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1    members of a racial minority, as defined in subsection
2    (c); and
3        (3) finally, to other new, qualified applicants in
4    accordance with this Section.
5    (c) Scholarships awarded under this Section shall be
6issued pursuant to rules adopted by the Commission. In
7awarding scholarships, the Commission shall give priority to
8those applicants who are members of a racial minority. Racial
9minorities are underrepresented as school social workers in
10elementary and secondary schools in this State, and the
11General Assembly finds that it is in the interest of this State
12to provide them with priority consideration for programs that
13encourage their participation in this field and thereby foster
14a profession that is more reflective of the diversity of
15Illinois students and the parents they will serve. A more
16reflective workforce in school social work allows improved
17outcomes for students and a better utilization of services.
18Therefore, the Commission shall give priority to those
19applicants who are members of a racial minority. In this
20subsection (c), "racial minority" means a person who is a
21citizen of the United States or a lawful permanent resident
22alien of the United States and who is:
23        (1) Black (a person having origins in any of the black
24    racial groups in Africa);
25        (2) Hispanic (a person of Spanish or Portuguese
26    culture with origins in Mexico, South or Central America,

 

 

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1    or the Caribbean Islands, regardless of race);
2        (3) Asian American (a person having origins in any of
3    the original peoples of the Far East, Southeast Asia, the
4    Indian Subcontinent, or the Pacific Islands); or
5        (4) American Indian or Alaskan Native (a person having
6    origins in any of the original peoples of North America).
7    (d) Each scholarship shall be applied to the payment of
8tuition and mandatory fees at the University of Illinois,
9Southern Illinois University, Chicago State University,
10Eastern Illinois University, Governors State University,
11Illinois State University, Northeastern Illinois University,
12Northern Illinois University, and Western Illinois University.
13Each scholarship may be applied to pay tuition and mandatory
14fees required to obtain an Illinois Professional Educator
15License with an endorsement in School Social Work.
16    (e) The Commission shall make tuition and fee payments
17directly to the qualified institution of higher learning that
18the applicant attends.
19    (f) Any person who has accepted a scholarship under this
20Section must, within one year after graduation or termination
21of enrollment in a Post-Master of Social Work Professional
22Education License with an endorsement in School Social Work
23program, begin working as a school social worker at a public or
24nonpublic not-for-profit preschool, elementary school, or
25secondary school located in this State for at least 2 of the 5
26years immediately following that graduation or termination,

 

 

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1excluding, however, from the computation of that 5-year
2period: (i) any time up to 3 years spent in the military
3service, whether such service occurs before or after the
4person graduates; (ii) the time that person is a person with a
5temporary total disability for a period of time not to exceed 3
6years, as established by the sworn affidavit of a qualified
7physician; and (iii) the time that person is seeking and
8unable to find full-time employment as a school social worker
9at a State public or nonpublic not-for-profit preschool,
10elementary school, or secondary school.
11    (g) If a recipient of a scholarship under this Section
12fails to fulfill the work obligation set forth in subsection
13(f), the Commission shall require the recipient to repay the
14amount of the scholarships received, prorated according to the
15fraction of the obligation not completed, at a rate of
16interest equal to 5%, and, if applicable, reasonable
17collection fees. The Commission is authorized to establish
18rules relating to its collection activities for repayment of
19scholarships under this Section. All repayments collected
20under this Section shall be forwarded to the State Comptroller
21for deposit into this State's General Revenue Fund.
22    A recipient of a scholarship under this Section is not
23considered to be in violation of the failure to fulfill the
24work obligation under subsection (f) if the recipient (i)
25enrolls on a full-time basis as a graduate student in a course
26of study related to the field of social work at a qualified

 

 

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1Illinois institution of higher learning; (ii) is serving, not
2in excess of 3 years, as a member of the armed services of the
3United States; (iii) is a person with a temporary total
4disability for a period of time not to exceed 3 years, as
5established by the sworn affidavit of a qualified physician;
6(iv) is seeking and unable to find full-time employment as a
7school social worker at an Illinois public or nonpublic
8not-for-profit preschool, elementary school, or secondary
9school that satisfies the criteria set forth in subsection (f)
10and is able to provide evidence of that fact; or (v) becomes a
11person with a permanent total disability, as established by
12the sworn affidavit of a qualified physician.
13(Source: P.A. 102-621, eff. 1-1-22.)
 
14    Section 60. The Mental Health Graduate Education
15Scholarship Act is amended by changing Section 20 as follows:
 
16    (110 ILCS 952/20)
17    Sec. 20. Scholarships.
18    (a) Beginning with the fall term of the 2009-2010 academic
19year, the Department, in accordance with rules adopted by it
20for this program, shall provide scholarships to individuals
21selected from among those applicants who qualify for
22consideration by showing all of the following:
23        (1) That the individual has been a resident of this
24    State for at least one year prior to application and is a

 

 

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1    citizen or a lawful permanent resident alien of the United
2    States.
3        (2) That the individual enrolled in or accepted into a
4    mental health graduate program at an approved institution.
5        (3) That the individual agrees to meet the mental
6    health employment obligation.
7    (b) If in any year the number of qualified applicants
8exceeds the number of scholarships to be awarded, the
9Department shall, in consultation with the Advisory Council,
10consider the following factors in granting priority in
11awarding scholarships:
12        (1) Financial need, as shown on a standardized
13    financial needs assessment form used by an approved
14    institution.
15        (2) A student's merit, as shown through his or her
16    grade point average, class rank, and other academic and
17    extracurricular activities.
18The Department may add to and further define these merit
19criteria by rule.
20    (c) Unless otherwise indicated, scholarships shall be
21awarded to recipients at approved institutions for a period of
22up to 2 years if the recipient is enrolled in a master's degree
23program and up to 4 years if the recipient is enrolled in a
24doctoral degree program.
25(Source: P.A. 96-672, eff. 8-25-09.)
 

 

 

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1    Section 65. The Nursing Education Scholarship Law is
2amended by changing Sections 5 and 6.5 as follows:
 
3    (110 ILCS 975/5)  (from Ch. 144, par. 2755)
4    Sec. 5. Nursing education scholarships. Beginning with the
5fall term of the 2004-2005 academic year, the Department, in
6accordance with rules and regulations promulgated by it for
7this program, shall provide scholarships to individuals
8selected from among those applicants who qualify for
9consideration by showing:
10        (1) that he or she has been a resident of this State
11    for at least one year prior to application, and is a
12    citizen or a lawful permanent resident alien of the United
13    States;
14        (2) that he or she is enrolled in or accepted for
15    admission to an associate degree in nursing program,
16    hospital-based diploma in nursing program, baccalaureate
17    degree in nursing program, graduate degree in nursing
18    program, or practical nursing program at an approved
19    institution; and
20        (3) that he or she agrees to meet the nursing
21    employment obligation.
22    If in any year the number of qualified applicants exceeds
23the number of scholarships to be awarded, the Department
24shall, in consultation with the Illinois Nursing Workforce
25Center Advisory Board, consider the following factors in

 

 

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1granting priority in awarding scholarships:
2            (A) Financial need, as shown on a standardized
3        financial needs assessment form used by an approved
4        institution, of students who will pursue their
5        education on a full-time or close to full-time basis
6        and who already have a certificate in practical
7        nursing, a diploma in nursing, or an associate degree
8        in nursing and are pursuing a higher degree.
9            (B) A student's status as a registered nurse who
10        is pursuing a graduate degree in nursing to pursue
11        employment in an approved institution that educates
12        licensed practical nurses and that educates registered
13        nurses in undergraduate and graduate nursing programs.
14            (C) A student's merit, as shown through his or her
15        grade point average, class rank, and other academic
16        and extracurricular activities. The Department may add
17        to and further define these merit criteria by rule.
18    Unless otherwise indicated, scholarships shall be awarded
19to recipients at approved institutions for a period of up to 2
20years if the recipient is enrolled in an associate degree in
21nursing program, up to 3 years if the recipient is enrolled in
22a hospital-based diploma in nursing program, up to 4 years if
23the recipient is enrolled in a baccalaureate degree in nursing
24program, up to 5 years if the recipient is enrolled in a
25graduate degree in nursing program, and up to one year if the
26recipient is enrolled in a certificate in practical nursing

 

 

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1program. At least 40% of the scholarships awarded shall be for
2recipients who are pursuing baccalaureate degrees in nursing,
330% of the scholarships awarded shall be for recipients who
4are pursuing associate degrees in nursing or a diploma in
5nursing, 10% of the scholarships awarded shall be for
6recipients who are pursuing a certificate in practical
7nursing, and 20% of the scholarships awarded shall be for
8recipients who are pursuing a graduate degree in nursing.
9    Beginning with the fall term of the 2021-2022 academic
10year and continuing through the 2024-2025 academic year,
11subject to appropriation from the Hospital Licensure Fund, in
12addition to any other funds available to the Department for
13such scholarships, the Department may award a total of
14$500,000 annually in scholarships under this Section.
15(Source: P.A. 102-641, eff. 8-27-21.)
 
16    (110 ILCS 975/6.5)
17    Sec. 6.5. Nurse educator scholarships.
18    (a) Beginning with the fall term of the 2009-2010 academic
19year, the Department shall provide scholarships to individuals
20selected from among those applicants who qualify for
21consideration by showing the following:
22        (1) that he or she has been a resident of this State
23    for at least one year prior to application and is a citizen
24    or a lawful permanent resident alien of the United States;
25        (2) that he or she is enrolled in or accepted for

 

 

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1    admission to a graduate degree in nursing program at an
2    approved institution; and
3        (3) that he or she agrees to meet the nurse educator
4    employment obligation.
5    (b) If in any year the number of qualified applicants
6exceeds the number of scholarships to be awarded under this
7Section, the Department shall, in consultation with the
8Illinois Nursing Workforce Center Advisory Board, consider the
9following factors in granting priority in awarding
10scholarships:
11        (1) Financial need, as shown on a standardized
12    financial needs assessment form used by an approved
13    institution, of students who will pursue their education
14    on a full-time or close to full-time basis and who already
15    have a diploma in nursing and are pursuing a higher
16    degree.
17        (2) A student's status as a registered nurse who is
18    pursuing a graduate degree in nursing to pursue employment
19    in an approved institution that educates licensed
20    practical nurses and that educates registered nurses in
21    undergraduate and graduate nursing programs.
22        (3) A student's merit, as shown through his or her
23    grade point average, class rank, experience as a nurse,
24    including supervisory experience, experience as a nurse in
25    the United States military, and other academic and
26    extracurricular activities.

 

 

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1    (c) Unless otherwise indicated, scholarships under this
2Section shall be awarded to recipients at approved
3institutions for a period of up to 3 years.
4    (d) Within 12 months after graduation from a graduate
5degree in nursing program for nurse educators, any recipient
6who accepted a scholarship under this Section shall begin
7meeting the required nurse educator employment obligation. In
8order to defer his or her continuous employment obligation, a
9recipient must request the deferment in writing from the
10Department. A recipient shall receive a deferment if he or she
11notifies the Department, within 30 days after enlisting, that
12he or she is spending up to 4 years in military service. A
13recipient shall receive a deferment if he or she notifies the
14Department, within 30 days after enrolling, that he or she is
15enrolled in an academic program leading to a graduate degree
16in nursing. The recipient must begin meeting the required
17nurse educator employment obligation no later than 6 months
18after the end of the deferment or deferments.
19    Any person who fails to fulfill the nurse educator
20employment obligation shall pay to the Department an amount
21equal to the amount of scholarship funds received per year for
22each unfulfilled year of the nurse educator employment
23obligation, together with interest at 7% per year on the
24unpaid balance. Payment must begin within 6 months following
25the date of the occurrence initiating the repayment. All
26repayments must be completed within 6 years from the date of

 

 

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1the occurrence initiating the repayment. However, this
2repayment obligation may be deferred and re-evaluated every 6
3months when the failure to fulfill the nurse educator
4employment obligation results from involuntarily leaving the
5profession due to a decrease in the number of nurses employed
6in this State or when the failure to fulfill the nurse educator
7employment obligation results from total and permanent
8disability. The repayment obligation shall be excused if the
9failure to fulfill the nurse educator employment obligation
10results from the death or adjudication as incompetent of the
11person holding the scholarship. No claim for repayment may be
12filed against the estate of such a decedent or incompetent.
13    The Department may allow a nurse educator employment
14obligation fulfillment alternative if the nurse educator
15scholarship recipient is unsuccessful in finding work as a
16nurse educator. The Department shall maintain a database of
17all available nurse educator positions in this State.
18    (e) Each person applying for a scholarship under this
19Section must be provided with a copy of this Section at the
20time of application for the benefits of this scholarship.
21    (f) Rulemaking authority to implement this amendatory Act
22of the 96th General Assembly, if any, is conditioned on the
23rules being adopted in accordance with all provisions of the
24Illinois Administrative Procedure Act and all rules and
25procedures of the Joint Committee on Administrative Rules; any
26purported rule not so adopted, for whatever reason, is

 

 

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1unauthorized.
2(Source: P.A. 100-513, eff. 1-1-18.)
 
3    Section 70. The Comprehensive Health Insurance Plan Act is
4amended by changing Section 7 as follows:
 
5    (215 ILCS 105/7)  (from Ch. 73, par. 1307)
6    Sec. 7. Eligibility.
7    a. Except as provided in subsection (e) of this Section or
8in Section 15 of this Act, any person who is either a citizen
9of the United States or an individual an alien lawfully
10admitted for permanent residence and who has been for a period
11of at least 180 days and continues to be a resident of this
12State shall be eligible for Plan coverage under this Section
13if evidence is provided of:
14        (1) A notice of rejection or refusal to issue
15    substantially similar individual health insurance coverage
16    for health reasons by a health insurance issuer;
17        (2) A refusal by a health insurance issuer to issue
18    individual health insurance coverage except at a rate
19    exceeding the applicable Plan rate for which the person is
20    responsible; or
21        (3) The absence of available health insurance coverage
22    for a person under 19 years of age.
23    A rejection or refusal by a group health plan or health
24insurance issuer offering only stop-loss or excess of loss

 

 

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1insurance or contracts, agreements, or other arrangements for
2reinsurance coverage with respect to the applicant shall not
3be sufficient evidence under this subsection.
4    b. The Board shall promulgate a list of medical or health
5conditions for which a person who is either a citizen of the
6United States or an individual an alien lawfully admitted for
7permanent residence and a resident of this State would be
8eligible for Plan coverage without applying for health
9insurance coverage pursuant to subsection a. of this Section.
10Persons who can demonstrate the existence or history of any
11medical or health conditions on the list promulgated by the
12Board shall not be required to provide the evidence specified
13in subsection a. of this Section. The list shall be effective
14on the first day of the operation of the Plan and may be
15amended from time to time as appropriate.
16    c. Family members of the same household who each are
17covered persons are eligible for optional family coverage
18under the Plan.
19    d. For persons qualifying for coverage in accordance with
20Section 7 of this Act, the Board shall, if it determines that
21such appropriations as are made pursuant to Section 12 of this
22Act are insufficient to allow the Board to accept all of the
23eligible persons which it projects will apply for enrollment
24under the Plan, limit or close enrollment to ensure that the
25Plan is not over-subscribed and that it has sufficient
26resources to meet its obligations to existing enrollees. The

 

 

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1Board shall not limit or close enrollment for federally
2eligible individuals.
3    e. A person shall not be eligible for coverage under the
4Plan if:
5        (1) He or she has or obtains other coverage under a
6    group health plan or health insurance coverage
7    substantially similar to or better than a Plan policy as
8    an insured or covered dependent or would be eligible to
9    have that coverage if he or she elected to obtain it.
10    Persons otherwise eligible for Plan coverage may, however,
11    solely for the purpose of having coverage for a
12    pre-existing condition, maintain other coverage only while
13    satisfying any pre-existing condition waiting period under
14    a Plan policy or a subsequent replacement policy of a Plan
15    policy.
16        (1.1) His or her prior coverage under a group health
17    plan or health insurance coverage, provided or arranged by
18    an employer of more than 10 employees was discontinued for
19    any reason without the entire group or plan being
20    discontinued and not replaced, provided he or she remains
21    an employee, or dependent thereof, of the same employer.
22        (2) He or she is a recipient of or is approved to
23    receive medical assistance, except that a person may
24    continue to receive medical assistance through the medical
25    assistance no grant program, but only while satisfying the
26    requirements for a preexisting condition under Section 8,

 

 

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1    subsection f. of this Act. Payment of premiums pursuant to
2    this Act shall be allocable to the person's spenddown for
3    purposes of the medical assistance no grant program, but
4    that person shall not be eligible for any Plan benefits
5    while that person remains eligible for medical assistance.
6    If the person continues to receive or be approved to
7    receive medical assistance through the medical assistance
8    no grant program at or after the time that requirements
9    for a preexisting condition are satisfied, the person
10    shall not be eligible for coverage under the Plan. In that
11    circumstance, coverage under the Plan shall terminate as
12    of the expiration of the preexisting condition limitation
13    period. Under all other circumstances, coverage under the
14    Plan shall automatically terminate as of the effective
15    date of any medical assistance.
16        (3) Except as provided in Section 15, the person has
17    previously participated in the Plan and voluntarily
18    terminated Plan coverage, unless 12 months have elapsed
19    since the person's latest voluntary termination of
20    coverage.
21        (4) The person fails to pay the required premium under
22    the covered person's terms of enrollment and
23    participation, in which event the liability of the Plan
24    shall be limited to benefits incurred under the Plan for
25    the time period for which premiums had been paid and the
26    covered person remained eligible for Plan coverage.

 

 

SB3865 Enrolled- 74 -LRB102 24242 RJF 33473 b

1        (5) The Plan has paid a total of $5,000,000 in
2    benefits on behalf of the covered person.
3        (6) The person is a resident of a public institution.
4        (7) The person's premium is paid for or reimbursed
5    under any government sponsored program or by any
6    government agency or health care provider, except as an
7    otherwise qualifying full-time employee, or dependent of
8    such employee, of a government agency or health care
9    provider or, except when a person's premium is paid by the
10    U.S. Treasury Department pursuant to the federal Trade Act
11    of 2002.
12        (8) The person has or later receives other benefits or
13    funds from any settlement, judgement, or award resulting
14    from any accident or injury, regardless of the date of the
15    accident or injury, or any other circumstances creating a
16    legal liability for damages due that person by a third
17    party, whether the settlement, judgment, or award is in
18    the form of a contract, agreement, or trust on behalf of a
19    minor or otherwise and whether the settlement, judgment,
20    or award is payable to the person, his or her dependent,
21    estate, personal representative, or guardian in a lump sum
22    or over time, so long as there continues to be benefits or
23    assets remaining from those sources in an amount in excess
24    of $300,000.
25        (9) Within the 5 years prior to the date a person's
26    Plan application is received by the Board, the person's

 

 

SB3865 Enrolled- 75 -LRB102 24242 RJF 33473 b

1    coverage under any health care benefit program as defined
2    in 18 U.S.C. 24, including any public or private plan or
3    contract under which any medical benefit, item, or service
4    is provided, was terminated as a result of any act or
5    practice that constitutes fraud under State or federal law
6    or as a result of an intentional misrepresentation of
7    material fact; or if that person knowingly and willfully
8    obtained or attempted to obtain, or fraudulently aided or
9    attempted to aid any other person in obtaining, any
10    coverage or benefits under the Plan to which that person
11    was not entitled.
12    f. The Board or the administrator shall require
13verification of residency and may require any additional
14information or documentation, or statements under oath, when
15necessary to determine residency upon initial application and
16for the entire term of the policy.
17    g. Coverage shall cease (i) on the date a person is no
18longer a resident of Illinois, (ii) on the date a person
19requests coverage to end, (iii) upon the death of the covered
20person, (iv) on the date State law requires cancellation of
21the policy, or (v) at the Plan's option, 30 days after the Plan
22makes any inquiry concerning a person's eligibility or place
23of residence to which the person does not reply.
24    h. Except under the conditions set forth in subsection g
25of this Section, the coverage of any person who ceases to meet
26the eligibility requirements of this Section shall be

 

 

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1terminated at the end of the current policy period for which
2the necessary premiums have been paid.
3(Source: P.A. 96-938, eff. 6-24-10; 97-661, eff. 1-13-12.)
 
4    Section 75. The Hearing Instrument Consumer Protection Act
5is amended by changing Section 8 as follows:
 
6    (225 ILCS 50/8)  (from Ch. 111, par. 7408)
7    (Section scheduled to be repealed on January 1, 2026)
8    Sec. 8. Applicant qualifications; examination.
9    (a) In order to protect persons who are deaf or hard of
10hearing, the Department shall authorize or shall conduct an
11appropriate examination, which may be the International
12Hearing Society's licensure examination, for persons who
13dispense, test, select, recommend, fit, or service hearing
14instruments. The frequency of holding these examinations shall
15be determined by the Department by rule. Those who
16successfully pass such an examination shall be issued a
17license as a hearing instrument dispenser, which shall be
18effective for a 2-year period.
19    (b) Applicants shall be:
20        (1) at least 18 years of age;
21        (2) of good moral character;
22        (3) the holder of an associate's degree or the
23    equivalent;
24        (4) free of contagious or infectious disease; and

 

 

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1        (5) a citizen or person lawfully present in the United
2    States person who has the status as a legal alien.
3    Felony convictions of the applicant and findings against
4the applicant involving matters set forth in Sections 17 and
518 shall be considered in determining moral character, but
6such a conviction or finding shall not make an applicant
7ineligible to register for examination.
8    (c) Prior to engaging in the practice of fitting,
9dispensing, or servicing hearing instruments, an applicant
10shall demonstrate, by means of written and practical
11examinations, that such person is qualified to practice the
12testing, selecting, recommending, fitting, selling, or
13servicing of hearing instruments as defined in this Act. An
14applicant must obtain a license within 12 months after passing
15either the written or practical examination, whichever is
16passed first, or must take and pass those examinations again
17in order to be eligible to receive a license.
18    The Department shall, by rule, determine the conditions
19under which an individual is examined.
20    (d) Proof of having met the minimum requirements of
21continuing education as determined by the Board shall be
22required of all license renewals. Pursuant to rule, the
23continuing education requirements may, upon petition to the
24Board, be waived in whole or in part if the hearing instrument
25dispenser can demonstrate that he or she served in the Coast
26Guard or Armed Forces, had an extreme hardship, or obtained

 

 

SB3865 Enrolled- 78 -LRB102 24242 RJF 33473 b

1his or her license by examination or endorsement within the
2preceding renewal period.
3    (e) Persons applying for an initial license must
4demonstrate having earned, at a minimum, an associate degree
5or its equivalent from an accredited institution of higher
6education that is recognized by the U.S. Department of
7Education or that meets the U.S. Department of Education
8equivalency as determined through a National Association of
9Credential Evaluation Services (NACES) member, and meet the
10other requirements of this Section. In addition, the applicant
11must demonstrate the successful completion of (1) 12 semester
12hours or 18 quarter hours of academic undergraduate course
13work in an accredited institution consisting of 3 semester
14hours of anatomy and physiology of the hearing mechanism, 3
15semester hours of hearing science, 3 semester hours of
16introduction to audiology, and 3 semester hours of aural
17rehabilitation, or the quarter hour equivalent or (2) an
18equivalent program as determined by the Department that is
19consistent with the scope of practice of a hearing instrument
20dispenser as defined in Section 3 of this Act. Persons
21licensed before January 1, 2003 who have a valid license on
22that date may have their license renewed without meeting the
23requirements of this subsection.
24(Source: P.A. 98-827, eff. 1-1-15; 99-204, eff. 7-30-15;
2599-847, eff. 8-19-16.)
 

