Rep. Lou Lang

Filed: 5/16/2011

 

 


 

 


 
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1
AMENDMENT TO SENATE BILL 2147

2    AMENDMENT NO. ______. Amend Senate Bill 2147 by replacing
3everything after the enacting clause with the following:
 
4    "Section 5. The Department of Public Health Powers and
5Duties Law of the Civil Administrative Code of Illinois is
6amended by changing Section 2310-130 as follows:
 
7    (20 ILCS 2310/2310-130)  (was 20 ILCS 2310/55.82)
8    Sec. 2310-130. Medicare or Medicaid certification fee;
9Health Care Facility and Program Survey Fund. To establish and
10charge a fee to any facility or program applying to be
11certified to participate in the Medicare program under Title
12XVIII of the federal Social Security Act or in the Medicaid
13program under Title XIX of the federal Social Security Act to
14cover the costs associated with the application, inspection,
15and survey of the facility or program and processing of the
16application. The Department shall establish the fee by rule,

 

 

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1and the fee shall be based only on those application,
2inspection, and survey and processing costs not reimbursed to
3the State by the federal government. The fee shall be paid by
4the facility or program before the application is processed.
5    The fees received by the Department under this Section
6shall be deposited into the Health Care Facility and Program
7Survey Fund, which is hereby created as a special fund in the
8State treasury. Moneys in the Fund shall be appropriated to the
9Department and may be used for any costs incurred by the
10Department, including personnel costs, in the processing of
11applications for Medicare or Medicaid certification.
12    Beginning July 1, 2011, the Department shall employ a
13minimum of one surveyor for every 500 licensed long term care
14beds. Subject to a specific appropriation, but not earlier than
15Beginning July 1, 2012, the Department shall employ a minimum
16of one surveyor for every 400 licensed long term care beds.
17Subject to a specific appropriation, but not earlier than
18Beginning July 1, 2013, the Department shall employ a minimum
19of one surveyor for every 300 licensed long term care beds.
20(Source: P.A. 96-1372, eff. 7-29-10.)
 
21    Section 10. The State Finance Act is amended by changing
22Section 5.589 as follows:
 
23    (30 ILCS 105/5.589)
24    Sec. 5.589. The Equity in Long-term Care Surveyor Quality

 

 

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1Fund.
2(Source: P.A. 95-331, eff. 8-21-07; 96-1372, eff. 7-29-10.)
 
3    Section 15. The Equity in Long-term Care Quality Act is
4amended by changing the title of the Act and Sections 1 and 15
5as follows:
 
6    (30 ILCS 772/Act title)
7An Act to create the Equity in Long-term Care Surveyor
8Quality Act.
 
9    (30 ILCS 772/1)
10    Sec. 1. Short title. This Act may be cited as the Equity in
11Long-term Care Surveyor Quality Act.
12(Source: P.A. 96-1372, eff. 7-29-10.)
 
13    (30 ILCS 772/15)
14    Sec. 15. Equity in Long-term Care Surveyor Quality Fund.
15    (a) There is created in the State treasury a special fund
16to be known as the Equity in Long-term Care Surveyor Quality
17Fund. Fifty percent of all Grants shall be funded using federal
18civil monetary penalties collected and deposited into the Long
19Term Care Monitor/Receiver Fund established under the Nursing
20Home Care Act shall be transferred to the Long-term Care
21Surveyor Fund. Subject to appropriation, moneys in the Fund
22shall be used to pay for long-term care surveyors improve the

 

 

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1quality of nursing home care in areas without access to
2high-quality long-term care. Interest earned on moneys in the
3Fund shall be deposited into the Fund. All federal funds
4received as the result of expenditures from the Fund shall be
5paid into the Fund
6    (b) (Blank). The Department may use no more than 10% of the
7moneys deposited into the Fund in any year to administer the
8program established by the Fund and to implement the
9requirements of the Nursing Home Care Act with respect to
10distressed facilities.
11(Source: P.A. 96-1372, eff. 7-29-10.)
 
12    Section 20. The Nursing Home Care Act is amended by
13changing Sections 2-201.7, 3-113, 3-202.05, 3-103, 3-212,
143-304.2, and 3-305 and by adding Section 3-304.2 as follows:
 
15    (210 ILCS 45/2-201.7)
16    Sec. 2-201.7. Expanded criminal history background check
17pilot program.
18    (a) The purpose of this Section is to establish a pilot
19program, subject to appropriation, based in Cook and Will
20counties in which an expanded criminal history background check
21screening process will be utilized to better identify residents
22of licensed long term care facilities who, because of their
23criminal histories, may pose a risk to other vulnerable
24residents.