 

 

SB3865 Enrolled- 79 -LRB102 24242 RJF 33473 b

1    Section 80. The Illinois Public Aid Code is amended by
2changing Section 5-3 as follows:
 
3    (305 ILCS 5/5-3)  (from Ch. 23, par. 5-3)
4    Sec. 5-3. Residence.) Any person who has established his
5residence in this State and lives therein, including any
6person who is a migrant worker, may qualify for medical
7assistance. A person who, while temporarily in this State,
8suffers injury or illness endangering his life and health and
9necessitating emergency care, may also qualify.
10    Temporary absence from the State shall not disqualify a
11person from maintaining his eligibility under this Article.
12    As used in this Section, "migrant worker" means any person
13residing temporarily and employed in Illinois who moves
14seasonally from one place to another for the purpose of
15employment in agricultural activities, including the planting,
16raising or harvesting of any agricultural or horticultural
17commodities and the handling, packing or processing of such
18commodities on the farm where produced or at the point of first
19processing, in animal husbandry, or in other activities
20connected with the care of animals. Dependents of such person
21shall be considered eligible if they are living with the
22person during his or her temporary residence and employment in
23Illinois.
24    In order to be eligible for medical assistance under this
25section, each migrant worker shall show proof of citizenship

 

 

SB3865 Enrolled- 80 -LRB102 24242 RJF 33473 b

1or legal immigration alien status.
2(Source: P.A. 81-746.)
 
3    Section 85. The Service Member Employment and Reemployment
4Rights Act is amended by changing Section 1-10 as follows:
 
5    (330 ILCS 61/1-10)
6    Sec. 1-10. Definitions. As used in this Act:
7    "Accrue" means to accumulate in regular or increasing
8amounts over time subject to customary allocation of cost.
9    "Active duty" means any full-time military service
10regardless of length or voluntariness including, but not
11limited to, annual training, full-time National Guard duty,
12and State active duty. "Active duty" does not include any form
13of inactive duty service such as drill duty or muster duty.
14"Active duty", unless provided otherwise, includes active duty
15without pay.
16    "Active service" means all forms of active and inactive
17duty regardless of voluntariness including, but not limited
18to, annual training, active duty for training, initial active
19duty training, overseas training duty, full-time National
20Guard duty, active duty other than training, State active
21duty, mobilizations, and muster duty. "Active service", unless
22provided otherwise, includes active service without pay.
23"Active service" includes:
24        (1) Reserve component voluntary active service means

 

 

SB3865 Enrolled- 81 -LRB102 24242 RJF 33473 b

1    service under one of the following authorities:
2            (A) any duty under 32 U.S.C. 502(f)(1)(B);
3            (B) active guard reserve duty, operational
4        support, or additional duty under 10 U.S.C. 12301(d)
5        or 32 U.S.C. 502(f)(1)(B);
6            (C) funeral honors under 10 U.S.C. 12503 or 32
7        U.S.C. 115;
8            (D) duty at the National Guard Bureau under 10
9        U.S.C. 12402;
10            (E) unsatisfactory participation under 10 U.S.C.
11        10148 or 10 U.S.C. 12303;
12            (F) discipline under 10 U.S.C. 802(d);
13            (G) extended active duty under 10 U.S.C. 12311;
14        and
15            (H) reserve program administrator under 10 U.S.C.
16        10211.
17        (2) Reserve component involuntary active service
18    includes, but is not limited to, service under one of the
19    following authorities:
20            (A) annual training or drill requirements under 10
21        U.S.C. 10147, 10 U.S.C. 12301(b) or 32 U.S.C. 502(a).
22            (B) additional training duty or other duty under
23        32 U.S.C. 502(f)(1)(A);
24            (C) pre-planned or pre-programmed combatant
25        commander support under 10 U.S.C. 12304b;
26            (D) mobilization under 10 U.S.C. 12301(a) or 10

 

 

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1        U.S.C. 12302;
2            (E) presidential reserve call-up under 10 U.S.C.
3        12304;
4            (F) emergencies and natural disasters under 10
5        U.S.C. 12304a or 14 U.S.C. 712;
6            (G) muster duty under 10 U.S.C. 12319;
7            (H) retiree recall under 10 U.S.C. 688;
8            (I) captive status under 10 U.S.C. 12301(g);
9            (J) insurrection under 10 U.S.C. 331, 10 U.S.C.
10        332, or 10 U.S.C. 12406;
11            (K) pending line of duty determination for
12        response to sexual assault under 10 U.S.C. 12323; and
13            (L) initial active duty for training under 10
14        U.S.C. 671.
15    Reserve component active service not listed in paragraph
16(1) or (2) shall be considered involuntary active service
17under paragraph (2).
18    "Active service without pay" means active service
19performed under any authority in which base pay is not
20received regardless of other allowances.
21    "Annual training" means any active duty performed under
22Section 10147 or 12301(b) of Title 10 of the United States Code
23or under Section 502(a) of Title 32 of the United States Code.
24    "Base pay" means the main component of military pay,
25whether active or inactive, based on rank and time in service.
26It does not include the addition of conditional funds for

 

 

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1specific purposes such as allowances, incentive and special
2pay. Base pay, also known as basic pay, can be determined by
3referencing the appropriate military pay chart covering the
4time period in question located on the federal Defense Finance
5and Accounting Services website or as reflected on a federal
6Military Leave and Earnings Statement.
7    "Benefits" includes, but is not limited to, the terms,
8conditions, or privileges of employment, including any
9advantage, profit, privilege, gain, status, account, or
10interest, including wages or salary for work performed, that
11accrues by reason of an employment contract or agreement or an
12employer policy, plan, or practice and includes rights and
13benefits under a pension plan, a health plan, an employee
14stock ownership plan, insurance coverage and awards, bonuses,
15severance pay, supplemental unemployment benefits, vacations,
16and the opportunity to select work hours or location of
17employment.
18    "Differential compensation" means pay due when the
19employee's daily rate of compensation for military service is
20less than his or her daily rate of compensation as a public
21employee.
22    "Employee" means anyone employed by an employer.
23"Employee" includes any person who is a citizen, national, or
24permanent resident alien of the United States employed in a
25workplace that the State has legal authority to regulate
26business and employment. "Employee" does not include an

 

 

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1independent contractor.
2    "Employer" means any person, institution, organization, or
3other entity that pays salary or wages for work performed or
4that has control over employment opportunities, including:
5        (1) a person, institution, organization, or other
6    entity to whom the employer has delegated the performance
7    of employment-related responsibilities;
8        (2) an employer of a public employee;
9        (3) any successor in interest to a person,
10    institution, organization, or other entity referred to
11    under this definition; and
12        (4) a person, institution, organization, or other
13    entity that has been denied initial employment in
14    violation of Section 5-15.
15    "Inactive duty" means inactive duty training, including
16drills, consisting of regularly scheduled unit training
17assemblies, additional training assemblies, periods of
18appropriate duty or equivalent training, and any special
19additional duties authorized for reserve component personnel
20by appropriate military authority. "Inactive duty" does not
21include active duty.
22    "Military leave" means a furlough or leave of absence
23while performing active service. It cannot be substituted for
24accrued vacation, annual, or similar leave with pay except at
25the sole discretion of the service member employee. It is not a
26benefit of employment that is requested but a legal

 

 

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1requirement upon receiving notice of pending military service.
2    "Military service" means:
3        (1) Service in the Armed Forces of the United States,
4    the National Guard of any state or territory regardless of
5    status, and the State Guard as defined in the State Guard
6    Act. "Military service", whether active or reserve,
7    includes service under the authority of U.S.C. Titles 10,
8    14, or 32, or State active duty.
9        (2) Service in a federally recognized auxiliary of the
10    United States Armed Forces when performing official duties
11    in support of military or civilian authorities as a result
12    of an emergency.
13        (3) A period for which an employee is absent from a
14    position of employment for the purpose of medical or
15    dental treatment for a condition, illness, or injury
16    sustained or aggravated during a period of active service
17    in which treatment is paid by the United States Department
18    of Defense Military Health System.
19    "Public employee" means any person classified as a
20full-time employee of the State of Illinois, a unit of local
21government, a public institution of higher education as
22defined in Section 1 of the Board of Higher Education Act, or a
23school district, other than an independent contractor.
24    "Reserve component" means the reserve components of
25Illinois and the United States Armed Forces regardless of
26status.

 

 

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1    "Service member" means any person who is a member of a
2military service.
3    "State active duty" means full-time State-funded military
4duty under the command and control of the Governor and subject
5to the Military Code of Illinois.
6    "Unit of local government" means any city, village, town,
7county, or special district.
8(Source: P.A. 100-1101, eff. 1-1-19.)
 
9    Section 90. The Firearm Owners Identification Card Act is
10amended by changing Sections 1.1, 4, and 8 as follows:
 
11    (430 ILCS 65/1.1)  (from Ch. 38, par. 83-1.1)
12    Sec. 1.1. For purposes of this Act:
13    "Addicted to narcotics" means a person who has been:
14        (1) convicted of an offense involving the use or
15    possession of cannabis, a controlled substance, or
16    methamphetamine within the past year; or
17        (2) determined by the Illinois State Police to be
18    addicted to narcotics based upon federal law or federal
19    guidelines.
20    "Addicted to narcotics" does not include possession or use
21of a prescribed controlled substance under the direction and
22authority of a physician or other person authorized to
23prescribe the controlled substance when the controlled
24substance is used in the prescribed manner.

 

 

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1    "Adjudicated as a person with a mental disability" means
2the person is the subject of a determination by a court, board,
3commission or other lawful authority that the person, as a
4result of marked subnormal intelligence, or mental illness,
5mental impairment, incompetency, condition, or disease:
6        (1) presents a clear and present danger to himself,
7    herself, or to others;
8        (2) lacks the mental capacity to manage his or her own
9    affairs or is adjudicated a person with a disability as
10    defined in Section 11a-2 of the Probate Act of 1975;
11        (3) is not guilty in a criminal case by reason of
12    insanity, mental disease or defect;
13        (3.5) is guilty but mentally ill, as provided in
14    Section 5-2-6 of the Unified Code of Corrections;
15        (4) is incompetent to stand trial in a criminal case;
16        (5) is not guilty by reason of lack of mental
17    responsibility under Articles 50a and 72b of the Uniform
18    Code of Military Justice, 10 U.S.C. 850a, 876b;
19        (6) is a sexually violent person under subsection (f)
20    of Section 5 of the Sexually Violent Persons Commitment
21    Act;
22        (7) is a sexually dangerous person under the Sexually
23    Dangerous Persons Act;
24        (8) is unfit to stand trial under the Juvenile Court
25    Act of 1987;
26        (9) is not guilty by reason of insanity under the

 

 

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1    Juvenile Court Act of 1987;
2        (10) is subject to involuntary admission as an
3    inpatient as defined in Section 1-119 of the Mental Health
4    and Developmental Disabilities Code;
5        (11) is subject to involuntary admission as an
6    outpatient as defined in Section 1-119.1 of the Mental
7    Health and Developmental Disabilities Code;
8        (12) is subject to judicial admission as set forth in
9    Section 4-500 of the Mental Health and Developmental
10    Disabilities Code; or
11        (13) is subject to the provisions of the Interstate
12    Agreements on Sexually Dangerous Persons Act.
13    "Clear and present danger" means a person who:
14        (1) communicates a serious threat of physical violence
15    against a reasonably identifiable victim or poses a clear
16    and imminent risk of serious physical injury to himself,
17    herself, or another person as determined by a physician,
18    clinical psychologist, or qualified examiner; or
19        (2) demonstrates threatening physical or verbal
20    behavior, such as violent, suicidal, or assaultive
21    threats, actions, or other behavior, as determined by a
22    physician, clinical psychologist, qualified examiner,
23    school administrator, or law enforcement official.
24    "Clinical psychologist" has the meaning provided in
25Section 1-103 of the Mental Health and Developmental
26Disabilities Code.

 

 

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1    "Controlled substance" means a controlled substance or
2controlled substance analog as defined in the Illinois
3Controlled Substances Act.
4    "Counterfeit" means to copy or imitate, without legal
5authority, with intent to deceive.
6    "Federally licensed firearm dealer" means a person who is
7licensed as a federal firearms dealer under Section 923 of the
8federal Gun Control Act of 1968 (18 U.S.C. 923).
9    "Firearm" means any device, by whatever name known, which
10is designed to expel a projectile or projectiles by the action
11of an explosion, expansion of gas or escape of gas; excluding,
12however:
13        (1) any pneumatic gun, spring gun, paint ball gun, or
14    B-B gun which expels a single globular projectile not
15    exceeding .18 inch in diameter or which has a maximum
16    muzzle velocity of less than 700 feet per second;
17        (1.1) any pneumatic gun, spring gun, paint ball gun,
18    or B-B gun which expels breakable paint balls containing
19    washable marking colors;
20        (2) any device used exclusively for signaling or
21    safety and required or recommended by the United States
22    Coast Guard or the Interstate Commerce Commission;
23        (3) any device used exclusively for the firing of stud
24    cartridges, explosive rivets or similar industrial
25    ammunition; and
26        (4) an antique firearm (other than a machine-gun)

 

 

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1    which, although designed as a weapon, the Illinois State
2    Police finds by reason of the date of its manufacture,
3    value, design, and other characteristics is primarily a
4    collector's item and is not likely to be used as a weapon.
5    "Firearm ammunition" means any self-contained cartridge or
6shotgun shell, by whatever name known, which is designed to be
7used or adaptable to use in a firearm; excluding, however:
8        (1) any ammunition exclusively designed for use with a
9    device used exclusively for signaling signalling or safety
10    and required or recommended by the United States Coast
11    Guard or the Interstate Commerce Commission; and
12        (2) any ammunition designed exclusively for use with a
13    stud or rivet driver or other similar industrial
14    ammunition.
15    "Gun show" means an event or function:
16        (1) at which the sale and transfer of firearms is the
17    regular and normal course of business and where 50 or more
18    firearms are displayed, offered, or exhibited for sale,
19    transfer, or exchange; or
20        (2) at which not less than 10 gun show vendors
21    display, offer, or exhibit for sale, sell, transfer, or
22    exchange firearms.
23    "Gun show" includes the entire premises provided for an
24event or function, including parking areas for the event or
25function, that is sponsored to facilitate the purchase, sale,
26transfer, or exchange of firearms as described in this

 

 

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1Section. Nothing in this definition shall be construed to
2exclude a gun show held in conjunction with competitive
3shooting events at the World Shooting Complex sanctioned by a
4national governing body in which the sale or transfer of
5firearms is authorized under subparagraph (5) of paragraph (g)
6of subsection (A) of Section 24-3 of the Criminal Code of 2012.
7    Unless otherwise expressly stated, "gun show" does not
8include training or safety classes, competitive shooting
9events, such as rifle, shotgun, or handgun matches, trap,
10skeet, or sporting clays shoots, dinners, banquets, raffles,
11or any other event where the sale or transfer of firearms is
12not the primary course of business.
13    "Gun show promoter" means a person who organizes or
14operates a gun show.
15    "Gun show vendor" means a person who exhibits, sells,
16offers for sale, transfers, or exchanges any firearms at a gun
17show, regardless of whether the person arranges with a gun
18show promoter for a fixed location from which to exhibit,
19sell, offer for sale, transfer, or exchange any firearm.
20    "Involuntarily admitted" has the meaning as prescribed in
21Sections 1-119 and 1-119.1 of the Mental Health and
22Developmental Disabilities Code.
23    "Mental health facility" means any licensed private
24hospital or hospital affiliate, institution, or facility, or
25part thereof, and any facility, or part thereof, operated by
26the State or a political subdivision thereof which provides

 

 

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1provide treatment of persons with mental illness and includes
2all hospitals, institutions, clinics, evaluation facilities,
3mental health centers, colleges, universities, long-term care
4facilities, and nursing homes, or parts thereof, which provide
5treatment of persons with mental illness whether or not the
6primary purpose is to provide treatment of persons with mental
7illness.
8    "National governing body" means a group of persons who
9adopt rules and formulate policy on behalf of a national
10firearm sporting organization.
11    "Noncitizen" means a person who is not a citizen of the
12United States, but is a person who is a foreign-born person who
13lives in the United States, has not been naturalized, and is
14still a citizen of a foreign country.
15    "Patient" means:
16        (1) a person who is admitted as an inpatient or
17    resident of a public or private mental health facility for
18    mental health treatment under Chapter III of the Mental
19    Health and Developmental Disabilities Code as an informal
20    admission, a voluntary admission, a minor admission, an
21    emergency admission, or an involuntary admission, unless
22    the treatment was solely for an alcohol abuse disorder; or
23        (2) a person who voluntarily or involuntarily receives
24    mental health treatment as an out-patient or is otherwise
25    provided services by a public or private mental health
26    facility, and who poses a clear and present danger to

 

 

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1    himself, herself, or to others.
2    "Person with a developmental disability" means a person
3with a disability which is attributable to any other condition
4which results in impairment similar to that caused by an
5intellectual disability and which requires services similar to
6those required by persons with intellectual disabilities. The
7disability must originate before the age of 18 years, be
8expected to continue indefinitely, and constitute a
9substantial disability. This disability results, in the
10professional opinion of a physician, clinical psychologist, or
11qualified examiner, in significant functional limitations in 3
12or more of the following areas of major life activity:
13        (i) self-care;
14        (ii) receptive and expressive language;
15        (iii) learning;
16        (iv) mobility; or
17        (v) self-direction.
18    "Person with an intellectual disability" means a person
19with a significantly subaverage general intellectual
20functioning which exists concurrently with impairment in
21adaptive behavior and which originates before the age of 18
22years.
23    "Physician" has the meaning as defined in Section 1-120 of
24the Mental Health and Developmental Disabilities Code.
25    "Protective order" means any orders of protection issued
26under the Illinois Domestic Violence Act of 1986, stalking no

 

 

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1contact orders issued under the Stalking No Contact Order Act,
2civil no contact orders issued under the Civil No Contact
3Order Act, and firearms restraining orders issued under the
4Firearms Restraining Order Act.
5    "Qualified examiner" has the meaning provided in Section
61-122 of the Mental Health and Developmental Disabilities
7Code.
8    "Sanctioned competitive shooting event" means a shooting
9contest officially recognized by a national or state shooting
10sport association, and includes any sight-in or practice
11conducted in conjunction with the event.
12    "School administrator" means the person required to report
13under the School Administrator Reporting of Mental Health
14Clear and Present Danger Determinations Law.
15    "Stun gun or taser" has the meaning ascribed to it in
16Section 24-1 of the Criminal Code of 2012.
17(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;
18revised 10-6-21.)
 
19    (430 ILCS 65/4)  (from Ch. 38, par. 83-4)
20    Sec. 4. Application for Firearm Owner's Identification
21Cards.
22    (a) Each applicant for a Firearm Owner's Identification
23Card must:
24        (1) Submit an application as made available by the
25    Illinois State Police; and

 

 

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1        (2) Submit evidence to the Illinois State Police that:
2            (i) This subparagraph (i) applies through the
3        180th day following July 12, 2019 (the effective date
4        of Public Act 101-80) this amendatory Act of the 101st
5        General Assembly. He or she is 21 years of age or over,
6        or if he or she is under 21 years of age that he or she
7        has the written consent of his or her parent or legal
8        guardian to possess and acquire firearms and firearm
9        ammunition and that he or she has never been convicted
10        of a misdemeanor other than a traffic offense or
11        adjudged delinquent, provided, however, that such
12        parent or legal guardian is not an individual
13        prohibited from having a Firearm Owner's
14        Identification Card and files an affidavit with the
15        Department as prescribed by the Department stating
16        that he or she is not an individual prohibited from
17        having a Card;
18            (i-5) This subparagraph (i-5) applies on and after
19        the 181st day following July 12, 2019 (the effective
20        date of Public Act 101-80) this amendatory Act of the
21        101st General Assembly. He or she is 21 years of age or
22        over, or if he or she is under 21 years of age that he
23        or she has never been convicted of a misdemeanor other
24        than a traffic offense or adjudged delinquent and is
25        an active duty member of the United States Armed
26        Forces or has the written consent of his or her parent

 

 

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1        or legal guardian to possess and acquire firearms and
2        firearm ammunition, provided, however, that such
3        parent or legal guardian is not an individual
4        prohibited from having a Firearm Owner's
5        Identification Card and files an affidavit with the
6        Illinois State Police Department as prescribed by the
7        Illinois State Police Department stating that he or
8        she is not an individual prohibited from having a Card
9        or the active duty member of the United States Armed
10        Forces under 21 years of age annually submits proof to
11        the Illinois State Police, in a manner prescribed by
12        the Illinois State Police Department;
13            (ii) He or she has not been convicted of a felony
14        under the laws of this or any other jurisdiction;
15            (iii) He or she is not addicted to narcotics;
16            (iv) He or she has not been a patient in a mental
17        health facility within the past 5 years or, if he or
18        she has been a patient in a mental health facility more
19        than 5 years ago submit the certification required
20        under subsection (u) of Section 8 of this Act;
21            (v) He or she is not a person with an intellectual
22        disability;
23            (vi) He or she is not a noncitizen an alien who is
24        unlawfully present in the United States under the laws
25        of the United States;
26            (vii) He or she is not subject to an existing order

 

 

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1        of protection prohibiting him or her from possessing a
2        firearm;
3            (viii) He or she has not been convicted within the
4        past 5 years of battery, assault, aggravated assault,
5        violation of an order of protection, or a
6        substantially similar offense in another jurisdiction,
7        in which a firearm was used or possessed;
8            (ix) He or she has not been convicted of domestic
9        battery, aggravated domestic battery, or a
10        substantially similar offense in another jurisdiction
11        committed before, on or after January 1, 2012 (the
12        effective date of Public Act 97-158). If the applicant
13        knowingly and intelligently waives the right to have
14        an offense described in this clause (ix) tried by a
15        jury, and by guilty plea or otherwise, results in a
16        conviction for an offense in which a domestic
17        relationship is not a required element of the offense
18        but in which a determination of the applicability of
19        18 U.S.C. 922(g)(9) is made under Section 112A-11.1 of
20        the Code of Criminal Procedure of 1963, an entry by the
21        court of a judgment of conviction for that offense
22        shall be grounds for denying the issuance of a Firearm
23        Owner's Identification Card under this Section;
24            (x) (Blank);
25            (xi) He or she is not a noncitizen an alien who has
26        been admitted to the United States under a

 

 

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1        non-immigrant visa (as that term is defined in Section
2        101(a)(26) of the Immigration and Nationality Act (8
3        U.S.C. 1101(a)(26))), or that he or she is a
4        noncitizen an alien who has been lawfully admitted to
5        the United States under a non-immigrant visa if that
6        noncitizen alien is:
7                (1) admitted to the United States for lawful
8            hunting or sporting purposes;
9                (2) an official representative of a foreign
10            government who is:
11                    (A) accredited to the United States
12                Government or the Government's mission to an
13                international organization having its
14                headquarters in the United States; or
15                    (B) en route to or from another country to
16                which that noncitizen alien is accredited;
17                (3) an official of a foreign government or
18            distinguished foreign visitor who has been so
19            designated by the Department of State;
20                (4) a foreign law enforcement officer of a
21            friendly foreign government entering the United
22            States on official business; or
23                (5) one who has received a waiver from the
24            Attorney General of the United States pursuant to
25            18 U.S.C. 922(y)(3);
26            (xii) He or she is not a minor subject to a

 

 

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1        petition filed under Section 5-520 of the Juvenile
2        Court Act of 1987 alleging that the minor is a
3        delinquent minor for the commission of an offense that
4        if committed by an adult would be a felony;
5            (xiii) He or she is not an adult who had been
6        adjudicated a delinquent minor under the Juvenile
7        Court Act of 1987 for the commission of an offense that
8        if committed by an adult would be a felony;
9            (xiv) He or she is a resident of the State of
10        Illinois;
11            (xv) He or she has not been adjudicated as a person
12        with a mental disability;
13            (xvi) He or she has not been involuntarily
14        admitted into a mental health facility; and
15            (xvii) He or she is not a person with a
16        developmental disability; and
17        (3) Upon request by the Illinois State Police, sign a
18    release on a form prescribed by the Illinois State Police
19    waiving any right to confidentiality and requesting the
20    disclosure to the Illinois State Police of limited mental
21    health institution admission information from another
22    state, the District of Columbia, any other territory of
23    the United States, or a foreign nation concerning the
24    applicant for the sole purpose of determining whether the
25    applicant is or was a patient in a mental health
26    institution and disqualified because of that status from

 

 

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1    receiving a Firearm Owner's Identification Card. No mental
2    health care or treatment records may be requested. The
3    information received shall be destroyed within one year of
4    receipt.
5    (a-5) Each applicant for a Firearm Owner's Identification
6Card who is over the age of 18 shall furnish to the Illinois
7State Police either his or her Illinois driver's license
8number or Illinois Identification Card number, except as
9provided in subsection (a-10).
10    (a-10) Each applicant for a Firearm Owner's Identification
11Card, who is employed as a law enforcement officer, an armed
12security officer in Illinois, or by the United States Military
13permanently assigned in Illinois and who is not an Illinois
14resident, shall furnish to the Illinois State Police his or
15her driver's license number or state identification card
16number from his or her state of residence. The Illinois State
17Police may adopt rules to enforce the provisions of this
18subsection (a-10).
19    (a-15) If an applicant applying for a Firearm Owner's
20Identification Card moves from the residence address named in
21the application, he or she shall immediately notify in a form
22and manner prescribed by the Illinois State Police of that
23change of address.
24    (a-20) Each applicant for a Firearm Owner's Identification
25Card shall furnish to the Illinois State Police his or her
26photograph. An applicant who is 21 years of age or older

 

 

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1seeking a religious exemption to the photograph requirement
2must furnish with the application an approved copy of United
3States Department of the Treasury Internal Revenue Service
4Form 4029. In lieu of a photograph, an applicant regardless of
5age seeking a religious exemption to the photograph
6requirement shall submit fingerprints on a form and manner
7prescribed by the Illinois State Police Department with his or
8her application.
9    (a-25) Beginning January 1, 2023, each applicant for the
10issuance of a Firearm Owner's Identification Card may include
11a full set of his or her fingerprints in electronic format to
12the Illinois State Police, unless the applicant has previously
13provided a full set of his or her fingerprints to the Illinois
14State Police under this Act or the Firearm Concealed Carry
15Act.
16    The fingerprints must be transmitted through a live scan
17fingerprint vendor licensed by the Department of Financial and
18Professional Regulation. The fingerprints shall be checked
19against the fingerprint records now and hereafter filed in the
20Illinois State Police and Federal Bureau of Investigation
21criminal history records databases, including all available
22State and local criminal history record information files.
23    The Illinois State Police shall charge applicants a
24one-time fee for conducting the criminal history record check,
25which shall be deposited into the State Police Services Fund
26and shall not exceed the actual cost of the State and national

 

 

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1criminal history record check.
2    (a-26) The Illinois State Police shall research, explore,
3and report to the General Assembly by January 1, 2022 on the
4feasibility of permitting voluntarily submitted fingerprints
5obtained for purposes other than Firearm Owner's
6Identification Card enforcement that are contained in the
7Illinois State Police database for purposes of this Act.
8    (b) Each application form shall include the following
9statement printed in bold type: "Warning: Entering false
10information on an application for a Firearm Owner's
11Identification Card is punishable as a Class 2 felony in
12accordance with subsection (d-5) of Section 14 of the Firearm
13Owners Identification Card Act.".
14    (c) Upon such written consent, pursuant to Section 4,
15paragraph (a)(2)(i), the parent or legal guardian giving the
16consent shall be liable for any damages resulting from the
17applicant's use of firearms or firearm ammunition.
18(Source: P.A. 101-80, eff. 7-12-19; 102-237, eff. 1-1-22;
19102-538, eff. 8-20-21; revised 10-12-21.)
 
20    (430 ILCS 65/8)  (from Ch. 38, par. 83-8)
21    Sec. 8. Grounds for denial and revocation. The Illinois
22State Police has authority to deny an application for or to
23revoke and seize a Firearm Owner's Identification Card
24previously issued under this Act only if the Illinois State
25Police Department finds that the applicant or the person to

 

 

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1whom such card was issued is or was at the time of issuance:
2        (a) A person under 21 years of age who has been
3    convicted of a misdemeanor other than a traffic offense or
4    adjudged delinquent;
5        (b) This subsection (b) applies through the 180th day
6    following July 12, 2019 (the effective date of Public Act
7    101-80) this amendatory Act of the 101st General Assembly.
8    A person under 21 years of age who does not have the
9    written consent of his parent or guardian to acquire and
10    possess firearms and firearm ammunition, or whose parent
11    or guardian has revoked such written consent, or where
12    such parent or guardian does not qualify to have a Firearm
13    Owner's Identification Card;
14        (b-5) This subsection (b-5) applies on and after the
15    181st day following July 12, 2019 (the effective date of
16    Public Act 101-80) this amendatory Act of the 101st
17    General Assembly. A person under 21 years of age who is not
18    an active duty member of the United States Armed Forces
19    and does not have the written consent of his or her parent
20    or guardian to acquire and possess firearms and firearm
21    ammunition, or whose parent or guardian has revoked such
22    written consent, or where such parent or guardian does not
23    qualify to have a Firearm Owner's Identification Card;
24        (c) A person convicted of a felony under the laws of
25    this or any other jurisdiction;
26        (d) A person addicted to narcotics;

 

 

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1        (e) A person who has been a patient of a mental health
2    facility within the past 5 years or a person who has been a
3    patient in a mental health facility more than 5 years ago
4    who has not received the certification required under
5    subsection (u) of this Section. An active law enforcement
6    officer employed by a unit of government or a Department
7    of Corrections employee authorized to possess firearms who
8    is denied, revoked, or has his or her Firearm Owner's
9    Identification Card seized under this subsection (e) may
10    obtain relief as described in subsection (c-5) of Section
11    10 of this Act if the officer or employee did not act in a
12    manner threatening to the officer or employee, another
13    person, or the public as determined by the treating
14    clinical psychologist or physician, and the officer or
15    employee seeks mental health treatment;
16        (f) A person whose mental condition is of such a
17    nature that it poses a clear and present danger to the
18    applicant, any other person or persons, or the community;
19        (g) A person who has an intellectual disability;
20        (h) A person who intentionally makes a false statement
21    in the Firearm Owner's Identification Card application;
22        (i) A noncitizen An alien who is unlawfully present in
23    the United States under the laws of the United States;
24        (i-5) A noncitizen An alien who has been admitted to
25    the United States under a non-immigrant visa (as that term
26    is defined in Section 101(a)(26) of the Immigration and

 

 

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1    Nationality Act (8 U.S.C. 1101(a)(26))), except that this
2    subsection (i-5) does not apply to any noncitizen alien
3    who has been lawfully admitted to the United States under
4    a non-immigrant visa if that noncitizen alien is:
5            (1) admitted to the United States for lawful
6        hunting or sporting purposes;
7            (2) an official representative of a foreign
8        government who is:
9                (A) accredited to the United States Government
10            or the Government's mission to an international
11            organization having its headquarters in the United
12            States; or
13                (B) en route to or from another country to
14            which that noncitizen alien is accredited;
15            (3) an official of a foreign government or
16        distinguished foreign visitor who has been so
17        designated by the Department of State;
18            (4) a foreign law enforcement officer of a
19        friendly foreign government entering the United States
20        on official business; or
21            (5) one who has received a waiver from the
22        Attorney General of the United States pursuant to 18
23        U.S.C. 922(y)(3);
24        (j) (Blank);
25        (k) A person who has been convicted within the past 5
26    years of battery, assault, aggravated assault, violation

 

 

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1    of an order of protection, or a substantially similar
2    offense in another jurisdiction, in which a firearm was
3    used or possessed;
4        (l) A person who has been convicted of domestic
5    battery, aggravated domestic battery, or a substantially
6    similar offense in another jurisdiction committed before,
7    on or after January 1, 2012 (the effective date of Public
8    Act 97-158). If the applicant or person who has been
9    previously issued a Firearm Owner's Identification Card
10    under this Act knowingly and intelligently waives the
11    right to have an offense described in this paragraph (l)
12    tried by a jury, and by guilty plea or otherwise, results
13    in a conviction for an offense in which a domestic
14    relationship is not a required element of the offense but
15    in which a determination of the applicability of 18 U.S.C.
16    922(g)(9) is made under Section 112A-11.1 of the Code of
17    Criminal Procedure of 1963, an entry by the court of a
18    judgment of conviction for that offense shall be grounds
19    for denying an application for and for revoking and
20    seizing a Firearm Owner's Identification Card previously
21    issued to the person under this Act;
22        (m) (Blank);
23        (n) A person who is prohibited from acquiring or
24    possessing firearms or firearm ammunition by any Illinois
25    State statute or by federal law;
26        (o) A minor subject to a petition filed under Section

 

 

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1    5-520 of the Juvenile Court Act of 1987 alleging that the
2    minor is a delinquent minor for the commission of an
3    offense that if committed by an adult would be a felony;
4        (p) An adult who had been adjudicated a delinquent
5    minor under the Juvenile Court Act of 1987 for the
6    commission of an offense that if committed by an adult
7    would be a felony;
8        (q) A person who is not a resident of the State of
9    Illinois, except as provided in subsection (a-10) of
10    Section 4;
11        (r) A person who has been adjudicated as a person with
12    a mental disability;
13        (s) A person who has been found to have a
14    developmental disability;
15        (t) A person involuntarily admitted into a mental
16    health facility; or
17        (u) A person who has had his or her Firearm Owner's
18    Identification Card revoked or denied under subsection (e)
19    of this Section or item (iv) of paragraph (2) of
20    subsection (a) of Section 4 of this Act because he or she
21    was a patient in a mental health facility as provided in
22    subsection (e) of this Section, shall not be permitted to
23    obtain a Firearm Owner's Identification Card, after the
24    5-year period has lapsed, unless he or she has received a
25    mental health evaluation by a physician, clinical
26    psychologist, or qualified examiner as those terms are

 

 

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1    defined in the Mental Health and Developmental
2    Disabilities Code, and has received a certification that
3    he or she is not a clear and present danger to himself,
4    herself, or others. The physician, clinical psychologist,
5    or qualified examiner making the certification and his or
6    her employer shall not be held criminally, civilly, or
7    professionally liable for making or not making the
8    certification required under this subsection, except for
9    willful or wanton misconduct. This subsection does not
10    apply to a person whose firearm possession rights have
11    been restored through administrative or judicial action
12    under Section 10 or 11 of this Act.
13    Upon revocation of a person's Firearm Owner's
14Identification Card, the Illinois State Police shall provide
15notice to the person and the person shall comply with Section
169.5 of this Act.
17(Source: P.A. 101-80, eff. 7-12-19; 102-538, eff. 8-20-21;
18102-645, eff. 1-1-22; revised 10-14-21.)
 
19    Section 95. The Criminal Code of 2012 is amended by
20changing Section 17-6.5 as follows:
 
21    (720 ILCS 5/17-6.5)
22    Sec. 17-6.5. Persons under deportation order;
23ineligibility for benefits.
24    (a) An individual against whom a United States Immigration

 

 

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1Judge has issued an order of deportation which has been
2affirmed by the Board of Immigration Review, as well as an
3individual who appeals such an order pending appeal, under
4paragraph 19 of Section 241(a) of the Immigration and
5Nationality Act relating to persecution of others on account
6of race, religion, national origin or political opinion under
7the direction of or in association with the Nazi government of
8Germany or its allies, shall be ineligible for the following
9benefits authorized by State law:
10        (1) The homestead exemptions and homestead improvement
11    exemption under Sections 15-170, 15-175, 15-176, and
12    15-180 of the Property Tax Code.
13        (2) Grants under the Senior Citizens and Persons with
14    Disabilities Property Tax Relief Act.
15        (3) The double income tax exemption conferred upon
16    persons 65 years of age or older by Section 204 of the
17    Illinois Income Tax Act.
18        (4) Grants provided by the Department on Aging.
19        (5) Reductions in vehicle registration fees under
20    Section 3-806.3 of the Illinois Vehicle Code.
21        (6) Free fishing and reduced fishing license fees
22    under Sections 20-5 and 20-40 of the Fish and Aquatic Life
23    Code.
24        (7) Tuition free courses for senior citizens under the
25    Senior Citizen Courses Act.
26        (8) Any benefits under the Illinois Public Aid Code.

 

 

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1    (b) If a person has been found by a court to have knowingly
2received benefits in violation of subsection (a) and:
3        (1) the total monetary value of the benefits received
4    is less than $150, the person is guilty of a Class A
5    misdemeanor; a second or subsequent violation is a Class 4
6    felony;
7        (2) the total monetary value of the benefits received
8    is $150 or more but less than $1,000, the person is guilty
9    of a Class 4 felony; a second or subsequent violation is a
10    Class 3 felony;
11        (3) the total monetary value of the benefits received
12    is $1,000 or more but less than $5,000, the person is
13    guilty of a Class 3 felony; a second or subsequent
14    violation is a Class 2 felony;
15        (4) the total monetary value of the benefits received
16    is $5,000 or more but less than $10,000, the person is
17    guilty of a Class 2 felony; a second or subsequent
18    violation is a Class 1 felony; or
19        (5) the total monetary value of the benefits received
20    is $10,000 or more, the person is guilty of a Class 1
21    felony.
22    (c) For purposes of determining the classification of an
23offense under this Section, all of the monetary value of the
24benefits received as a result of the unlawful act, practice,
25or course of conduct may be accumulated.
26    (d) Any grants awarded to persons described in subsection

 

 

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1(a) may be recovered by the State of Illinois in a civil action
2commenced by the Attorney General in the circuit court of
3Sangamon County or the State's Attorney of the county of
4residence of the person described in subsection (a).
5    (e) An individual described in subsection (a) who has been
6deported shall be restored to any benefits which that
7individual has been denied under State law pursuant to
8subsection (a) if (i) the Attorney General of the United
9States has issued an order cancelling deportation and has
10adjusted the status of the individual to that of a person an
11alien lawfully admitted for permanent residence in the United
12States or (ii) the country to which the individual has been
13deported adjudicates or exonerates the individual in a
14judicial or administrative proceeding as not being guilty of
15the persecution of others on account of race, religion,
16national origin, or political opinion under the direction of
17or in association with the Nazi government of Germany or its
18allies.
19(Source: P.A. 99-143, eff. 7-27-15.)
 
20    Section 100. The Prevention of Cigarette and Electronic
21Cigarette Sales to Persons under 21 Years of Age Act is amended
22by changing Section 2 as follows:
 
23    (720 ILCS 678/2)
24    Sec. 2. Definitions. For the purpose of this Act:

 

 

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1    "Cigarette", when used in this Act, means any roll for
2smoking made wholly or in part of tobacco irrespective of size
3or shape and whether or not the tobacco is flavored,
4adulterated, or mixed with any other ingredient, and the
5wrapper or cover of which is made of paper or any other
6substance or material except whole leaf tobacco.
7    "Clear and conspicuous statement" means the statement is
8of sufficient type size to be clearly readable by the
9recipient of the communication.
10    "Consumer" means an individual who acquires or seeks to
11acquire cigarettes or electronic cigarettes for personal use.
12    "Delivery sale" means any sale of cigarettes or electronic
13cigarettes to a consumer if:
14        (a) the consumer submits the order for such sale by
15    means of a telephone or other method of voice
16    transmission, the mails, or the Internet or other online
17    service, or the seller is otherwise not in the physical
18    presence of the buyer when the request for purchase or
19    order is made; or
20        (b) the cigarettes or electronic cigarettes are
21    delivered by use of a common carrier, private delivery
22    service, or the mails, or the seller is not in the physical
23    presence of the buyer when the buyer obtains possession of
24    the cigarettes or electronic cigarettes.
25    "Delivery service" means any person (other than a person
26that makes a delivery sale) who delivers to the consumer the

 

 

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1cigarettes or electronic cigarettes sold in a delivery sale.
2    "Department" means the Department of Revenue.
3    "Electronic cigarette" means:
4        (1) any device that employs a battery or other
5    mechanism to heat a solution or substance to produce a
6    vapor or aerosol intended for inhalation;
7        (2) any cartridge or container of a solution or
8    substance intended to be used with or in the device or to
9    refill the device; or
10        (3) any solution or substance, whether or not it
11    contains nicotine, intended for use in the device.
12    "Electronic cigarette" includes, but is not limited to,
13any electronic nicotine delivery system, electronic cigar,
14electronic cigarillo, electronic pipe, electronic hookah, vape
15pen, or similar product or device, and any component, part, or
16accessory of a device used during the operation of the device,
17even if the part or accessory was sold separately. "Electronic
18cigarette" does not include: cigarettes, as defined in Section
191 of the Cigarette Tax Act; any product approved by the United
20States Food and Drug Administration for sale as a tobacco
21cessation product, a tobacco dependence product, or for other
22medical purposes that is marketed and sold solely for that
23approved purpose; any asthma inhaler prescribed by a physician
24for that condition that is marketed and sold solely for that
25approved purpose; any device that meets the definition of
26cannabis paraphernalia under Section 1-10 of the Cannabis

 

 

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1Regulation and Tax Act; or any cannabis product sold by a
2dispensing organization pursuant to the Cannabis Regulation
3and Tax Act or the Compassionate Use of Medical Cannabis
4Program Act.
5    "Government-issued identification" means a State driver's
6license, State identification card, passport, a military
7identification or an official naturalization or immigration
8document, such as a permanent resident card an alien
9registration recipient card (commonly known as a "green card")
10or an immigrant visa.
11    "Mails" or "mailing" mean the shipment of cigarettes or
12electronic cigarettes through the United States Postal
13Service.
14    "Out-of-state sale" means a sale of cigarettes or
15electronic cigarettes to a consumer located outside of this
16State where the consumer submits the order for such sale by
17means of a telephonic or other method of voice transmission,
18the mails or any other delivery service, facsimile
19transmission, or the Internet or other online service and
20where the cigarettes or electronic cigarettes are delivered by
21use of the mails or other delivery service.
22    "Person" means any individual, corporation, partnership,
23limited liability company, association, or other organization
24that engages in any for-profit or not-for-profit activities.
25    "Shipping package" means a container in which packs or
26cartons of cigarettes or electronic cigarettes are shipped in

 

 

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1connection with a delivery sale.
2    "Shipping documents" means bills of lading, air bills, or
3any other documents used to evidence the undertaking by a
4delivery service to deliver letters, packages, or other
5containers.
6(Source: P.A. 102-575, eff. 1-1-22.)
 
7    Section 105. The Code of Criminal Procedure of 1963 is
8amended by changing Section 113-8 as follows:
 
9    (725 ILCS 5/113-8)
10    Sec. 113-8. Advisement concerning status as a noncitizen
11an alien.
12    (a) Before the acceptance of a plea of guilty, guilty but
13mentally ill, or nolo contendere to a misdemeanor or felony
14offense, the court shall give the following advisement to the
15defendant in open court:
16    "If you are not a citizen of the United States, you are
17hereby advised that conviction of the offense for which you
18have been charged may have the consequence of deportation,
19exclusion from admission to the United States, or denial of
20naturalization under the laws of the United States.".
21    (b) If the defendant is arraigned on or after the
22effective date of this amendatory Act of the 101st General
23Assembly, and the court fails to advise the defendant as
24required by subsection (a) of this Section, and the defendant

 

 

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1shows that conviction of the offense to which the defendant
2pleaded guilty, guilty but mentally ill, or nolo contendere
3may have the consequence for the defendant of deportation,
4exclusion from admission to the United States, or denial of
5naturalization under the laws of the United States, the court,
6upon the defendant's motion, shall vacate the judgment and
7permit the defendant to withdraw the plea of guilty, guilty
8but mentally ill, or nolo contendere and enter a plea of not
9guilty. The motion shall be filed within 2 years of the date of
10the defendant's conviction.
11(Source: P.A. 101-409, eff. 1-1-20.)
 