 

 

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1    (b) In this Section, "mixed population facility" means a
2facility that has more than 25 residents with a diagnosis of
3serious mental illness and residents 65 years of age or older.
4    (c) Every mixed population facility located in Cook County
5or Will County shall participate in the pilot program and shall
6employ expanded criminal history background check screening
7procedures for all residents admitted to the facility who are
8at least 18 years of age but less than 65 years of age. Under
9the pilot program, criminal history background checks required
10under this Act shall employ fingerprint-based criminal history
11record inquiries or comparably comprehensive name-based
12criminal history background checks. Fingerprint-based criminal
13history record inquiries shall be conducted pursuant to
14subsection (c-2) of Section 2-201.5. A Criminal History Report
15and an Identified Offender Report and Recommendation shall be
16completed pursuant to Section 2-201.6 if the results of the
17expanded criminal history background check reveal that a
18resident is an identified offender as defined in Section
191-114.01.
20    (d) If an expanded criminal history background check
21reveals that a resident is an identified offender as defined in
22Section 1-114.01, the facility shall be notified within 72
23hours.
24    (e) The cost of the expanded criminal history background
25checks conducted pursuant to the pilot program shall not exceed
26$50 per resident and shall be paid by the facility. The

 

 

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1Department of State Police shall implement all potential
2measures to minimize the cost of the expanded criminal history
3background checks to the participating long term care
4facilities.
5    (f) The pilot program shall run for a period of one year
6after the effective date of this amendatory Act of the 96th
7General Assembly. Promptly after the end of that one-year
8period, the Department shall report the results of the pilot
9program to the General Assembly.
10(Source: P.A. 96-1372, eff. 7-29-10.)
 
11    (210 ILCS 45/3-103)  (from Ch. 111 1/2, par. 4153-103)
12    Sec. 3-103. The procedure for obtaining a valid license
13shall be as follows:
14        (1) Application to operate a facility shall be made to
15    the Department on forms furnished by the Department.
16        (2) All license applications shall be accompanied with
17    an application fee. The fee for an annual license shall be
18    $995 $1,990. Facilities that pay a fee or assessment
19    pursuant to Article V-C of the Illinois Public Aid Code
20    shall be exempt from the license fee imposed under this
21    item (2). The fee for a 2-year license shall be double the
22    fee for the annual license. The fees collected shall be
23    deposited with the State Treasurer into the Long Term Care
24    Monitor/Receiver Fund, which has been created as a special
25    fund in the State treasury. This special fund is to be used

 

 

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1    by the Department for expenses related to the appointment
2    of monitors and receivers as contained in Sections 3-501
3    through 3-517 of this Act, for the enforcement of this Act,
4    and for implementation of the Abuse Prevention Review Team
5    Act. All federal moneys received as a result of
6    expenditures from the Fund shall be deposited into the
7    Fund. The Department may reduce or waive a penalty pursuant
8    to Section 3-308 only if that action will not threaten the
9    ability of the Department to meet the expenses required to
10    be met by the Long Term Care Monitor/Receiver Fund. The
11    application shall be under oath and the submission of false
12    or misleading information shall be a Class A misdemeanor.
13    The application shall contain the following information:
14            (a) The name and address of the applicant if an
15        individual, and if a firm, partnership, or
16        association, of every member thereof, and in the case
17        of a corporation, the name and address thereof and of
18        its officers and its registered agent, and in the case
19        of a unit of local government, the name and address of
20        its chief executive officer;
21            (b) The name and location of the facility for which
22        a license is sought;
23            (c) The name of the person or persons under whose
24        management or supervision the facility will be
25        conducted;
26            (d) The number and type of residents for which

 

 

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1        maintenance, personal care, or nursing is to be
2        provided; and
3            (e) Such information relating to the number,
4        experience, and training of the employees of the
5        facility, any management agreements for the operation
6        of the facility, and of the moral character of the
7        applicant and employees as the Department may deem
8        necessary.
9        (3) Each initial application shall be accompanied by a
10    financial statement setting forth the financial condition
11    of the applicant and by a statement from the unit of local
12    government having zoning jurisdiction over the facility's
13    location stating that the location of the facility is not
14    in violation of a zoning ordinance. An initial application
15    for a new facility shall be accompanied by a permit as
16    required by the "Illinois Health Facilities Planning Act".
17    After the application is approved, the applicant shall
18    advise the Department every 6 months of any changes in the
19    information originally provided in the application.
20        (4) Other information necessary to determine the
21    identity and qualifications of an applicant to operate a
22    facility in accordance with this Act shall be included in
23    the application as required by the Department in
24    regulations.
25(Source: P.A. 96-758, eff. 8-25-09; 96-1372, eff. 7-29-10;
2696-1504, eff. 1-27-11; 96-1530, eff. 2-16-11; revised

 

 

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12-23-11.)
 