12    Section 110. The Unified Code of Corrections is amended by
13changing Sections 3-2-2 and 5-5-3 as follows:
 
14    (730 ILCS 5/3-2-2)  (from Ch. 38, par. 1003-2-2)
15    Sec. 3-2-2. Powers and duties of the Department.
16    (1) In addition to the powers, duties, and
17responsibilities which are otherwise provided by law, the
18Department shall have the following powers:
19        (a) To accept persons committed to it by the courts of
20    this State for care, custody, treatment, and
21    rehabilitation, and to accept federal prisoners and
22    noncitizens aliens over whom the Office of the Federal
23    Detention Trustee is authorized to exercise the federal
24    detention function for limited purposes and periods of

 

 

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1    time.
2        (b) To develop and maintain reception and evaluation
3    units for purposes of analyzing the custody and
4    rehabilitation needs of persons committed to it and to
5    assign such persons to institutions and programs under its
6    control or transfer them to other appropriate agencies. In
7    consultation with the Department of Alcoholism and
8    Substance Abuse (now the Department of Human Services),
9    the Department of Corrections shall develop a master plan
10    for the screening and evaluation of persons committed to
11    its custody who have alcohol or drug abuse problems, and
12    for making appropriate treatment available to such
13    persons; the Department shall report to the General
14    Assembly on such plan not later than April 1, 1987. The
15    maintenance and implementation of such plan shall be
16    contingent upon the availability of funds.
17        (b-1) To create and implement, on January 1, 2002, a
18    pilot program to establish the effectiveness of
19    pupillometer technology (the measurement of the pupil's
20    reaction to light) as an alternative to a urine test for
21    purposes of screening and evaluating persons committed to
22    its custody who have alcohol or drug problems. The pilot
23    program shall require the pupillometer technology to be
24    used in at least one Department of Corrections facility.
25    The Director may expand the pilot program to include an
26    additional facility or facilities as he or she deems

 

 

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1    appropriate. A minimum of 4,000 tests shall be included in
2    the pilot program. The Department must report to the
3    General Assembly on the effectiveness of the program by
4    January 1, 2003.
5        (b-5) To develop, in consultation with the Illinois
6    State Police, a program for tracking and evaluating each
7    inmate from commitment through release for recording his
8    or her gang affiliations, activities, or ranks.
9        (c) To maintain and administer all State correctional
10    institutions and facilities under its control and to
11    establish new ones as needed. Pursuant to its power to
12    establish new institutions and facilities, the Department
13    may, with the written approval of the Governor, authorize
14    the Department of Central Management Services to enter
15    into an agreement of the type described in subsection (d)
16    of Section 405-300 of the Department of Central Management
17    Services Law. The Department shall designate those
18    institutions which shall constitute the State Penitentiary
19    System. The Department of Juvenile Justice shall maintain
20    and administer all State youth centers pursuant to
21    subsection (d) of Section 3-2.5-20.
22        Pursuant to its power to establish new institutions
23    and facilities, the Department may authorize the
24    Department of Central Management Services to accept bids
25    from counties and municipalities for the construction,
26    remodeling, or conversion of a structure to be leased to

 

 

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1    the Department of Corrections for the purposes of its
2    serving as a correctional institution or facility. Such
3    construction, remodeling, or conversion may be financed
4    with revenue bonds issued pursuant to the Industrial
5    Building Revenue Bond Act by the municipality or county.
6    The lease specified in a bid shall be for a term of not
7    less than the time needed to retire any revenue bonds used
8    to finance the project, but not to exceed 40 years. The
9    lease may grant to the State the option to purchase the
10    structure outright.
11        Upon receipt of the bids, the Department may certify
12    one or more of the bids and shall submit any such bids to
13    the General Assembly for approval. Upon approval of a bid
14    by a constitutional majority of both houses of the General
15    Assembly, pursuant to joint resolution, the Department of
16    Central Management Services may enter into an agreement
17    with the county or municipality pursuant to such bid.
18        (c-5) To build and maintain regional juvenile
19    detention centers and to charge a per diem to the counties
20    as established by the Department to defray the costs of
21    housing each minor in a center. In this subsection (c-5),
22    "juvenile detention center" means a facility to house
23    minors during pendency of trial who have been transferred
24    from proceedings under the Juvenile Court Act of 1987 to
25    prosecutions under the criminal laws of this State in
26    accordance with Section 5-805 of the Juvenile Court Act of

 

 

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1    1987, whether the transfer was by operation of law or
2    permissive under that Section. The Department shall
3    designate the counties to be served by each regional
4    juvenile detention center.
5        (d) To develop and maintain programs of control,
6    rehabilitation, and employment of committed persons within
7    its institutions.
8        (d-5) To provide a pre-release job preparation program
9    for inmates at Illinois adult correctional centers.
10        (d-10) To provide educational and visitation
11    opportunities to committed persons within its institutions
12    through temporary access to content-controlled tablets
13    that may be provided as a privilege to committed persons
14    to induce or reward compliance.
15        (e) To establish a system of supervision and guidance
16    of committed persons in the community.
17        (f) To establish in cooperation with the Department of
18    Transportation to supply a sufficient number of prisoners
19    for use by the Department of Transportation to clean up
20    the trash and garbage along State, county, township, or
21    municipal highways as designated by the Department of
22    Transportation. The Department of Corrections, at the
23    request of the Department of Transportation, shall furnish
24    such prisoners at least annually for a period to be agreed
25    upon between the Director of Corrections and the Secretary
26    of Transportation. The prisoners used on this program

 

 

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1    shall be selected by the Director of Corrections on
2    whatever basis he deems proper in consideration of their
3    term, behavior and earned eligibility to participate in
4    such program - where they will be outside of the prison
5    facility but still in the custody of the Department of
6    Corrections. Prisoners convicted of first degree murder,
7    or a Class X felony, or armed violence, or aggravated
8    kidnapping, or criminal sexual assault, aggravated
9    criminal sexual abuse or a subsequent conviction for
10    criminal sexual abuse, or forcible detention, or arson, or
11    a prisoner adjudged a Habitual Criminal shall not be
12    eligible for selection to participate in such program. The
13    prisoners shall remain as prisoners in the custody of the
14    Department of Corrections and such Department shall
15    furnish whatever security is necessary. The Department of
16    Transportation shall furnish trucks and equipment for the
17    highway cleanup program and personnel to supervise and
18    direct the program. Neither the Department of Corrections
19    nor the Department of Transportation shall replace any
20    regular employee with a prisoner.
21        (g) To maintain records of persons committed to it and
22    to establish programs of research, statistics, and
23    planning.
24        (h) To investigate the grievances of any person
25    committed to the Department and to inquire into any
26    alleged misconduct by employees or committed persons; and

 

 

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1    for these purposes it may issue subpoenas and compel the
2    attendance of witnesses and the production of writings and
3    papers, and may examine under oath any witnesses who may
4    appear before it; to also investigate alleged violations
5    of a parolee's or releasee's conditions of parole or
6    release; and for this purpose it may issue subpoenas and
7    compel the attendance of witnesses and the production of
8    documents only if there is reason to believe that such
9    procedures would provide evidence that such violations
10    have occurred.
11        If any person fails to obey a subpoena issued under
12    this subsection, the Director may apply to any circuit
13    court to secure compliance with the subpoena. The failure
14    to comply with the order of the court issued in response
15    thereto shall be punishable as contempt of court.
16        (i) To appoint and remove the chief administrative
17    officers, and administer programs of training and
18    development of personnel of the Department. Personnel
19    assigned by the Department to be responsible for the
20    custody and control of committed persons or to investigate
21    the alleged misconduct of committed persons or employees
22    or alleged violations of a parolee's or releasee's
23    conditions of parole shall be conservators of the peace
24    for those purposes, and shall have the full power of peace
25    officers outside of the facilities of the Department in
26    the protection, arrest, retaking, and reconfining of

 

 

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1    committed persons or where the exercise of such power is
2    necessary to the investigation of such misconduct or
3    violations. This subsection shall not apply to persons
4    committed to the Department of Juvenile Justice under the
5    Juvenile Court Act of 1987 on aftercare release.
6        (j) To cooperate with other departments and agencies
7    and with local communities for the development of
8    standards and programs for better correctional services in
9    this State.
10        (k) To administer all moneys and properties of the
11    Department.
12        (l) To report annually to the Governor on the
13    committed persons, institutions, and programs of the
14    Department.
15        (l-5) (Blank).
16        (m) To make all rules and regulations and exercise all
17    powers and duties vested by law in the Department.
18        (n) To establish rules and regulations for
19    administering a system of sentence credits, established in
20    accordance with Section 3-6-3, subject to review by the
21    Prisoner Review Board.
22        (o) To administer the distribution of funds from the
23    State Treasury to reimburse counties where State penal
24    institutions are located for the payment of assistant
25    state's attorneys' salaries under Section 4-2001 of the
26    Counties Code.

 

 

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1        (p) To exchange information with the Department of
2    Human Services and the Department of Healthcare and Family
3    Services for the purpose of verifying living arrangements
4    and for other purposes directly connected with the
5    administration of this Code and the Illinois Public Aid
6    Code.
7        (q) To establish a diversion program.
8        The program shall provide a structured environment for
9    selected technical parole or mandatory supervised release
10    violators and committed persons who have violated the
11    rules governing their conduct while in work release. This
12    program shall not apply to those persons who have
13    committed a new offense while serving on parole or
14    mandatory supervised release or while committed to work
15    release.
16        Elements of the program shall include, but shall not
17    be limited to, the following:
18            (1) The staff of a diversion facility shall
19        provide supervision in accordance with required
20        objectives set by the facility.
21            (2) Participants shall be required to maintain
22        employment.
23            (3) Each participant shall pay for room and board
24        at the facility on a sliding-scale basis according to
25        the participant's income.
26            (4) Each participant shall:

 

 

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1                (A) provide restitution to victims in
2            accordance with any court order;
3                (B) provide financial support to his
4            dependents; and
5                (C) make appropriate payments toward any other
6            court-ordered obligations.
7            (5) Each participant shall complete community
8        service in addition to employment.
9            (6) Participants shall take part in such
10        counseling, educational, and other programs as the
11        Department may deem appropriate.
12            (7) Participants shall submit to drug and alcohol
13        screening.
14            (8) The Department shall promulgate rules
15        governing the administration of the program.
16        (r) To enter into intergovernmental cooperation
17    agreements under which persons in the custody of the
18    Department may participate in a county impact
19    incarceration program established under Section 3-6038 or
20    3-15003.5 of the Counties Code.
21        (r-5) (Blank).
22        (r-10) To systematically and routinely identify with
23    respect to each streetgang active within the correctional
24    system: (1) each active gang; (2) every existing
25    inter-gang affiliation or alliance; and (3) the current
26    leaders in each gang. The Department shall promptly

 

 

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1    segregate leaders from inmates who belong to their gangs
2    and allied gangs. "Segregate" means no physical contact
3    and, to the extent possible under the conditions and space
4    available at the correctional facility, prohibition of
5    visual and sound communication. For the purposes of this
6    paragraph (r-10), "leaders" means persons who:
7            (i) are members of a criminal streetgang;
8            (ii) with respect to other individuals within the
9        streetgang, occupy a position of organizer,
10        supervisor, or other position of management or
11        leadership; and
12            (iii) are actively and personally engaged in
13        directing, ordering, authorizing, or requesting
14        commission of criminal acts by others, which are
15        punishable as a felony, in furtherance of streetgang
16        related activity both within and outside of the
17        Department of Corrections.
18    "Streetgang", "gang", and "streetgang related" have the
19    meanings ascribed to them in Section 10 of the Illinois
20    Streetgang Terrorism Omnibus Prevention Act.
21        (s) To operate a super-maximum security institution,
22    in order to manage and supervise inmates who are
23    disruptive or dangerous and provide for the safety and
24    security of the staff and the other inmates.
25        (t) To monitor any unprivileged conversation or any
26    unprivileged communication, whether in person or by mail,

 

 

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1    telephone, or other means, between an inmate who, before
2    commitment to the Department, was a member of an organized
3    gang and any other person without the need to show cause or
4    satisfy any other requirement of law before beginning the
5    monitoring, except as constitutionally required. The
6    monitoring may be by video, voice, or other method of
7    recording or by any other means. As used in this
8    subdivision (1)(t), "organized gang" has the meaning
9    ascribed to it in Section 10 of the Illinois Streetgang
10    Terrorism Omnibus Prevention Act.
11        As used in this subdivision (1)(t), "unprivileged
12    conversation" or "unprivileged communication" means a
13    conversation or communication that is not protected by any
14    privilege recognized by law or by decision, rule, or order
15    of the Illinois Supreme Court.
16        (u) To establish a Women's and Children's Pre-release
17    Community Supervision Program for the purpose of providing
18    housing and services to eligible female inmates, as
19    determined by the Department, and their newborn and young
20    children.
21        (u-5) To issue an order, whenever a person committed
22    to the Department absconds or absents himself or herself,
23    without authority to do so, from any facility or program
24    to which he or she is assigned. The order shall be
25    certified by the Director, the Supervisor of the
26    Apprehension Unit, or any person duly designated by the

 

 

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1    Director, with the seal of the Department affixed. The
2    order shall be directed to all sheriffs, coroners, and
3    police officers, or to any particular person named in the
4    order. Any order issued pursuant to this subdivision
5    (1)(u-5) shall be sufficient warrant for the officer or
6    person named in the order to arrest and deliver the
7    committed person to the proper correctional officials and
8    shall be executed the same as criminal process.
9        (u-6) To appoint a point of contact person who shall
10    receive suggestions, complaints, or other requests to the
11    Department from visitors to Department institutions or
12    facilities and from other members of the public.
13        (v) To do all other acts necessary to carry out the
14    provisions of this Chapter.
15    (2) The Department of Corrections shall by January 1,
161998, consider building and operating a correctional facility
17within 100 miles of a county of over 2,000,000 inhabitants,
18especially a facility designed to house juvenile participants
19in the impact incarceration program.
20    (3) When the Department lets bids for contracts for
21medical services to be provided to persons committed to
22Department facilities by a health maintenance organization,
23medical service corporation, or other health care provider,
24the bid may only be let to a health care provider that has
25obtained an irrevocable letter of credit or performance bond
26issued by a company whose bonds have an investment grade or

 

 

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1higher rating by a bond rating organization.
2    (4) When the Department lets bids for contracts for food
3or commissary services to be provided to Department
4facilities, the bid may only be let to a food or commissary
5services provider that has obtained an irrevocable letter of
6credit or performance bond issued by a company whose bonds
7have an investment grade or higher rating by a bond rating
8organization.
9    (5) On and after the date 6 months after August 16, 2013
10(the effective date of Public Act 98-488), as provided in the
11Executive Order 1 (2012) Implementation Act, all of the
12powers, duties, rights, and responsibilities related to State
13healthcare purchasing under this Code that were transferred
14from the Department of Corrections to the Department of
15Healthcare and Family Services by Executive Order 3 (2005) are
16transferred back to the Department of Corrections; however,
17powers, duties, rights, and responsibilities related to State
18healthcare purchasing under this Code that were exercised by
19the Department of Corrections before the effective date of
20Executive Order 3 (2005) but that pertain to individuals
21resident in facilities operated by the Department of Juvenile
22Justice are transferred to the Department of Juvenile Justice.
23(Source: P.A. 101-235, eff. 1-1-20; 102-350, eff. 8-13-21;
24102-535, eff. 1-1-22; 102-538, eff. 8-20-21; revised
2510-15-21.)
 

 

 

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1    (730 ILCS 5/5-5-3)
2    Sec. 5-5-3. Disposition.
3    (a) (Blank).
4    (b) (Blank).
5    (c) (1) (Blank).
6    (2) A period of probation, a term of periodic imprisonment
7or conditional discharge shall not be imposed for the
8following offenses. The court shall sentence the offender to
9not less than the minimum term of imprisonment set forth in
10this Code for the following offenses, and may order a fine or
11restitution or both in conjunction with such term of
12imprisonment:
13        (A) First degree murder where the death penalty is not
14    imposed.
15        (B) Attempted first degree murder.
16        (C) A Class X felony.
17        (D) A violation of Section 401.1 or 407 of the
18    Illinois Controlled Substances Act, or a violation of
19    subdivision (c)(1.5) of Section 401 of that Act which
20    relates to more than 5 grams of a substance containing
21    fentanyl or an analog thereof.
22        (D-5) A violation of subdivision (c)(1) of Section 401
23    of the Illinois Controlled Substances Act which relates to
24    3 or more grams of a substance containing heroin or an
25    analog thereof.
26        (E) (Blank).

 

 

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1        (F) A Class 1 or greater felony if the offender had
2    been convicted of a Class 1 or greater felony, including
3    any state or federal conviction for an offense that
4    contained, at the time it was committed, the same elements
5    as an offense now (the date of the offense committed after
6    the prior Class 1 or greater felony) classified as a Class
7    1 or greater felony, within 10 years of the date on which
8    the offender committed the offense for which he or she is
9    being sentenced, except as otherwise provided in Section
10    40-10 of the Substance Use Disorder Act.
11        (F-3) A Class 2 or greater felony sex offense or
12    felony firearm offense if the offender had been convicted
13    of a Class 2 or greater felony, including any state or
14    federal conviction for an offense that contained, at the
15    time it was committed, the same elements as an offense now
16    (the date of the offense committed after the prior Class 2
17    or greater felony) classified as a Class 2 or greater
18    felony, within 10 years of the date on which the offender
19    committed the offense for which he or she is being
20    sentenced, except as otherwise provided in Section 40-10
21    of the Substance Use Disorder Act.
22        (F-5) A violation of Section 24-1, 24-1.1, or 24-1.6
23    of the Criminal Code of 1961 or the Criminal Code of 2012
24    for which imprisonment is prescribed in those Sections.
25        (G) Residential burglary, except as otherwise provided
26    in Section 40-10 of the Substance Use Disorder Act.

 

 

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1        (H) Criminal sexual assault.
2        (I) Aggravated battery of a senior citizen as
3    described in Section 12-4.6 or subdivision (a)(4) of
4    Section 12-3.05 of the Criminal Code of 1961 or the
5    Criminal Code of 2012.
6        (J) A forcible felony if the offense was related to
7    the activities of an organized gang.
8        Before July 1, 1994, for the purposes of this
9    paragraph, "organized gang" means an association of 5 or
10    more persons, with an established hierarchy, that
11    encourages members of the association to perpetrate crimes
12    or provides support to the members of the association who
13    do commit crimes.
14        Beginning July 1, 1994, for the purposes of this
15    paragraph, "organized gang" has the meaning ascribed to it
16    in Section 10 of the Illinois Streetgang Terrorism Omnibus
17    Prevention Act.
18        (K) Vehicular hijacking.
19        (L) A second or subsequent conviction for the offense
20    of hate crime when the underlying offense upon which the
21    hate crime is based is felony aggravated assault or felony
22    mob action.
23        (M) A second or subsequent conviction for the offense
24    of institutional vandalism if the damage to the property
25    exceeds $300.
26        (N) A Class 3 felony violation of paragraph (1) of

 

 

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1    subsection (a) of Section 2 of the Firearm Owners
2    Identification Card Act.
3        (O) A violation of Section 12-6.1 or 12-6.5 of the
4    Criminal Code of 1961 or the Criminal Code of 2012.
5        (P) A violation of paragraph (1), (2), (3), (4), (5),
6    or (7) of subsection (a) of Section 11-20.1 of the
7    Criminal Code of 1961 or the Criminal Code of 2012.
8        (P-5) A violation of paragraph (6) of subsection (a)
9    of Section 11-20.1 of the Criminal Code of 1961 or the
10    Criminal Code of 2012 if the victim is a household or
11    family member of the defendant.
12        (Q) A violation of subsection (b) or (b-5) of Section
13    20-1, Section 20-1.2, or Section 20-1.3 of the Criminal
14    Code of 1961 or the Criminal Code of 2012.
15        (R) A violation of Section 24-3A of the Criminal Code
16    of 1961 or the Criminal Code of 2012.
17        (S) (Blank).
18        (T) (Blank).
19        (U) A second or subsequent violation of Section 6-303
20    of the Illinois Vehicle Code committed while his or her
21    driver's license, permit, or privilege was revoked because
22    of a violation of Section 9-3 of the Criminal Code of 1961
23    or the Criminal Code of 2012, relating to the offense of
24    reckless homicide, or a similar provision of a law of
25    another state.
26        (V) A violation of paragraph (4) of subsection (c) of

 

 

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1    Section 11-20.1B or paragraph (4) of subsection (c) of
2    Section 11-20.3 of the Criminal Code of 1961, or paragraph
3    (6) of subsection (a) of Section 11-20.1 of the Criminal
4    Code of 2012 when the victim is under 13 years of age and
5    the defendant has previously been convicted under the laws
6    of this State or any other state of the offense of child
7    pornography, aggravated child pornography, aggravated
8    criminal sexual abuse, aggravated criminal sexual assault,
9    predatory criminal sexual assault of a child, or any of
10    the offenses formerly known as rape, deviate sexual
11    assault, indecent liberties with a child, or aggravated
12    indecent liberties with a child where the victim was under
13    the age of 18 years or an offense that is substantially
14    equivalent to those offenses.
15        (W) A violation of Section 24-3.5 of the Criminal Code
16    of 1961 or the Criminal Code of 2012.
17        (X) A violation of subsection (a) of Section 31-1a of
18    the Criminal Code of 1961 or the Criminal Code of 2012.
19        (Y) A conviction for unlawful possession of a firearm
20    by a street gang member when the firearm was loaded or
21    contained firearm ammunition.
22        (Z) A Class 1 felony committed while he or she was
23    serving a term of probation or conditional discharge for a
24    felony.
25        (AA) Theft of property exceeding $500,000 and not
26    exceeding $1,000,000 in value.

 

 

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1        (BB) Laundering of criminally derived property of a
2    value exceeding $500,000.
3        (CC) Knowingly selling, offering for sale, holding for
4    sale, or using 2,000 or more counterfeit items or
5    counterfeit items having a retail value in the aggregate
6    of $500,000 or more.
7        (DD) A conviction for aggravated assault under
8    paragraph (6) of subsection (c) of Section 12-2 of the
9    Criminal Code of 1961 or the Criminal Code of 2012 if the
10    firearm is aimed toward the person against whom the
11    firearm is being used.
12        (EE) A conviction for a violation of paragraph (2) of
13    subsection (a) of Section 24-3B of the Criminal Code of
14    2012.
15    (3) (Blank).
16    (4) A minimum term of imprisonment of not less than 10
17consecutive days or 30 days of community service shall be
18imposed for a violation of paragraph (c) of Section 6-303 of
19the Illinois Vehicle Code.
20    (4.1) (Blank).
21    (4.2) Except as provided in paragraphs (4.3) and (4.8) of
22this subsection (c), a minimum of 100 hours of community
23service shall be imposed for a second violation of Section
246-303 of the Illinois Vehicle Code.
25    (4.3) A minimum term of imprisonment of 30 days or 300
26hours of community service, as determined by the court, shall

 

 

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1be imposed for a second violation of subsection (c) of Section
26-303 of the Illinois Vehicle Code.
3    (4.4) Except as provided in paragraphs (4.5), (4.6), and
4(4.9) of this subsection (c), a minimum term of imprisonment
5of 30 days or 300 hours of community service, as determined by
6the court, shall be imposed for a third or subsequent
7violation of Section 6-303 of the Illinois Vehicle Code. The
8court may give credit toward the fulfillment of community
9service hours for participation in activities and treatment as
10determined by court services.
11    (4.5) A minimum term of imprisonment of 30 days shall be
12imposed for a third violation of subsection (c) of Section
136-303 of the Illinois Vehicle Code.
14    (4.6) Except as provided in paragraph (4.10) of this
15subsection (c), a minimum term of imprisonment of 180 days
16shall be imposed for a fourth or subsequent violation of
17subsection (c) of Section 6-303 of the Illinois Vehicle Code.
18    (4.7) A minimum term of imprisonment of not less than 30
19consecutive days, or 300 hours of community service, shall be
20imposed for a violation of subsection (a-5) of Section 6-303
21of the Illinois Vehicle Code, as provided in subsection (b-5)
22of that Section.
23    (4.8) A mandatory prison sentence shall be imposed for a
24second violation of subsection (a-5) of Section 6-303 of the
25Illinois Vehicle Code, as provided in subsection (c-5) of that
26Section. The person's driving privileges shall be revoked for

 

 

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1a period of not less than 5 years from the date of his or her
2release from prison.
3    (4.9) A mandatory prison sentence of not less than 4 and
4not more than 15 years shall be imposed for a third violation
5of subsection (a-5) of Section 6-303 of the Illinois Vehicle
6Code, as provided in subsection (d-2.5) of that Section. The
7person's driving privileges shall be revoked for the remainder
8of his or her life.
9    (4.10) A mandatory prison sentence for a Class 1 felony
10shall be imposed, and the person shall be eligible for an
11extended term sentence, for a fourth or subsequent violation
12of subsection (a-5) of Section 6-303 of the Illinois Vehicle
13Code, as provided in subsection (d-3.5) of that Section. The
14person's driving privileges shall be revoked for the remainder
15of his or her life.
16    (5) The court may sentence a corporation or unincorporated
17association convicted of any offense to:
18        (A) a period of conditional discharge;
19        (B) a fine;
20        (C) make restitution to the victim under Section 5-5-6
21    of this Code.
22    (5.1) In addition to any other penalties imposed, and
23except as provided in paragraph (5.2) or (5.3), a person
24convicted of violating subsection (c) of Section 11-907 of the
25Illinois Vehicle Code shall have his or her driver's license,
26permit, or privileges suspended for at least 90 days but not

 

 

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1more than one year, if the violation resulted in damage to the
2property of another person.
3    (5.2) In addition to any other penalties imposed, and
4except as provided in paragraph (5.3), a person convicted of
5violating subsection (c) of Section 11-907 of the Illinois
6Vehicle Code shall have his or her driver's license, permit,
7or privileges suspended for at least 180 days but not more than
82 years, if the violation resulted in injury to another
9person.
10    (5.3) In addition to any other penalties imposed, a person
11convicted of violating subsection (c) of Section 11-907 of the
12Illinois Vehicle Code shall have his or her driver's license,
13permit, or privileges suspended for 2 years, if the violation
14resulted in the death of another person.
15    (5.4) In addition to any other penalties imposed, a person
16convicted of violating Section 3-707 of the Illinois Vehicle
17Code shall have his or her driver's license, permit, or
18privileges suspended for 3 months and until he or she has paid
19a reinstatement fee of $100.
20    (5.5) In addition to any other penalties imposed, a person
21convicted of violating Section 3-707 of the Illinois Vehicle
22Code during a period in which his or her driver's license,
23permit, or privileges were suspended for a previous violation
24of that Section shall have his or her driver's license,
25permit, or privileges suspended for an additional 6 months
26after the expiration of the original 3-month suspension and

 

 

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1until he or she has paid a reinstatement fee of $100.
2    (6) (Blank).
3    (7) (Blank).
4    (8) (Blank).
5    (9) A defendant convicted of a second or subsequent
6offense of ritualized abuse of a child may be sentenced to a
7term of natural life imprisonment.
8    (10) (Blank).
9    (11) The court shall impose a minimum fine of $1,000 for a
10first offense and $2,000 for a second or subsequent offense
11upon a person convicted of or placed on supervision for
12battery when the individual harmed was a sports official or
13coach at any level of competition and the act causing harm to
14the sports official or coach occurred within an athletic
15facility or within the immediate vicinity of the athletic
16facility at which the sports official or coach was an active
17participant of the athletic contest held at the athletic
18facility. For the purposes of this paragraph (11), "sports
19official" means a person at an athletic contest who enforces
20the rules of the contest, such as an umpire or referee;
21"athletic facility" means an indoor or outdoor playing field
22or recreational area where sports activities are conducted;
23and "coach" means a person recognized as a coach by the
24sanctioning authority that conducted the sporting event.
25    (12) A person may not receive a disposition of court
26supervision for a violation of Section 5-16 of the Boat

 

 

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1Registration and Safety Act if that person has previously
2received a disposition of court supervision for a violation of
3that Section.
4    (13) A person convicted of or placed on court supervision
5for an assault or aggravated assault when the victim and the
6offender are family or household members as defined in Section
7103 of the Illinois Domestic Violence Act of 1986 or convicted
8of domestic battery or aggravated domestic battery may be
9required to attend a Partner Abuse Intervention Program under
10protocols set forth by the Illinois Department of Human
11Services under such terms and conditions imposed by the court.
12The costs of such classes shall be paid by the offender.
13    (d) In any case in which a sentence originally imposed is
14vacated, the case shall be remanded to the trial court. The
15trial court shall hold a hearing under Section 5-4-1 of this
16Code which may include evidence of the defendant's life, moral
17character and occupation during the time since the original
18sentence was passed. The trial court shall then impose
19sentence upon the defendant. The trial court may impose any
20sentence which could have been imposed at the original trial
21subject to Section 5-5-4 of this Code. If a sentence is vacated
22on appeal or on collateral attack due to the failure of the
23trier of fact at trial to determine beyond a reasonable doubt
24the existence of a fact (other than a prior conviction)
25necessary to increase the punishment for the offense beyond
26the statutory maximum otherwise applicable, either the

 

 

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1defendant may be re-sentenced to a term within the range
2otherwise provided or, if the State files notice of its
3intention to again seek the extended sentence, the defendant
4shall be afforded a new trial.
5    (e) In cases where prosecution for aggravated criminal
6sexual abuse under Section 11-1.60 or 12-16 of the Criminal
7Code of 1961 or the Criminal Code of 2012 results in conviction
8of a defendant who was a family member of the victim at the
9time of the commission of the offense, the court shall
10consider the safety and welfare of the victim and may impose a
11sentence of probation only where:
12        (1) the court finds (A) or (B) or both are
13    appropriate:
14            (A) the defendant is willing to undergo a court
15        approved counseling program for a minimum duration of
16        2 years; or
17            (B) the defendant is willing to participate in a
18        court approved plan, including, but not limited to,
19        the defendant's:
20                (i) removal from the household;
21                (ii) restricted contact with the victim;
22                (iii) continued financial support of the
23            family;
24                (iv) restitution for harm done to the victim;
25            and
26                (v) compliance with any other measures that

 

 

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1            the court may deem appropriate; and
2        (2) the court orders the defendant to pay for the
3    victim's counseling services, to the extent that the court
4    finds, after considering the defendant's income and
5    assets, that the defendant is financially capable of
6    paying for such services, if the victim was under 18 years
7    of age at the time the offense was committed and requires
8    counseling as a result of the offense.
9    Probation may be revoked or modified pursuant to Section
105-6-4; except where the court determines at the hearing that
11the defendant violated a condition of his or her probation
12restricting contact with the victim or other family members or
13commits another offense with the victim or other family
14members, the court shall revoke the defendant's probation and
15impose a term of imprisonment.
16    For the purposes of this Section, "family member" and
17"victim" shall have the meanings ascribed to them in Section
1811-0.1 of the Criminal Code of 2012.
19    (f) (Blank).
20    (g) Whenever a defendant is convicted of an offense under
21Sections 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-14,
2211-14.3, 11-14.4 except for an offense that involves keeping a
23place of juvenile prostitution, 11-15, 11-15.1, 11-16, 11-17,
2411-18, 11-18.1, 11-19, 11-19.1, 11-19.2, 12-13, 12-14,
2512-14.1, 12-15, or 12-16 of the Criminal Code of 1961 or the
26Criminal Code of 2012, the defendant shall undergo medical

 

 

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1testing to determine whether the defendant has any sexually
2transmissible disease, including a test for infection with
3human immunodeficiency virus (HIV) or any other identified
4causative agent of acquired immunodeficiency syndrome (AIDS).
5Any such medical test shall be performed only by appropriately
6licensed medical practitioners and may include an analysis of
7any bodily fluids as well as an examination of the defendant's
8person. Except as otherwise provided by law, the results of
9such test shall be kept strictly confidential by all medical
10personnel involved in the testing and must be personally
11delivered in a sealed envelope to the judge of the court in
12which the conviction was entered for the judge's inspection in
13camera. Acting in accordance with the best interests of the
14victim and the public, the judge shall have the discretion to
15determine to whom, if anyone, the results of the testing may be
16revealed. The court shall notify the defendant of the test
17results. The court shall also notify the victim if requested
18by the victim, and if the victim is under the age of 15 and if
19requested by the victim's parents or legal guardian, the court
20shall notify the victim's parents or legal guardian of the
21test results. The court shall provide information on the
22availability of HIV testing and counseling at Department of
23Public Health facilities to all parties to whom the results of
24the testing are revealed and shall direct the State's Attorney
25to provide the information to the victim when possible. The
26court shall order that the cost of any such test shall be paid

 

 

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1by the county and may be taxed as costs against the convicted
2defendant.
3    (g-5) When an inmate is tested for an airborne
4communicable disease, as determined by the Illinois Department
5of Public Health, including, but not limited to, tuberculosis,
6the results of the test shall be personally delivered by the
7warden or his or her designee in a sealed envelope to the judge
8of the court in which the inmate must appear for the judge's
9inspection in camera if requested by the judge. Acting in
10accordance with the best interests of those in the courtroom,
11the judge shall have the discretion to determine what if any
12precautions need to be taken to prevent transmission of the
13disease in the courtroom.
14    (h) Whenever a defendant is convicted of an offense under
15Section 1 or 2 of the Hypodermic Syringes and Needles Act, the
16defendant shall undergo medical testing to determine whether
17the defendant has been exposed to human immunodeficiency virus
18(HIV) or any other identified causative agent of acquired
19immunodeficiency syndrome (AIDS). Except as otherwise provided
20by law, the results of such test shall be kept strictly
21confidential by all medical personnel involved in the testing
22and must be personally delivered in a sealed envelope to the
23judge of the court in which the conviction was entered for the
24judge's inspection in camera. Acting in accordance with the
25best interests of the public, the judge shall have the
26discretion to determine to whom, if anyone, the results of the

 

 

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1testing may be revealed. The court shall notify the defendant
2of a positive test showing an infection with the human
3immunodeficiency virus (HIV). The court shall provide
4information on the availability of HIV testing and counseling
5at Department of Public Health facilities to all parties to
6whom the results of the testing are revealed and shall direct
7the State's Attorney to provide the information to the victim
8when possible. The court shall order that the cost of any such
9test shall be paid by the county and may be taxed as costs
10against the convicted defendant.
11    (i) All fines and penalties imposed under this Section for
12any violation of Chapters 3, 4, 6, and 11 of the Illinois
13Vehicle Code, or a similar provision of a local ordinance, and
14any violation of the Child Passenger Protection Act, or a
15similar provision of a local ordinance, shall be collected and
16disbursed by the circuit clerk as provided under the Criminal
17and Traffic Assessment Act.
18    (j) In cases when prosecution for any violation of Section
1911-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-8, 11-9,
2011-11, 11-14, 11-14.3, 11-14.4, 11-15, 11-15.1, 11-16, 11-17,
2111-17.1, 11-18, 11-18.1, 11-19, 11-19.1, 11-19.2, 11-20.1,
2211-20.1B, 11-20.3, 11-21, 11-30, 11-40, 12-13, 12-14, 12-14.1,
2312-15, or 12-16 of the Criminal Code of 1961 or the Criminal
24Code of 2012, any violation of the Illinois Controlled
25Substances Act, any violation of the Cannabis Control Act, or
26any violation of the Methamphetamine Control and Community

 

 

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1Protection Act results in conviction, a disposition of court
2supervision, or an order of probation granted under Section 10
3of the Cannabis Control Act, Section 410 of the Illinois
4Controlled Substances Act, or Section 70 of the
5Methamphetamine Control and Community Protection Act of a
6defendant, the court shall determine whether the defendant is
7employed by a facility or center as defined under the Child
8Care Act of 1969, a public or private elementary or secondary
9school, or otherwise works with children under 18 years of age
10on a daily basis. When a defendant is so employed, the court
11shall order the Clerk of the Court to send a copy of the
12judgment of conviction or order of supervision or probation to
13the defendant's employer by certified mail. If the employer of
14the defendant is a school, the Clerk of the Court shall direct
15the mailing of a copy of the judgment of conviction or order of
16supervision or probation to the appropriate regional
17superintendent of schools. The regional superintendent of
18schools shall notify the State Board of Education of any
19notification under this subsection.
20    (j-5) A defendant at least 17 years of age who is convicted
21of a felony and who has not been previously convicted of a
22misdemeanor or felony and who is sentenced to a term of
23imprisonment in the Illinois Department of Corrections shall
24as a condition of his or her sentence be required by the court
25to attend educational courses designed to prepare the
26defendant for a high school diploma and to work toward a high

 

 

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1school diploma or to work toward passing high school
2equivalency testing or to work toward completing a vocational
3training program offered by the Department of Corrections. If
4a defendant fails to complete the educational training
5required by his or her sentence during the term of
6incarceration, the Prisoner Review Board shall, as a condition
7of mandatory supervised release, require the defendant, at his
8or her own expense, to pursue a course of study toward a high
9school diploma or passage of high school equivalency testing.
10The Prisoner Review Board shall revoke the mandatory
11supervised release of a defendant who wilfully fails to comply
12with this subsection (j-5) upon his or her release from
13confinement in a penal institution while serving a mandatory
14supervised release term; however, the inability of the
15defendant after making a good faith effort to obtain financial
16aid or pay for the educational training shall not be deemed a
17wilful failure to comply. The Prisoner Review Board shall
18recommit the defendant whose mandatory supervised release term
19has been revoked under this subsection (j-5) as provided in
20Section 3-3-9. This subsection (j-5) does not apply to a
21defendant who has a high school diploma or has successfully
22passed high school equivalency testing. This subsection (j-5)
23does not apply to a defendant who is determined by the court to
24be a person with a developmental disability or otherwise
25mentally incapable of completing the educational or vocational
26program.

 

 

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1    (k) (Blank).
2    (l) (A) Except as provided in paragraph (C) of subsection
3(l), whenever a defendant, who is not a citizen or national of
4the United States an alien as defined by the Immigration and
5Nationality Act, is convicted of any felony or misdemeanor
6offense, the court after sentencing the defendant may, upon
7motion of the State's Attorney, hold sentence in abeyance and
8remand the defendant to the custody of the Attorney General of
9the United States or his or her designated agent to be deported
10when:
11        (1) a final order of deportation has been issued
12    against the defendant pursuant to proceedings under the
13    Immigration and Nationality Act, and
14        (2) the deportation of the defendant would not
15    deprecate the seriousness of the defendant's conduct and
16    would not be inconsistent with the ends of justice.
17    Otherwise, the defendant shall be sentenced as provided in
18this Chapter V.
19    (B) If the defendant has already been sentenced for a
20felony or misdemeanor offense, or has been placed on probation
21under Section 10 of the Cannabis Control Act, Section 410 of
22the Illinois Controlled Substances Act, or Section 70 of the
23Methamphetamine Control and Community Protection Act, the
24court may, upon motion of the State's Attorney to suspend the
25sentence imposed, commit the defendant to the custody of the
26Attorney General of the United States or his or her designated

 

 

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1agent when:
2        (1) a final order of deportation has been issued
3    against the defendant pursuant to proceedings under the
4    Immigration and Nationality Act, and
5        (2) the deportation of the defendant would not
6    deprecate the seriousness of the defendant's conduct and
7    would not be inconsistent with the ends of justice.
8    (C) This subsection (l) does not apply to offenders who
9are subject to the provisions of paragraph (2) of subsection
10(a) of Section 3-6-3.
11    (D) Upon motion of the State's Attorney, if a defendant
12sentenced under this Section returns to the jurisdiction of
13the United States, the defendant shall be recommitted to the
14custody of the county from which he or she was sentenced.
15Thereafter, the defendant shall be brought before the
16sentencing court, which may impose any sentence that was
17available under Section 5-5-3 at the time of initial
18sentencing. In addition, the defendant shall not be eligible
19for additional earned sentence credit as provided under
20Section 3-6-3.
21    (m) A person convicted of criminal defacement of property
22under Section 21-1.3 of the Criminal Code of 1961 or the
23Criminal Code of 2012, in which the property damage exceeds
24$300 and the property damaged is a school building, shall be
25ordered to perform community service that may include cleanup,
26removal, or painting over the defacement.

 

 

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1    (n) The court may sentence a person convicted of a
2violation of Section 12-19, 12-21, 16-1.3, or 17-56, or
3subsection (a) or (b) of Section 12-4.4a, of the Criminal Code
4of 1961 or the Criminal Code of 2012 (i) to an impact
5incarceration program if the person is otherwise eligible for
6that program under Section 5-8-1.1, (ii) to community service,
7or (iii) if the person has a substance use disorder, as defined
8in the Substance Use Disorder Act, to a treatment program
9licensed under that Act.
10    (o) Whenever a person is convicted of a sex offense as
11defined in Section 2 of the Sex Offender Registration Act, the
12defendant's driver's license or permit shall be subject to
13renewal on an annual basis in accordance with the provisions
14of license renewal established by the Secretary of State.
15(Source: P.A. 101-81, eff. 7-12-19; 102-168, eff. 7-27-21;
16102-531, eff. 1-1-22; revised 10-12-21.)
 
17    Section 120. The Property Owned By Aliens Act is amended
18by changing the title of the Act and Sections 0.01, 7, and 8 as
19follows:
 
20    (765 ILCS 60/Act title)
21    An Act concerning the right of noncitizens aliens to
22acquire and hold real and personal property.
 
23    (765 ILCS 60/0.01)  (from Ch. 6, par. 0.01)

 

 

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1    Sec. 0.01. Short title. This Act may be cited as the
2Property Owned By Noncitizens Aliens Act.
3(Source: P.A. 86-1324.)
 
4    (765 ILCS 60/7)  (from Ch. 6, par. 7)
5    Sec. 7. All noncitizens aliens may acquire, hold, and
6dispose of real and personal property in the same manner and to
7the same extent as natural born citizens of the United States,
8and the personal estate of a noncitizen an alien dying
9intestate shall be distributed in the same manner as the
10estates of natural born citizens, and all persons interested
11in such estate shall be entitled to proper distributive shares
12thereof under the laws of this state, whether they are
13noncitizens aliens or not.
14    This amendatory Act of 1992 does not apply to the
15Agricultural Foreign Investment Disclosure Act.
16(Source: P.A. 87-1101.)
 
17    (765 ILCS 60/8)  (from Ch. 6, par. 8)
18    Sec. 8. An act in regard to noncitizens aliens and to
19restrict their right to acquire and hold real and personal
20estate and to provide for the disposition of the lands now
21owned by non-resident noncitizens aliens, approved June 16,
221887, and in force July 1, 1887, and all other acts and parts
23of acts in conflict with this act, are hereby repealed.
24(Source: Laws 1897, p. 5.)
 

 

 

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1    Section 125. The Property Taxes of Alien Landlords Act is
2amended by changing the title of the Act and Sections 0.01 and
31 as follows:
 
4    (765 ILCS 725/Act title)
5    An Act to prevent noncitizen alien landlords from
6including the payment of taxes in the rent of farm lands as a
7part of the rental thereof.
 
8    (765 ILCS 725/0.01)  (from Ch. 6, par. 8.9)
9    Sec. 0.01. Short title. This Act may be cited as the
10Property Taxes Of Noncitizen Alien Landlords Act.
11(Source: P.A. 86-1324.)
 
12    (765 ILCS 725/1)  (from Ch. 6, par. 9)
13    Sec. 1. No contract, agreement or lease in writing or by
14parol, by which any lands or tenements therein are demised or
15leased by any noncitizen alien or his agents for the purpose of
16farming, cultivation or the raising of crops thereon, shall
17contain any provision requiring the tenant or other person for
18him, to pay taxes on said lands or tenements, or any part
19thereof, and all such provisions, agreements and leases so
20made are declared void as to the taxes aforesaid. If any
21noncitizen alien landlord or his agents shall receive in
22advance or at any other time any sum of money or article of

 

 

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1value from any tenant in lieu of such taxes, directly or
2indirectly, the same may be recovered back by such tenant
3before any court having jurisdiction of the amount thereof,
4and all provisions or agreements in writing or otherwise to
5pay such taxes shall be held in all courts of this state to be
6void.
7(Source: P.A. 81-1509.)
 
8    Section 130. The Illinois Human Rights Act is amended by
9changing Section 2-101 as follows:
 
10    (775 ILCS 5/2-101)
11    Sec. 2-101. Definitions. The following definitions are
12applicable strictly in the context of this Article.
13    (A) Employee.
14        (1) "Employee" includes:
15            (a) Any individual performing services for
16        remuneration within this State for an employer;
17            (b) An apprentice;
18            (c) An applicant for any apprenticeship.
19        For purposes of subsection (D) of Section 2-102 of
20    this Act, "employee" also includes an unpaid intern. An
21    unpaid intern is a person who performs work for an
22    employer under the following circumstances:
23            (i) the employer is not committed to hiring the
24        person performing the work at the conclusion of the

 

 

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1        intern's tenure;
2            (ii) the employer and the person performing the
3        work agree that the person is not entitled to wages for
4        the work performed; and
5            (iii) the work performed:
6                (I) supplements training given in an
7            educational environment that may enhance the
8            employability of the intern;
9                (II) provides experience for the benefit of
10            the person performing the work;
11                (III) does not displace regular employees;
12                (IV) is performed under the close supervision
13            of existing staff; and
14                (V) provides no immediate advantage to the
15            employer providing the training and may
16            occasionally impede the operations of the
17            employer.
18        (2) "Employee" does not include:
19            (a) (Blank);
20            (b) Individuals employed by persons who are not
21        "employers" as defined by this Act;
22            (c) Elected public officials or the members of
23        their immediate personal staffs;
24            (d) Principal administrative officers of the State
25        or of any political subdivision, municipal corporation
26        or other governmental unit or agency;

 

 

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1            (e) A person in a vocational rehabilitation
2        facility certified under federal law who has been
3        designated an evaluee, trainee, or work activity
4        client.
5    (B) Employer.
6        (1) "Employer" includes:
7            (a) Any person employing one or more employees
8        within Illinois during 20 or more calendar weeks
9        within the calendar year of or preceding the alleged
10        violation;
11            (b) Any person employing one or more employees
12        when a complainant alleges civil rights violation due
13        to unlawful discrimination based upon his or her
14        physical or mental disability unrelated to ability,
15        pregnancy, or sexual harassment;
16            (c) The State and any political subdivision,
17        municipal corporation or other governmental unit or
18        agency, without regard to the number of employees;
19            (d) Any party to a public contract without regard
20        to the number of employees;
21            (e) A joint apprenticeship or training committee
22        without regard to the number of employees.
23        (2) "Employer" does not include any place of worship,
24    religious corporation, association, educational
25    institution, society, or non-profit nursing institution
26    conducted by and for those who rely upon treatment by

 

 

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1    prayer through spiritual means in accordance with the
2    tenets of a recognized church or religious denomination
3    with respect to the employment of individuals of a
4    particular religion to perform work connected with the
5    carrying on by such place of worship, corporation,
6    association, educational institution, society or
7    non-profit nursing institution of its activities.
8    (C) Employment Agency. "Employment Agency" includes both
9public and private employment agencies and any person, labor
10organization, or labor union having a hiring hall or hiring
11office regularly undertaking, with or without compensation, to
12procure opportunities to work, or to procure, recruit, refer
13or place employees.
14    (D) Labor Organization. "Labor Organization" includes any
15organization, labor union, craft union, or any voluntary
16unincorporated association designed to further the cause of
17the rights of union labor which is constituted for the
18purpose, in whole or in part, of collective bargaining or of
19dealing with employers concerning grievances, terms or
20conditions of employment, or apprenticeships or applications
21for apprenticeships, or of other mutual aid or protection in
22connection with employment, including apprenticeships or
23applications for apprenticeships.
24    (E) Sexual Harassment. "Sexual harassment" means any
25unwelcome sexual advances or requests for sexual favors or any
26conduct of a sexual nature when (1) submission to such conduct

 

 

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1is made either explicitly or implicitly a term or condition of
2an individual's employment, (2) submission to or rejection of
3such conduct by an individual is used as the basis for
4employment decisions affecting such individual, or (3) such
5conduct has the purpose or effect of substantially interfering
6with an individual's work performance or creating an
7intimidating, hostile or offensive working environment.
8    For purposes of this definition, the phrase "working
9environment" is not limited to a physical location an employee
10is assigned to perform his or her duties.
11    (E-1) Harassment. "Harassment" means any unwelcome conduct
12on the basis of an individual's actual or perceived race,
13color, religion, national origin, ancestry, age, sex, marital
14status, order of protection status, disability, military
15status, sexual orientation, pregnancy, unfavorable discharge
16from military service, citizenship status, or work
17authorization status that has the purpose or effect of
18substantially interfering with the individual's work
19performance or creating an intimidating, hostile, or offensive
20working environment. For purposes of this definition, the
21phrase "working environment" is not limited to a physical
22location an employee is assigned to perform his or her duties.
23    (F) Religion. "Religion" with respect to employers
24includes all aspects of religious observance and practice, as
25well as belief, unless an employer demonstrates that he is
26unable to reasonably accommodate an employee's or prospective

 

 

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1employee's religious observance or practice without undue
2hardship on the conduct of the employer's business.
3    (G) Public Employer. "Public employer" means the State, an
4agency or department thereof, unit of local government, school
5district, instrumentality or political subdivision.
6    (H) Public Employee. "Public employee" means an employee
7of the State, agency or department thereof, unit of local
8government, school district, instrumentality or political
9subdivision. "Public employee" does not include public
10officers or employees of the General Assembly or agencies
11thereof.
12    (I) Public Officer. "Public officer" means a person who is
13elected to office pursuant to the Constitution or a statute or
14ordinance, or who is appointed to an office which is
15established, and the qualifications and duties of which are
16prescribed, by the Constitution or a statute or ordinance, to
17discharge a public duty for the State, agency or department
18thereof, unit of local government, school district,
19instrumentality or political subdivision.
20    (J) Eligible Bidder. "Eligible bidder" means a person who,
21prior to contract award or prior to bid opening for State
22contracts for construction or construction-related services,
23has filed with the Department a properly completed, sworn and
24currently valid employer report form, pursuant to the
25Department's regulations. The provisions of this Article
26relating to eligible bidders apply only to bids on contracts

 

 

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1with the State and its departments, agencies, boards, and
2commissions, and the provisions do not apply to bids on
3contracts with units of local government or school districts.
4    (K) Citizenship Status. "Citizenship status" means the
5status of being:
6        (1) a born U.S. citizen;
7        (2) a naturalized U.S. citizen;
8        (3) a U.S. national; or
9        (4) a person born outside the United States and not a
10    U.S. citizen who is lawfully present not an unauthorized
11    alien and who is protected from discrimination under the
12    provisions of Section 1324b of Title 8 of the United
13    States Code, as now or hereafter amended.
14    (L) Work Authorization Status. "Work authorization status"
15means the status of being a person born outside of the United
16States, and not a U.S. citizen, who is authorized by the
17federal government to work in the United States.
18(Source: P.A. 101-221, eff. 1-1-20; 101-430, eff. 7-1-20;
19102-233, eff. 8-2-21; 102-558, eff. 8-20-21.)
 
20    Section 135. The Resident Alien Course Act is amended by
21changing the title of the Act and Sections 0.01, 1, 2, and 3 as
22follows:
 
23    (815 ILCS 400/Act title)
24    An Act concerning fees charged for courses offered to

 

 

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1persons seeking permanent resident alien status under the
2Immigration Reform and Control Act of 1986.
 
3    (815 ILCS 400/0.01)  (from Ch. 111, par. 8050)
4    Sec. 0.01. Short title. This Act may be cited as the
5Resident Alien Course Act.
6(Source: P.A. 86-1324.)
 
7    (815 ILCS 400/1)  (from Ch. 111, par. 8051)
8    Sec. 1. No individual or agency, authorized by the U.S.
9Immigration and Naturalization Service to offer a course
10leading to a certificate of satisfactory pursuit for issuance
11of permanent resident alien status, may charge a fee for such
12course in excess of $5 per hour per individual up to the first
1360 hours of instruction or $500 for up to 12 months of
14instruction from the date of registration. As used in this
15Section, the term "fee" includes all costs associated with the
16course, including the costs of instruction and materials.
17(Source: P.A. 86-831.)
 
18    (815 ILCS 400/2)  (from Ch. 111, par. 8052)
19    Sec. 2. No individual or agency which offers any service
20or course with the promise of preparing the recipient or
21enrollee for the English and civics exam of the U.S.
22Immigration and Naturalization Service for issuance of
23permanent resident alien status may charge a fee for such

 

 

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1service or course in excess of $5 per hour per individual up to
2the first 60 hours of instruction or $500 for up to 12 months
3of instruction from the date of registration. As used in this
4Section, the term "fee" includes all costs associated with the
5service or course, including the costs of instruction and
6materials.
7(Source: P.A. 86-831.)
 
8    (815 ILCS 400/3)  (from Ch. 111, par. 8053)
9    Sec. 3. Any individual or agency offering a course or
10service described in Section 2 shall include within any
11literature or print or electronic advertisement for such
12service or course a statement that such service or course is
13designed to prepare the recipient or enrollee for the English
14and civics exam of the U.S. Immigration and Naturalization
15Service and that the individual or agency offering the service
16or course does not issue the certificate of satisfactory
17pursuit required by the U.S. Immigration and Naturalization
18Service for issuance of permanent resident alien status.
19(Source: P.A. 86-831.)
 
20    Section 140. The Consumer Fraud and Deceptive Business
21Practices Act is amended by changing Section 2AA as follows:
 
22    (815 ILCS 505/2AA)
23    Sec. 2AA. Immigration services.

 

 

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1    (a) "Immigration matter" means any proceeding, filing, or
2action affecting the nonimmigrant, immigrant or citizenship
3status of any person that arises under immigration and
4naturalization law, executive order or presidential
5proclamation of the United States or any foreign country, or
6that arises under action of the United States Citizenship and
7Immigration Services, the United States Department of Labor,
8or the United States Department of State.
9    "Immigration assistance service" means any information or
10action provided or offered to customers or prospective
11customers related to immigration matters, excluding legal
12advice, recommending a specific course of legal action, or
13providing any other assistance that requires legal analysis,
14legal judgment, or interpretation of the law.
15    "Compensation" means money, property, services, promise of
16payment, or anything else of value.
17    "Employed by" means that a person is on the payroll of the
18employer and the employer deducts from the employee's paycheck
19social security and withholding taxes, or receives
20compensation from the employer on a commission basis or as an
21independent contractor.
22    "Reasonable costs" means actual costs or, if actual costs
23cannot be calculated, reasonably estimated costs of such
24things as photocopying, telephone calls, document requests,
25and filing fees for immigration forms, and other nominal costs
26incidental to assistance in an immigration matter.

 

 

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1    (a-1) The General Assembly finds and declares that private
2individuals who assist persons with immigration matters have a
3significant impact on the ability of their clients to reside
4and work within the United States and to establish and
5maintain stable families and business relationships. The
6General Assembly further finds that that assistance and its
7impact also have a significant effect on the cultural, social,
8and economic life of the State of Illinois and thereby
9substantially affect the public interest. It is the intent of
10the General Assembly to establish rules of practice and
11conduct for those individuals to promote honesty and fair
12dealing with residents and to preserve public confidence.
13    (a-5) The following persons are exempt from this Section,
14provided they prove the exemption by a preponderance of the
15evidence:
16        (1) An attorney licensed to practice law in any state
17    or territory of the United States, or of any foreign
18    country when authorized by the Illinois Supreme Court, to
19    the extent the attorney renders immigration assistance
20    service in the course of his or her practice as an
21    attorney.
22        (2) A legal intern, as described by the rules of the
23    Illinois Supreme Court, employed by and under the direct
24    supervision of a licensed attorney and rendering
25    immigration assistance service in the course of the
26    intern's employment.

 

 

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1        (3) A not-for-profit organization recognized by the
2    Board of Immigration Appeals under 8 CFR 292.2(a) and
3    employees of those organizations accredited under 8 CFR
4    292.2(d).
5        (4) Any organization employing or desiring to employ a
6    documented or undocumented immigrant or nonimmigrant
7    alien, where the organization, its employees or its agents
8    provide advice or assistance in immigration matters to
9    documented or undocumented immigrant or nonimmigrant alien
10    employees or potential employees without compensation from
11    the individuals to whom such advice or assistance is
12    provided.
13    Nothing in this Section shall regulate any business to the
14extent that such regulation is prohibited or preempted by
15State or federal law.
16    All other persons providing or offering to provide
17immigration assistance service shall be subject to this
18Section.
19    (b) Any person who provides or offers to provide
20immigration assistance service may perform only the following
21services:
22        (1) Completing a government agency form, requested by
23    the customer and appropriate to the customer's needs, only
24    if the completion of that form does not involve a legal
25    judgment for that particular matter.
26        (2) Transcribing responses to a government agency form

 

 

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1    which is related to an immigration matter, but not
2    advising a customer as to his or her answers on those
3    forms.
4        (3) Translating information on forms to a customer and
5    translating the customer's answers to questions posed on
6    those forms.
7        (4) Securing for the customer supporting documents
8    currently in existence, such as birth and marriage
9    certificates, which may be needed to be submitted with
10    government agency forms.
11        (5) Translating documents from a foreign language into
12    English.
13        (6) Notarizing signatures on government agency forms,
14    if the person performing the service is a notary public of
15    the State of Illinois.
16        (7) Making referrals, without fee, to attorneys who
17    could undertake legal representation for a person in an
18    immigration matter.
19        (8) Preparing or arranging for the preparation of
20    photographs and fingerprints.
21        (9) Arranging for the performance of medical testing
22    (including X-rays and AIDS tests) and the obtaining of
23    reports of such test results.
24        (10) Conducting English language and civics courses.
25        (11) Other services that the Attorney General
26    determines by rule may be appropriately performed by such

 

 

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1    persons in light of the purposes of this Section.
2    Fees for a notary public, agency, or any other person who
3is not an attorney or an accredited representative filling out
4immigration forms shall be limited to the maximum fees set
5forth in subsections (a) and (b) of Section 3-104 of the
6Illinois Notary Public Act (5 ILCS 312/3-104). The maximum fee
7schedule set forth in subsections (a) and (b) of Section 3-104
8of the Illinois Notary Public Act shall apply to any person
9that provides or offers to provide immigration assistance
10service performing the services described therein. The
11Attorney General may promulgate rules establishing maximum
12fees that may be charged for any services not described in that
13subsection. The maximum fees must be reasonable in light of
14the costs of providing those services and the degree of
15professional skill required to provide the services.
16    No person subject to this Act shall charge fees directly
17or indirectly for referring an individual to an attorney or
18for any immigration matter not authorized by this Article,
19provided that a person may charge a fee for notarizing
20documents as permitted by the Illinois Notary Public Act.
21    (c) Any person performing such services shall register
22with the Illinois Attorney General and submit verification of
23malpractice insurance or of a surety bond.
24    (d) Except as provided otherwise in this subsection,
25before providing any assistance in an immigration matter a
26person shall provide the customer with a written contract that

 

 

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1includes the following:
2        (1) An explanation of the services to be performed.
3        (2) Identification of all compensation and costs to be
4    charged to the customer for the services to be performed.
5        (3) A statement that documents submitted in support of
6    an application for nonimmigrant, immigrant, or
7    naturalization status may not be retained by the person
8    for any purpose, including payment of compensation or
9    costs.
10    This subsection does not apply to a not-for-profit
11organization that provides advice or assistance in immigration
12matters to clients without charge beyond a reasonable fee to
13reimburse the organization's or clinic's reasonable costs
14relating to providing immigration services to that client.
15    (e) Any person who provides or offers immigration
16assistance service and is not exempted from this Section,
17shall post signs at his or her place of business, setting forth
18information in English and in every other language in which
19the person provides or offers to provide immigration
20assistance service. Each language shall be on a separate sign.
21Signs shall be posted in a location where the signs will be
22visible to customers. Each sign shall be at least 11 inches by
2317 inches, and shall contain the following:
24        (1) The statement "I AM NOT AN ATTORNEY LICENSED TO
25    PRACTICE LAW AND MAY NOT GIVE LEGAL ADVICE OR ACCEPT FEES
26    FOR LEGAL ADVICE.".

 

 

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1        (2) The statement "I AM NOT ACCREDITED TO REPRESENT
2    YOU BEFORE THE UNITED STATES IMMIGRATION AND
3    NATURALIZATION SERVICE AND THE IMMIGRATION BOARD OF
4    APPEALS.".
5        (3) The fee schedule.
6        (4) The statement that "You may cancel any contract
7    within 3 working days and get your money back for services
8    not performed.".
9        (5) Additional information the Attorney General may
10    require by rule.
11    Every person engaged in immigration assistance service who
12is not an attorney who advertises immigration assistance
13service in a language other than English, whether by radio,
14television, signs, pamphlets, newspapers, or other written
15communication, with the exception of a single desk plaque,
16shall include in the document, advertisement, stationery,
17letterhead, business card, or other comparable written
18material the following notice in English and the language in
19which the written communication appears. This notice shall be
20of a conspicuous size, if in writing, and shall state: "I AM
21NOT AN ATTORNEY LICENSED TO PRACTICE LAW IN ILLINOIS AND MAY
22NOT GIVE LEGAL ADVICE OR ACCEPT FEES FOR LEGAL ADVICE.". If
23such advertisement is by radio or television, the statement
24may be modified but must include substantially the same
25message.
26    Any person who provides or offers immigration assistance

 

 

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1service and is not exempted from this Section shall not, in any
2document, advertisement, stationery, letterhead, business
3card, or other comparable written material, literally
4translate from English into another language terms or titles
5including, but not limited to, notary public, notary,
6licensed, attorney, lawyer, or any other term that implies the
7person is an attorney. To illustrate, the words "notario" and
8"poder notarial" are prohibited under this provision.
9    If not subject to penalties under subsection (a) of
10Section 3-103 of the Illinois Notary Public Act (5 ILCS
11312/3-103), violations of this subsection shall result in a
12fine of $1,000. Violations shall not preempt or preclude
13additional appropriate civil or criminal penalties.
14    (f) The written contract shall be in both English and in
15the language of the customer.
16    (g) A copy of the contract shall be provided to the
17customer upon the customer's execution of the contract.
18    (h) A customer has the right to rescind a contract within
1972 hours after his or her signing of the contract.
20    (i) Any documents identified in paragraph (3) of
21subsection (c) shall be returned upon demand of the customer.
22    (j) No person engaged in providing immigration services
23who is not exempted under this Section shall do any of the
24following:
25        (1) Make any statement that the person can or will
26    obtain special favors from or has special influence with

 

 

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1    the United States Immigration and Naturalization Service
2    or any other government agency.
3        (2) Retain any compensation for service not performed.
4        (2.5) Accept payment in exchange for providing legal
5    advice or any other assistance that requires legal
6    analysis, legal judgment, or interpretation of the law.
7        (3) Refuse to return documents supplied by, prepared
8    on behalf of, or paid for by the customer upon the request
9    of the customer. These documents must be returned upon
10    request even if there is a fee dispute between the
11    immigration assistant and the customer.
12        (4) Represent or advertise, in connection with the
13    provision of assistance in immigration matters, other
14    titles of credentials, including but not limited to
15    "notary public" or "immigration consultant," that could
16    cause a customer to believe that the person possesses
17    special professional skills or is authorized to provide
18    advice on an immigration matter; provided that a notary
19    public appointed by the Illinois Secretary of State may
20    use the term "notary public" if the use is accompanied by
21    the statement that the person is not an attorney; the term
22    "notary public" may not be translated to another language;
23    for example "notario" is prohibited.
24        (5) Provide legal advice, recommend a specific course
25    of legal action, or provide any other assistance that
26    requires legal analysis, legal judgment, or interpretation

 

 

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1    of the law.
2        (6) Make any misrepresentation of false statement,
3    directly or indirectly, to influence, persuade, or induce
4    patronage.
5    (k) (Blank).
6    (l) (Blank).
7    (m) Any person who violates any provision of this Section,
8or the rules and regulations issued under this Section, shall
9be guilty of a Class A misdemeanor for a first offense and a
10Class 3 felony for a second or subsequent offense committed
11within 5 years of a previous conviction for the same offense.
12    Upon his own information or upon the complaint of any
13person, the Attorney General or any State's Attorney, or a
14municipality with a population of more than 1,000,000, may
15maintain an action for injunctive relief and also seek a civil
16penalty not exceeding $50,000 in the circuit court against any
17person who violates any provision of this Section. These
18remedies are in addition to, and not in substitution for,
19other available remedies.
20    If the Attorney General or any State's Attorney or a
21municipality with a population of more than 1,000,000 fails to
22bring an action as provided under this Section any person may
23file a civil action to enforce the provisions of this Article
24and maintain an action for injunctive relief, for compensatory
25damages to recover prohibited fees, or for such additional
26relief as may be appropriate to deter, prevent, or compensate

 

 

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1for the violation. In order to deter violations of this
2Section, courts shall not require a showing of the traditional
3elements for equitable relief. A prevailing plaintiff may be
4awarded 3 times the prohibited fees or a minimum of $1,000 in
5punitive damages, attorney's fees, and costs of bringing an
6action under this Section. It is the express intention of the
7General Assembly that remedies for violation of this Section
8be cumulative.
9    (n) No unit of local government, including any home rule
10unit, shall have the authority to regulate immigration
11assistance services unless such regulations are at least as
12stringent as those contained in Public Act 87-1211. It is
13declared to be the law of this State, pursuant to paragraph (i)
14of Section 6 of Article VII of the Illinois Constitution of
151970, that Public Act 87-1211 is a limitation on the authority
16of a home rule unit to exercise powers concurrently with the
17State. The limitations of this Section do not apply to a home
18rule unit that has, prior to January 1, 1993 (the effective
19date of Public Act 87-1211), adopted an ordinance regulating
20immigration assistance services.
21    (o) This Section is severable under Section 1.31 of the
22Statute on Statutes.
23    (p) The Attorney General shall issue rules not
24inconsistent with this Section for the implementation,
25administration, and enforcement of this Section. The rules may
26provide for the following:

 

 

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1        (1) The content, print size, and print style of the
2    signs required under subsection (e). Print sizes and
3    styles may vary from language to language.
4        (2) Standard forms for use in the administration of
5    this Section.
6        (3) Any additional requirements deemed necessary.
7(Source: P.A. 99-679, eff. 1-1-17; 100-863, eff. 8-14-18.)
 
8    Section 145. The Workers' Compensation Act is amended by
9changing Sections 1 and 7 as follows:
 
10    (820 ILCS 305/1)  (from Ch. 48, par. 138.1)
11    Sec. 1. This Act may be cited as the Workers' Compensation
12Act.
13    (a) The term "employer" as used in this Act means:
14    1. The State and each county, city, town, township,
15incorporated village, school district, body politic, or
16municipal corporation therein.
17    2. Every person, firm, public or private corporation,
18including hospitals, public service, eleemosynary, religious
19or charitable corporations or associations who has any person
20in service or under any contract for hire, express or implied,
21oral or written, and who is engaged in any of the enterprises
22or businesses enumerated in Section 3 of this Act, or who at or
23prior to the time of the accident to the employee for which
24compensation under this Act may be claimed, has in the manner

 

 

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1provided in this Act elected to become subject to the
2provisions of this Act, and who has not, prior to such
3accident, effected a withdrawal of such election in the manner
4provided in this Act.
5    3. Any one engaging in any business or enterprise referred
6to in subsections 1 and 2 of Section 3 of this Act who
7undertakes to do any work enumerated therein, is liable to pay
8compensation to his own immediate employees in accordance with
9the provisions of this Act, and in addition thereto if he
10directly or indirectly engages any contractor whether
11principal or sub-contractor to do any such work, he is liable
12to pay compensation to the employees of any such contractor or
13sub-contractor unless such contractor or sub-contractor has
14insured, in any company or association authorized under the
15laws of this State to insure the liability to pay compensation
16under this Act, or guaranteed his liability to pay such
17compensation. With respect to any time limitation on the
18filing of claims provided by this Act, the timely filing of a
19claim against a contractor or subcontractor, as the case may
20be, shall be deemed to be a timely filing with respect to all
21persons upon whom liability is imposed by this paragraph.
22    In the event any such person pays compensation under this
23subsection he may recover the amount thereof from the
24contractor or sub-contractor, if any, and in the event the
25contractor pays compensation under this subsection he may
26recover the amount thereof from the sub-contractor, if any.

 

 

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1    This subsection does not apply in any case where the
2accident occurs elsewhere than on, in or about the immediate
3premises on which the principal has contracted that the work
4be done.
5    4. Where an employer operating under and subject to the
6provisions of this Act loans an employee to another such
7employer and such loaned employee sustains a compensable
8accidental injury in the employment of such borrowing employer
9and where such borrowing employer does not provide or pay the
10benefits or payments due such injured employee, such loaning
11employer is liable to provide or pay all benefits or payments
12due such employee under this Act and as to such employee the
13liability of such loaning and borrowing employers is joint and
14several, provided that such loaning employer is in the absence
15of agreement to the contrary entitled to receive from such
16borrowing employer full reimbursement for all sums paid or
17incurred pursuant to this paragraph together with reasonable
18attorneys' fees and expenses in any hearings before the
19Illinois Workers' Compensation Commission or in any action to
20secure such reimbursement. Where any benefit is provided or
21paid by such loaning employer the employee has the duty of
22rendering reasonable cooperation in any hearings, trials or
23proceedings in the case, including such proceedings for
24reimbursement.
25    Where an employee files an Application for Adjustment of
26Claim with the Illinois Workers' Compensation Commission

 

 

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1alleging that his claim is covered by the provisions of the
2preceding paragraph, and joining both the alleged loaning and
3borrowing employers, they and each of them, upon written
4demand by the employee and within 7 days after receipt of such
5demand, shall have the duty of filing with the Illinois
6Workers' Compensation Commission a written admission or denial
7of the allegation that the claim is covered by the provisions
8of the preceding paragraph and in default of such filing or if
9any such denial be ultimately determined not to have been bona
10fide then the provisions of Paragraph K of Section 19 of this
11Act shall apply.
12    An employer whose business or enterprise or a substantial
13part thereof consists of hiring, procuring or furnishing
14employees to or for other employers operating under and
15subject to the provisions of this Act for the performance of
16the work of such other employers and who pays such employees
17their salary or wages notwithstanding that they are doing the
18work of such other employers shall be deemed a loaning
19employer within the meaning and provisions of this Section.
20    (b) The term "employee" as used in this Act means:
21    1. Every person in the service of the State, including
22members of the General Assembly, members of the Commerce
23Commission, members of the Illinois Workers' Compensation
24Commission, and all persons in the service of the University
25of Illinois, county, including deputy sheriffs and assistant
26state's attorneys, city, town, township, incorporated village

 

 

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1or school district, body politic, or municipal corporation
2therein, whether by election, under appointment or contract of
3hire, express or implied, oral or written, including all
4members of the Illinois National Guard while on active duty in
5the service of the State, and all probation personnel of the
6Juvenile Court appointed pursuant to Article VI of the
7Juvenile Court Act of 1987, and including any official of the
8State, any county, city, town, township, incorporated village,
9school district, body politic or municipal corporation therein
10except any duly appointed member of a police department in any
11city whose population exceeds 500,000 according to the last
12Federal or State census, and except any member of a fire
13insurance patrol maintained by a board of underwriters in this
14State. A duly appointed member of a fire department in any
15city, the population of which exceeds 500,000 according to the
16last federal or State census, is an employee under this Act
17only with respect to claims brought under paragraph (c) of
18Section 8.
19    One employed by a contractor who has contracted with the
20State, or a county, city, town, township, incorporated
21village, school district, body politic or municipal
22corporation therein, through its representatives, is not
23considered as an employee of the State, county, city, town,
24township, incorporated village, school district, body politic
25or municipal corporation which made the contract.
26    2. Every person in the service of another under any

 

 

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1contract of hire, express or implied, oral or written,
2including persons whose employment is outside of the State of
3Illinois where the contract of hire is made within the State of
4Illinois, persons whose employment results in fatal or
5non-fatal injuries within the State of Illinois where the
6contract of hire is made outside of the State of Illinois, and
7persons whose employment is principally localized within the
8State of Illinois, regardless of the place of the accident or
9the place where the contract of hire was made, and including
10noncitizens aliens, and minors who, for the purpose of this
11Act are considered the same and have the same power to
12contract, receive payments and give quittances therefor, as
13adult employees.
14    3. Every sole proprietor and every partner of a business
15may elect to be covered by this Act.
16    An employee or his dependents under this Act who shall
17have a cause of action by reason of any injury, disablement or
18death arising out of and in the course of his employment may
19elect to pursue his remedy in the State where injured or
20disabled, or in the State where the contract of hire is made,
21or in the State where the employment is principally localized.
22    However, any employer may elect to provide and pay
23compensation to any employee other than those engaged in the
24usual course of the trade, business, profession or occupation
25of the employer by complying with Sections 2 and 4 of this Act.
26Employees are not included within the provisions of this Act

 

 

SB3865 Enrolled- 179 -LRB102 24242 RJF 33473 b

1when excluded by the laws of the United States relating to
2liability of employers to their employees for personal
3injuries where such laws are held to be exclusive.
4    The term "employee" does not include persons performing
5services as real estate broker, broker-salesman, or salesman
6when such persons are paid by commission only.
7    (c) "Commission" means the Industrial Commission created
8by Section 5 of "The Civil Administrative Code of Illinois",
9approved March 7, 1917, as amended, or the Illinois Workers'
10Compensation Commission created by Section 13 of this Act.
11    (d) To obtain compensation under this Act, an employee
12bears the burden of showing, by a preponderance of the
13evidence, that he or she has sustained accidental injuries
14arising out of and in the course of the employment.
15(Source: P.A. 97-18, eff. 6-28-11; 97-268, eff. 8-8-11;
1697-813, eff. 7-13-12.)
 
17    (820 ILCS 305/7)  (from Ch. 48, par. 138.7)
18    Sec. 7. The amount of compensation which shall be paid for
19an accidental injury to the employee resulting in death is:
20    (a) If the employee leaves surviving a widow, widower,
21child or children, the applicable weekly compensation rate
22computed in accordance with subparagraph 2 of paragraph (b) of
23Section 8, shall be payable during the life of the widow or
24widower and if any surviving child or children shall not be
25physically or mentally incapacitated then until the death of

 

 

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1the widow or widower or until the youngest child shall reach
2the age of 18, whichever shall come later; provided that if
3such child or children shall be enrolled as a full time student
4in any accredited educational institution, the payments shall
5continue until such child has attained the age of 25. In the
6event any surviving child or children shall be physically or
7mentally incapacitated, the payments shall continue for the
8duration of such incapacity.
9    The term "child" means a child whom the deceased employee
10left surviving, including a posthumous child, a child legally
11adopted, a child whom the deceased employee was legally
12obligated to support or a child to whom the deceased employee
13stood in loco parentis. The term "children" means the plural
14of "child".
15    The term "physically or mentally incapacitated child or
16children" means a child or children incapable of engaging in
17regular and substantial gainful employment.
18    In the event of the remarriage of a widow or widower, where
19the decedent did not leave surviving any child or children
20who, at the time of such remarriage, are entitled to
21compensation benefits under this Act, the surviving spouse
22shall be paid a lump sum equal to 2 years compensation benefits
23and all further rights of such widow or widower shall be
24extinguished.
25    If the employee leaves surviving any child or children
26under 18 years of age who at the time of death shall be

 

 

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1entitled to compensation under this paragraph (a) of this
2Section, the weekly compensation payments herein provided for
3such child or children shall in any event continue for a period
4of not less than 6 years.
5    Any beneficiary entitled to compensation under this
6paragraph (a) of this Section shall receive from the special
7fund provided in paragraph (f) of this Section, in addition to
8the compensation herein provided, supplemental benefits in
9accordance with paragraph (g) of Section 8.
10    (b) If no compensation is payable under paragraph (a) of
11this Section and the employee leaves surviving a parent or
12parents who at the time of the accident were totally dependent
13upon the earnings of the employee then weekly payments equal
14to the compensation rate payable in the case where the
15employee leaves surviving a widow or widower, shall be paid to
16such parent or parents for the duration of their lives, and in
17the event of the death of either, for the life of the survivor.
18    (c) If no compensation is payable under paragraphs (a) or
19(b) of this Section and the employee leaves surviving any
20child or children who are not entitled to compensation under
21the foregoing paragraph (a) but who at the time of the accident
22were nevertheless in any manner dependent upon the earnings of
23the employee, or leaves surviving a parent or parents who at
24the time of the accident were partially dependent upon the
25earnings of the employee, then there shall be paid to such
26dependent or dependents for a period of 8 years weekly

 

 

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1compensation payments at such proportion of the applicable
2rate if the employee had left surviving a widow or widower as
3such dependency bears to total dependency. In the event of the
4death of any such beneficiary the share of such beneficiary
5shall be divided equally among the surviving beneficiaries and
6in the event of the death of the last such beneficiary all the
7rights under this paragraph shall be extinguished.
8    (d) If no compensation is payable under paragraphs (a),
9(b) or (c) of this Section and the employee leaves surviving
10any grandparent, grandparents, grandchild or grandchildren or
11collateral heirs dependent upon the employee's earnings to the
12extent of 50% or more of total dependency, then there shall be
13paid to such dependent or dependents for a period of 5 years
14weekly compensation payments at such proportion of the
15applicable rate if the employee had left surviving a widow or
16widower as such dependency bears to total dependency. In the
17event of the death of any such beneficiary the share of such
18beneficiary shall be divided equally among the surviving
19beneficiaries and in the event of the death of the last such
20beneficiary all rights hereunder shall be extinguished.
21    (e) The compensation to be paid for accidental injury
22which results in death, as provided in this Section, shall be
23paid to the persons who form the basis for determining the
24amount of compensation to be paid by the employer, the
25respective shares to be in the proportion of their respective
26dependency at the time of the accident on the earnings of the

 

 

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1deceased. The Commission or an Arbitrator thereof may, in its
2or his discretion, order or award the payment to the parent or
3grandparent of a child for the latter's support the amount of
4compensation which but for such order or award would have been
5paid to such child as its share of the compensation payable,
6which order or award may be modified from time to time by the
7Commission in its discretion with respect to the person to
8whom shall be paid the amount of the order or award remaining
9unpaid at the time of the modification.
10    The payments of compensation by the employer in accordance
11with the order or award of the Commission discharges such
12employer from all further obligation as to such compensation.
13    (f) The sum of $8,000 for burial expenses shall be paid by
14the employer to the widow or widower, other dependent, next of
15kin or to the person or persons incurring the expense of
16burial.
17    In the event the employer failed to provide necessary
18first aid, medical, surgical or hospital service, he shall pay
19the cost thereof to the person or persons entitled to
20compensation under paragraphs (a), (b), (c) or (d) of this
21Section, or to the person or persons incurring the obligation
22therefore, or providing the same.
23    On January 15 and July 15, 1981, and on January 15 and July
2415 of each year thereafter the employer shall within 60 days
25pay a sum equal to 1/8 of 1% of all compensation payments made
26by him after July 1, 1980, either under this Act or the

 

 

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1Workers' Occupational Diseases Act, whether by lump sum
2settlement or weekly compensation payments, but not including
3hospital, surgical or rehabilitation payments, made during the
4first 6 months and during the second 6 months respectively of
5the fiscal year next preceding the date of the payments, into a
6special fund which shall be designated the "Second Injury
7Fund", of which the State Treasurer is ex-officio custodian,
8such special fund to be held and disbursed for the purposes
9hereinafter stated in paragraphs (f) and (g) of Section 8,
10either upon the order of the Commission or of a competent
11court. Said special fund shall be deposited the same as are
12State funds and any interest accruing thereon shall be added
13thereto every 6 months. It is subject to audit the same as
14State funds and accounts and is protected by the General bond
15given by the State Treasurer. It is considered always
16appropriated for the purposes of disbursements as provided in
17Section 8, paragraph (f), of this Act, and shall be paid out
18and disbursed as therein provided and shall not at any time be
19appropriated or diverted to any other use or purpose.
20    On January 15, 1991, the employer shall further pay a sum
21equal to one half of 1% of all compensation payments made by
22him from January 1, 1990 through June 30, 1990 either under
23this Act or under the Workers' Occupational Diseases Act,
24whether by lump sum settlement or weekly compensation
25payments, but not including hospital, surgical or
26rehabilitation payments, into an additional Special Fund which

 

 

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1shall be designated as the "Rate Adjustment Fund". On March
215, 1991, the employer shall pay into the Rate Adjustment Fund
3a sum equal to one half of 1% of all such compensation payments
4made from July 1, 1990 through December 31, 1990. Within 60
5days after July 15, 1991, the employer shall pay into the Rate
6Adjustment Fund a sum equal to one half of 1% of all such
7compensation payments made from January 1, 1991 through June
830, 1991. Within 60 days after January 15 of 1992 and each
9subsequent year through 1996, the employer shall pay into the
10Rate Adjustment Fund a sum equal to one half of 1% of all such
11compensation payments made in the last 6 months of the
12preceding calendar year. Within 60 days after July 15 of 1992
13and each subsequent year through 1995, the employer shall pay
14into the Rate Adjustment Fund a sum equal to one half of 1% of
15all such compensation payments made in the first 6 months of
16the same calendar year. Within 60 days after January 15 of 1997
17and each subsequent year through 2005, the employer shall pay
18into the Rate Adjustment Fund a sum equal to three-fourths of
191% of all such compensation payments made in the last 6 months
20of the preceding calendar year. Within 60 days after July 15 of
211996 and each subsequent year through 2004, the employer shall
22pay into the Rate Adjustment Fund a sum equal to three-fourths
23of 1% of all such compensation payments made in the first 6
24months of the same calendar year. Within 60 days after July 15
25of 2005, the employer shall pay into the Rate Adjustment Fund a
26sum equal to 1% of such compensation payments made in the first

 

 

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16 months of the same calendar year. Within 60 days after
2January 15 of 2006 and each subsequent year, the employer
3shall pay into the Rate Adjustment Fund a sum equal to 1.25% of
4such compensation payments made in the last 6 months of the
5preceding calendar year. Within 60 days after July 15 of 2006
6and each subsequent year, the employer shall pay into the Rate
7Adjustment Fund a sum equal to 1.25% of such compensation
8payments made in the first 6 months of the same calendar year.
9The administrative costs of collecting assessments from
10employers for the Rate Adjustment Fund shall be paid from the
11Rate Adjustment Fund. The cost of an actuarial audit of the
12Fund shall be paid from the Rate Adjustment Fund. The State
13Treasurer is ex officio custodian of such Special Fund and the
14same shall be held and disbursed for the purposes hereinafter
15stated in paragraphs (f) and (g) of Section 8 upon the order of
16the Commission or of a competent court. The Rate Adjustment
17Fund shall be deposited the same as are State funds and any
18interest accruing thereon shall be added thereto every 6
19months. It shall be subject to audit the same as State funds
20and accounts and shall be protected by the general bond given
21by the State Treasurer. It is considered always appropriated
22for the purposes of disbursements as provided in paragraphs
23(f) and (g) of Section 8 of this Act and shall be paid out and
24disbursed as therein provided and shall not at any time be
25appropriated or diverted to any other use or purpose. Within 5
26days after the effective date of this amendatory Act of 1990,

 

 

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1the Comptroller and the State Treasurer shall transfer
2$1,000,000 from the General Revenue Fund to the Rate
3Adjustment Fund. By February 15, 1991, the Comptroller and the
4State Treasurer shall transfer $1,000,000 from the Rate
5Adjustment Fund to the General Revenue Fund. The Comptroller
6and Treasurer are authorized to make transfers at the request
7of the Chairman up to a total of $19,000,000 from the Second
8Injury Fund, the General Revenue Fund, and the Workers'
9Compensation Benefit Trust Fund to the Rate Adjustment Fund to
10the extent that there is insufficient money in the Rate
11Adjustment Fund to pay claims and obligations. Amounts may be
12transferred from the General Revenue Fund only if the funds in
13the Second Injury Fund or the Workers' Compensation Benefit
14Trust Fund are insufficient to pay claims and obligations of
15the Rate Adjustment Fund. All amounts transferred from the
16Second Injury Fund, the General Revenue Fund, and the Workers'
17Compensation Benefit Trust Fund shall be repaid from the Rate
18Adjustment Fund within 270 days of a transfer, together with
19interest at the rate earned by moneys on deposit in the Fund or
20Funds from which the moneys were transferred.
21    Upon a finding by the Commission, after reasonable notice
22and hearing, that any employer has willfully and knowingly
23failed to pay the proper amounts into the Second Injury Fund or
24the Rate Adjustment Fund required by this Section or if such
25payments are not made within the time periods prescribed by
26this Section, the employer shall, in addition to such

 

 

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1payments, pay a penalty of 20% of the amount required to be
2paid or $2,500, whichever is greater, for each year or part
3thereof of such failure to pay. This penalty shall only apply
4to obligations of an employer to the Second Injury Fund or the
5Rate Adjustment Fund accruing after the effective date of this
6amendatory Act of 1989. All or part of such a penalty may be
7waived by the Commission for good cause shown.
8    Any obligations of an employer to the Second Injury Fund
9and Rate Adjustment Fund accruing prior to the effective date
10of this amendatory Act of 1989 shall be paid in full by such
11employer within 5 years of the effective date of this
12amendatory Act of 1989, with at least one-fifth of such
13obligation to be paid during each year following the effective
14date of this amendatory Act of 1989. If the Commission finds,
15following reasonable notice and hearing, that an employer has
16failed to make timely payment of any obligation accruing under
17the preceding sentence, the employer shall, in addition to all
18other payments required by this Section, be liable for a
19penalty equal to 20% of the overdue obligation or $2,500,
20whichever is greater, for each year or part thereof that
21obligation is overdue. All or part of such a penalty may be
22waived by the Commission for good cause shown.
23    The Chairman of the Illinois Workers' Compensation
24Commission shall, annually, furnish to the Director of the
25Department of Insurance a list of the amounts paid into the
26Second Injury Fund and the Rate Adjustment Fund by each

 

 

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1insurance company on behalf of their insured employers. The
2Director shall verify to the Chairman that the amounts paid by
3each insurance company are accurate as best as the Director
4can determine from the records available to the Director. The
5Chairman shall verify that the amounts paid by each
6self-insurer are accurate as best as the Chairman can
7determine from records available to the Chairman. The Chairman
8may require each self-insurer to provide information
9concerning the total compensation payments made upon which
10contributions to the Second Injury Fund and the Rate
11Adjustment Fund are predicated and any additional information
12establishing that such payments have been made into these
13funds. Any deficiencies in payments noted by the Director or
14Chairman shall be subject to the penalty provisions of this
15Act.
16    The State Treasurer, or his duly authorized
17representative, shall be named as a party to all proceedings
18in all cases involving claim for the loss of, or the permanent
19and complete loss of the use of one eye, one foot, one leg, one
20arm or one hand.
21    The State Treasurer or his duly authorized agent shall
22have the same rights as any other party to the proceeding,
23including the right to petition for review of any award. The
24reasonable expenses of litigation, such as medical
25examinations, testimony, and transcript of evidence, incurred
26by the State Treasurer or his duly authorized representative,

 

 

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1shall be borne by the Second Injury Fund.
2    If the award is not paid within 30 days after the date the
3award has become final, the Commission shall proceed to take
4judgment thereon in its own name as is provided for other
5awards by paragraph (g) of Section 19 of this Act and take the
6necessary steps to collect the award.
7    Any person, corporation or organization who has paid or
8become liable for the payment of burial expenses of the
9deceased employee may in his or its own name institute
10proceedings before the Commission for the collection thereof.
11    For the purpose of administration, receipts and
12disbursements, the Special Fund provided for in paragraph (f)
13of this Section shall be administered jointly with the Special
14Fund provided for in Section 7, paragraph (f) of the Workers'
15Occupational Diseases Act.
16    (g) All compensation, except for burial expenses provided
17in this Section to be paid in case accident results in death,
18shall be paid in installments equal to the percentage of the
19average earnings as provided for in Section 8, paragraph (b)
20of this Act, at the same intervals at which the wages or
21earnings of the employees were paid. If this is not feasible,
22then the installments shall be paid weekly. Such compensation
23may be paid in a lump sum upon petition as provided in Section
249 of this Act. However, in addition to the benefits provided by
25Section 9 of this Act where compensation for death is payable
26to the deceased's widow, widower or to the deceased's widow,

 

 

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1widower and one or more children, and where a partial lump sum
2is applied for by such beneficiary or beneficiaries within 18
3months after the deceased's death, the Commission may, in its
4discretion, grant a partial lump sum of not to exceed 100 weeks
5of the compensation capitalized at their present value upon
6the basis of interest calculated at 3% per annum with annual
7rests, upon a showing that such partial lump sum is for the
8best interest of such beneficiary or beneficiaries.
9    (h) In case the injured employee is under 16 years of age
10at the time of the accident and is illegally employed, the
11amount of compensation payable under paragraphs (a), (b), (c),
12(d) and (f) of this Section shall be increased 50%.
13    Nothing herein contained repeals or amends the provisions
14of the Child Labor Law relating to the employment of minors
15under the age of 16 years.
16    However, where an employer has on file an employment
17certificate issued pursuant to the Child Labor Law or work
18permit issued pursuant to the Federal Fair Labor Standards
19Act, as amended, or a birth certificate properly and duly
20issued, such certificate, permit or birth certificate is
21conclusive evidence as to the age of the injured minor
22employee for the purposes of this Section only.
23    (i) Whenever the dependents of a deceased employee are
24noncitizens aliens not residing in the United States, Mexico
25or Canada, the amount of compensation payable is limited to
26the beneficiaries described in paragraphs (a), (b) and (c) of

 

 

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1this Section and is 50% of the compensation provided in
2paragraphs (a), (b) and (c) of this Section, except as
3otherwise provided by treaty.
4    In a case where any of the persons who would be entitled to
5compensation is living at any place outside of the United
6States, then payment shall be made to the personal
7representative of the deceased employee. The distribution by
8such personal representative to the persons entitled shall be
9made to such persons and in such manner as the Commission
10orders.
11(Source: P.A. 93-721, eff. 1-1-05; 94-277, eff. 7-20-05;
1294-695, eff. 11-16-05.)
 
13    Section 150. The Workers' Occupational Diseases Act is
14amended by changing Section 1 as follows:
 
15    (820 ILCS 310/1)  (from Ch. 48, par. 172.36)
16    Sec. 1. This Act shall be known and may be cited as the
17"Workers' Occupational Diseases Act".
18    (a) The term "employer" as used in this Act shall be
19construed to be:
20        1. The State and each county, city, town, township,
21    incorporated village, school district, body politic, or
22    municipal corporation therein.
23        2. Every person, firm, public or private corporation,
24    including hospitals, public service, eleemosynary,

 

 

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1    religious or charitable corporations or associations, who
2    has any person in service or under any contract for hire,
3    express or implied, oral or written.
4        3. Where an employer operating under and subject to
5    the provisions of this Act loans an employee to another
6    such employer and such loaned employee sustains a
7    compensable occupational disease in the employment of such
8    borrowing employer and where such borrowing employer does
9    not provide or pay the benefits or payments due such
10    employee, such loaning employer shall be liable to provide
11    or pay all benefits or payments due such employee under
12    this Act and as to such employee the liability of such
13    loaning and borrowing employers shall be joint and
14    several, provided that such loaning employer shall in the
15    absence of agreement to the contrary be entitled to
16    receive from such borrowing employer full reimbursement
17    for all sums paid or incurred pursuant to this paragraph
18    together with reasonable attorneys' fees and expenses in
19    any hearings before the Illinois Workers' Compensation
20    Commission or in any action to secure such reimbursement.
21    Where any benefit is provided or paid by such loaning
22    employer, the employee shall have the duty of rendering
23    reasonable co-operation in any hearings, trials or
24    proceedings in the case, including such proceedings for
25    reimbursement.
26        Where an employee files an Application for Adjustment

 

 

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1    of Claim with the Illinois Workers' Compensation
2    Commission alleging that his or her claim is covered by
3    the provisions of the preceding paragraph, and joining
4    both the alleged loaning and borrowing employers, they and
5    each of them, upon written demand by the employee and
6    within 7 days after receipt of such demand, shall have the
7    duty of filing with the Illinois Workers' Compensation
8    Commission a written admission or denial of the allegation
9    that the claim is covered by the provisions of the
10    preceding paragraph and in default of such filing or if
11    any such denial be ultimately determined not to have been
12    bona fide then the provisions of Paragraph K of Section 19
13    of this Act shall apply.
14        An employer whose business or enterprise or a
15    substantial part thereof consists of hiring, procuring or
16    furnishing employees to or for other employers operating
17    under and subject to the provisions of this Act for the
18    performance of the work of such other employers and who
19    pays such employees their salary or wage notwithstanding
20    that they are doing the work of such other employers shall
21    be deemed a loaning employer within the meaning and
22    provisions of this Section.
23    (b) The term "employee" as used in this Act, shall be
24construed to mean:
25        1. Every person in the service of the State, county,
26    city, town, township, incorporated village or school

 

 

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1    district, body politic or municipal corporation therein,
2    whether by election, appointment or contract of hire,
3    express or implied, oral or written, including any
4    official of the State, or of any county, city, town,
5    township, incorporated village, school district, body
6    politic or municipal corporation therein and except any
7    duly appointed member of the fire department in any city
8    whose population exceeds 500,000 according to the last
9    Federal or State census, and except any member of a fire
10    insurance patrol maintained by a board of underwriters in
11    this State. One employed by a contractor who has
12    contracted with the State, or a county, city, town,
13    township, incorporated village, school district, body
14    politic or municipal corporation therein, through its
15    representatives, shall not be considered as an employee of
16    the State, county, city, town, township, incorporated
17    village, school district, body politic or municipal
18    corporation which made the contract.
19        2. Every person in the service of another under any
20    contract of hire, express or implied, oral or written, who
21    contracts an occupational disease while working in the
22    State of Illinois, or who contracts an occupational
23    disease while working outside of the State of Illinois but
24    where the contract of hire is made within the State of
25    Illinois, and any person whose employment is principally
26    localized within the State of Illinois, regardless of the

 

 

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1    place where the disease was contracted or place where the
2    contract of hire was made, including noncitizens aliens,
3    and minors who, for the purpose of this Act, except
4    Section 3 hereof, shall be considered the same and have
5    the same power to contract, receive payments and give
6    quittances therefor, as adult employees. An employee or
7    his or her dependents under this Act who shall have a cause
8    of action by reason of an occupational disease,
9    disablement or death arising out of and in the course of
10    his or her employment may elect or pursue his or her remedy
11    in the State where the disease was contracted, or in the
12    State where the contract of hire is made, or in the State
13    where the employment is principally localized.
14    (c) "Commission" means the Illinois Workers' Compensation
15Commission created by the Workers' Compensation Act, approved
16July 9, 1951, as amended.
17    (d) In this Act the term "Occupational Disease" means a
18disease arising out of and in the course of the employment or
19which has become aggravated and rendered disabling as a result
20of the exposure of the employment. Such aggravation shall
21arise out of a risk peculiar to or increased by the employment
22and not common to the general public.
23    A disease shall be deemed to arise out of the employment if
24there is apparent to the rational mind, upon consideration of
25all the circumstances, a causal connection between the
26conditions under which the work is performed and the

 

 

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1occupational disease. The disease need not to have been
2foreseen or expected but after its contraction it must appear
3to have had its origin or aggravation in a risk connected with
4the employment and to have flowed from that source as a
5rational consequence.
6    An employee shall be conclusively deemed to have been
7exposed to the hazards of an occupational disease when, for
8any length of time however short, he or she is employed in an
9occupation or process in which the hazard of the disease
10exists; provided however, that in a claim of exposure to
11atomic radiation, the fact of such exposure must be verified
12by the records of the central registry of radiation exposure
13maintained by the Department of Public Health or by some other
14recognized governmental agency maintaining records of such
15exposures whenever and to the extent that the records are on
16file with the Department of Public Health or the agency.
17    Any injury to or disease or death of an employee arising
18from the administration of a vaccine, including without
19limitation smallpox vaccine, to prepare for, or as a response
20to, a threatened or potential bioterrorist incident to the
21employee as part of a voluntary inoculation program in
22connection with the person's employment or in connection with
23any governmental program or recommendation for the inoculation
24of workers in the employee's occupation, geographical area, or
25other category that includes the employee is deemed to arise
26out of and in the course of the employment for all purposes

 

 

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1under this Act. This paragraph added by Public Act 93-829 is
2declarative of existing law and is not a new enactment.
3    The employer liable for the compensation in this Act
4provided shall be the employer in whose employment the
5employee was last exposed to the hazard of the occupational
6disease claimed upon regardless of the length of time of such
7last exposure, except, in cases of silicosis or asbestosis,
8the only employer liable shall be the last employer in whose
9employment the employee was last exposed during a period of 60
10days or more after the effective date of this Act, to the
11hazard of such occupational disease, and, in such cases, an
12exposure during a period of less than 60 days, after the
13effective date of this Act, shall not be deemed a last
14exposure. If a miner who is suffering or suffered from
15pneumoconiosis was employed for 10 years or more in one or more
16coal mines there shall, effective July 1, 1973 be a rebuttable
17presumption that his or her pneumoconiosis arose out of such
18employment.
19    If a deceased miner was employed for 10 years or more in
20one or more coal mines and died from a respirable disease there
21shall, effective July 1, 1973, be a rebuttable presumption
22that his or her death was due to pneumoconiosis.
23    Any condition or impairment of health of an employee
24employed as a firefighter, emergency medical technician (EMT),
25emergency medical technician-intermediate (EMT-I), advanced
26emergency medical technician (A-EMT), or paramedic which

 

 

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1results directly or indirectly from any bloodborne pathogen,
2lung or respiratory disease or condition, heart or vascular
3disease or condition, hypertension, tuberculosis, or cancer
4resulting in any disability (temporary, permanent, total, or
5partial) to the employee shall be rebuttably presumed to arise
6out of and in the course of the employee's firefighting, EMT,
7EMT-I, A-EMT, or paramedic employment and, further, shall be
8rebuttably presumed to be causally connected to the hazards or
9exposures of the employment. This presumption shall also apply
10to any hernia or hearing loss suffered by an employee employed
11as a firefighter, EMT, EMT-I, A-EMT, or paramedic. However,
12this presumption shall not apply to any employee who has been
13employed as a firefighter, EMT, EMT-I, A-EMT, or paramedic for
14less than 5 years at the time he or she files an Application
15for Adjustment of Claim concerning this condition or
16impairment with the Illinois Workers' Compensation Commission.
17The rebuttable presumption established under this subsection,
18however, does not apply to an emergency medical technician
19(EMT), emergency medical technician-intermediate (EMT-I),
20advanced emergency medical technician (A-EMT), or paramedic
21employed by a private employer if the employee spends the
22preponderance of his or her work time for that employer
23engaged in medical transfers between medical care facilities
24or non-emergency medical transfers to or from medical care
25facilities. The changes made to this subsection by this
26amendatory Act of the 98th General Assembly shall be narrowly

 

 

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1construed. The Finding and Decision of the Illinois Workers'
2Compensation Commission under only the rebuttable presumption
3provision of this paragraph shall not be admissible or be
4deemed res judicata in any disability claim under the Illinois
5Pension Code arising out of the same medical condition;
6however, this sentence makes no change to the law set forth in
7Krohe v. City of Bloomington, 204 Ill.2d 392.
8    The insurance carrier liable shall be the carrier whose
9policy was in effect covering the employer liable on the last
10day of the exposure rendering such employer liable in
11accordance with the provisions of this Act.
12    (e) "Disablement" means an impairment or partial
13impairment, temporary or permanent, in the function of the
14body or any of the members of the body, or the event of
15becoming disabled from earning full wages at the work in which
16the employee was engaged when last exposed to the hazards of
17the occupational disease by the employer from whom he or she
18claims compensation, or equal wages in other suitable
19employment; and "disability" means the state of being so
20incapacitated.
21    (f) No compensation shall be payable for or on account of
22any occupational disease unless disablement, as herein
23defined, occurs within two years after the last day of the last
24exposure to the hazards of the disease, except in cases of
25occupational disease caused by berylliosis or by the
26inhalation of silica dust or asbestos dust and, in such cases,

 

 

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1within 3 years after the last day of the last exposure to the
2hazards of such disease and except in the case of occupational
3disease caused by exposure to radiological materials or
4equipment, and in such case, within 25 years after the last day
5of last exposure to the hazards of such disease.
6    (g)(1) In any proceeding before the Commission in which
7the employee is a COVID-19 first responder or front-line
8worker as defined in this subsection, if the employee's injury
9or occupational disease resulted from exposure to and
10contraction of COVID-19, the exposure and contraction shall be
11rebuttably presumed to have arisen out of and in the course of
12the employee's first responder or front-line worker employment
13and the injury or occupational disease shall be rebuttably
14presumed to be causally connected to the hazards or exposures
15of the employee's first responder or front-line worker
16employment.
17    (2) The term "COVID-19 first responder or front-line
18worker" means: all individuals employed as police, fire
19personnel, emergency medical technicians, or paramedics; all
20individuals employed and considered as first responders; all
21workers for health care providers, including nursing homes and
22rehabilitation facilities and home care workers; corrections
23officers; and any individuals employed by essential businesses
24and operations as defined in Executive Order 2020-10 dated
25March 20, 2020, as long as individuals employed by essential
26businesses and operations are required by their employment to

 

 

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1encounter members of the general public or to work in
2employment locations of more than 15 employees. For purposes
3of this subsection only, an employee's home or place of
4residence is not a place of employment, except for home care
5workers.
6    (3) The presumption created in this subsection may be
7rebutted by evidence, including, but not limited to, the
8following:
9        (A) the employee was working from his or her home, on
10    leave from his or her employment, or some combination
11    thereof, for a period of 14 or more consecutive days
12    immediately prior to the employee's injury, occupational
13    disease, or period of incapacity resulted from exposure to
14    COVID-19; or
15        (B) the employer was engaging in and applying to the
16    fullest extent possible or enforcing to the best of its
17    ability industry-specific workplace sanitation, social
18    distancing, and health and safety practices based on
19    updated guidance issued by the Centers for Disease Control
20    and Prevention or Illinois Department of Public Health or
21    was using a combination of administrative controls,
22    engineering controls, or personal protective equipment to
23    reduce the transmission of COVID-19 to all employees for
24    at least 14 consecutive days prior to the employee's
25    injury, occupational disease, or period of incapacity
26    resulting from exposure to COVID-19. For purposes of this

 

 

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1    subsection, "updated" means the guidance in effect at
2    least 14 days prior to the COVID-19 diagnosis. For
3    purposes of this subsection, "personal protective
4    equipment" means industry-specific equipment worn to
5    minimize exposure to hazards that cause illnesses or
6    serious injuries, which may result from contact with
7    biological, chemical, radiological, physical, electrical,
8    mechanical, or other workplace hazards. "Personal
9    protective equipment" includes, but is not limited to,
10    items such as face coverings, gloves, safety glasses,
11    safety face shields, barriers, shoes, earplugs or muffs,
12    hard hats, respirators, coveralls, vests, and full body
13    suits; or
14        (C) the employee was exposed to COVID-19 by an
15    alternate source.
16    (4) The rebuttable presumption created in this subsection
17applies to all cases tried after June 5, 2020 (the effective
18date of Public Act 101-633) and in which the diagnosis of
19COVID-19 was made on or after March 9, 2020 and on or before
20June 30, 2021 (including the period between December 31, 2020
21and the effective date of this amendatory Act of the 101st
22General Assembly).
23    (5) Under no circumstances shall any COVID-19 case
24increase or affect any employer's workers' compensation
25insurance experience rating or modification, but COVID-19
26costs may be included in determining overall State loss costs.

 

 

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1    (6) In order for the presumption created in this
2subsection to apply at trial, for COVID-19 diagnoses occurring
3on or before June 15, 2020, an employee must provide a
4confirmed medical diagnosis by a licensed medical practitioner
5or a positive laboratory test for COVID-19 or for COVID-19
6antibodies; for COVID-19 diagnoses occurring after June 15,
72020, an employee must provide a positive laboratory test for
8COVID-19 or for COVID-19 antibodies.
9    (7) The presumption created in this subsection does not
10apply if the employee's place of employment was solely the
11employee's home or residence for a period of 14 or more
12consecutive days immediately prior to the employee's injury,
13occupational disease, or period of incapacity resulted from
14exposure to COVID-19.
15    (8) The date of injury or the beginning of the employee's
16occupational disease or period of disability is either the
17date that the employee was unable to work due to contraction of
18COVID-19 or was unable to work due to symptoms that were later
19diagnosed as COVID-19, whichever came first.
20    (9) An employee who contracts COVID-19, but fails to
21establish the rebuttable presumption is not precluded from
22filing for compensation under this Act or under the Workers'
23Compensation Act.
24    (10) To qualify for temporary total disability benefits
25under the presumption created in this subsection, the employee
26must be certified for or recertified for temporary disability.

 

 

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1    (11) An employer is entitled to a credit against any
2liability for temporary total disability due to an employee as
3a result of the employee contracting COVID-19 for (A) any sick
4leave benefits or extended salary benefits paid to the
5employee by the employer under Emergency Family Medical Leave
6Expansion Act, Emergency Paid Sick Leave Act of the Families
7First Coronavirus Response Act, or any other federal law, or
8(B) any other credit to which an employer is entitled under the
9Workers' Compensation Act.
10(Source: P.A. 101-633, eff. 6-5-20; 101-653, eff. 2-28-21.)
 
11    Section 155. The Unemployment Insurance Act is amended by
12changing Sections 211.4 and 614 as follows:
 
13    (820 ILCS 405/211.4)  (from Ch. 48, par. 321.4)
14    Sec. 211.4. A. Notwithstanding any other provision of this
15Act, the term "employment" shall include service performed
16after December 31, 1977, by an individual in agricultural
17labor as defined in Section 214 when:
18        1. Such service is performed for an employing unit
19    which (a) paid cash wages of $20,000 or more during any
20    calendar quarter in either the current or preceding
21    calendar year to an individual or individuals employed in
22    agricultural labor (not taking into account service in
23    agricultural labor performed before January 1, 1980, by a
24    noncitizen an alien referred to in paragraph 2); or (b)

 

 

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1    employed in agricultural labor (not taking into account
2    service in agricultural labor performed before January 1,
3    1980, by a noncitizen an alien referred to in paragraph 2)
4    10 or more individuals within each of 20 or more calendar
5    weeks (but not necessarily simultaneously and irrespective
6    of whether the same individuals are or were employed in
7    each such week), whether or not such weeks are or were
8    consecutive, within either the current or preceding
9    calendar year.
10        2. Such service is not performed in agricultural labor
11    if performed before January 1, 1980 or on or after the
12    effective date of this amendatory Act of the 96th General
13    Assembly, by an individual who is a noncitizen an alien
14    admitted to the United States to perform service in
15    agricultural labor pursuant to Sections 214(c) and
16    101(a)(15)(H) of the Immigration and Nationality Act.
17    B. For the purposes of this Section, any individual who is
18a member of a crew furnished by a crew leader to perform
19service in agricultural labor for any other employing unit
20shall be treated as performing service in the employ of such
21crew leader if (1) the leader holds a valid certificate of
22registration under the Farm Labor Contractor Registration Act
23of 1963, or substantially all the members of such crew operate
24or maintain tractors, mechanized harvesting or crop dusting
25equipment, or any other mechanized equipment, which is
26provided by the crew leader; and (2) the service of such

 

 

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1individual is not in employment for such other employing unit
2within the meaning of subsections A and C of Section 212, and
3of Section 213.
4    C. For the purposes of this Section, any individual who is
5furnished by a crew leader to perform service in agricultural
6labor for any other employing unit, and who is not treated as
7performing service in the employ of such crew leader under
8subsection B, shall be treated as performing service in the
9employ of such other employing unit, and such employing unit
10shall be treated as having paid cash wages to such individual
11in an amount equal to the amount of cash wages paid to the
12individual by the crew leader (either on his own behalf or on
13behalf of such other employing unit) for the service in
14agricultural labor performed for such other employing unit.
15    D. For the purposes of this Section, the term "crew
16leader" means an individual who (1) furnishes individuals to
17perform service in agricultural labor for any other employing
18unit; (2) pays (either on his own behalf or on behalf of such
19other employing unit) the individuals so furnished by him for
20the service in agricultural labor performed by them; and (3)
21has not entered into a written agreement with such other
22employing unit under which an individual so furnished by him
23is designated as performing services in the employ of such
24other employing unit.
25(Source: P.A. 96-1208, eff. 1-1-11.)
 

 

 

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1    (820 ILCS 405/614)  (from Ch. 48, par. 444)
2    Sec. 614. Noncitizens Non-resident aliens - ineligibility.
3A noncitizen An alien shall be ineligible for benefits for any
4week which begins after December 31, 1977, on the basis of
5wages for services performed by such noncitizen alien, unless
6the noncitizen alien was an individual who was lawfully
7admitted for permanent residence at the time such services
8were performed or otherwise was permanently residing in the
9United States under color of law at the time such services were
10performed (including a noncitizen an alien who was lawfully
11present in the United States as a result of the application of
12the provisions of Section 212(d) (5) of the Immigration and
13Nationality Act); provided, that any modifications of the
14provisions of Section 3304(a) (14) of the Federal Unemployment
15Tax Act which
16        A. Specify other conditions or another effective date
17    than stated herein for ineligibility for benefits based on
18    wages for services performed by noncitizens aliens, and
19        B. Are required to be implemented under this Act as a
20    condition for the Federal approval of this Act requisite
21    to the full tax credit against the tax imposed by the
22    Federal Act for contributions paid by employers pursuant
23    to this Act, shall be applicable under the provisions of
24    this Section.
25    Any data or information required of individuals who claim
26benefits for the purpose of determining whether benefits are

 

 

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1not payable to them pursuant to this Section shall be
2uniformly required of all individuals who claim benefits.
3    If an individual would otherwise be eligible for benefits,
4no determination shall be made that such individual is
5ineligible for benefits pursuant to this Section because of
6the individual's noncitizen alien status, except upon a
7preponderance of the evidence.
8(Source: P.A. 86-3; 87-122.)
 
9    Section 995. No acceleration or delay. Where this Act
10makes changes in a statute that is represented in this Act by
11text that is not yet or no longer in effect (for example, a
12Section represented by multiple versions), the use of that
13text does not accelerate or delay the taking effect of (i) the
14changes made by this Act or (ii) provisions derived from any
15other Public Act.
 
16    Section 999. Effective date. This Act takes effect upon
17becoming law.