2    (210 ILCS 45/3-113)  (from Ch. 111 1/2, par. 4153-113)
3    Sec. 3-113. The license granted to the transferee shall be
4subject to the plan of correction submitted by the previous
5owner and approved by the Department and any conditions
6contained in a conditional license issued to the previous
7owner. If there are outstanding violations and no approved plan
8of correction has been implemented, the Department may issue a
9conditional license and plan of correction as provided in
10Sections 3-311 through 3-317. The license granted to a
11transferee for a facility that is in receivership shall be
12subject to any contractual obligations assumed by a grantee
13under the Equity in Long-term Care Quality Act and to the plan
14submitted by the receiver for continuing and increasing
15adherence to best practices in providing high-quality nursing
16home care, unless the grant is repaid, under conditions to be
17determined by rule by the Department in its administration of
18the Equity in Long-term Care Quality Act.
19(Source: P.A. 96-1372, eff. 7-29-10.)
 
20    (210 ILCS 45/3-202.05)
21    Sec. 3-202.05. Staffing ratios effective July 1, 2010 and
22thereafter.
23    (a) For the purpose of computing staff to resident ratios,
24direct care staff shall include:

 

 

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1        (1) registered nurses;
2        (2) licensed practical nurses;
3        (3) certified nurse assistants;
4        (4) psychiatric services rehabilitation aides;
5        (5) rehabilitation and therapy aides;
6        (6) psychiatric services rehabilitation coordinators;
7        (7) assistant directors of nursing;
8        (8) 50% of the Director of Nurses' time; and
9        (9) 30% of the Social Services Directors' time.
10    The Department shall, by rule, allow certain facilities
11subject to 77 Ill. Admin. Code 300.4000 and following (Subpart
12S) and 300.6000 and following (Subpart T) to utilize
13specialized clinical staff, as defined in rules, to count
14towards the staffing ratios.
15    (b) Beginning January 1, 2011, and thereafter, light
16intermediate care shall be staffed at the same staffing ratio
17as intermediate care.
18    (c) Facilities shall notify the Department within 60 days
19after the effective date of this amendatory Act of the 96th
20General Assembly, in a form and manner prescribed by the
21Department, of the staffing ratios in effect on the effective
22date of this amendatory Act of the 96th General Assembly for
23both intermediate and skilled care and the number of residents
24receiving each level of care.
25    (d)(1) Effective July 1, 2010, for each resident needing
26skilled care, a minimum staffing ratio of 2.5 hours of nursing

 

 

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1and personal care each day must be provided; for each resident
2needing intermediate care, 1.7 hours of nursing and personal
3care each day must be provided.
4    (2) Effective January 1, 2011, the minimum staffing ratios
5shall be increased to 2.7 hours of nursing and personal care
6each day for a resident needing skilled care and 1.9 hours of
7nursing and personal care each day for a resident needing
8intermediate care.
9    (3) Effective January 1, 2013 2012, the minimum staffing
10ratios shall be increased to 3.0 hours of nursing and personal
11care each day for a resident needing skilled care and 2.1 hours
12of nursing and personal care each day for a resident needing
13intermediate care.
14    (4) Effective January 1, 2014 2013, the minimum staffing
15ratios shall be increased to 3.4 hours of nursing and personal
16care each day for a resident needing skilled care and 2.3 hours
17of nursing and personal care each day for a resident needing
18intermediate care.
19    (5) Effective January 1, 2015 2014, the minimum staffing
20ratios shall be increased to 3.8 hours of nursing and personal
21care each day for a resident needing skilled care and 2.5 hours
22of nursing and personal care each day for a resident needing
23intermediate care.
24    (e) The staffing increases set forth in paragraphs (3),
25(4), and (5) of subsection (d) of this Section shall not take
26effect until (i) the methodologies contained in Section 5-5.4

 

 

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1of the Illinois Public Aid Code are approved by the federal
2government in an appropriate State Plan amendment and (ii) the
3assessment imposed by Section 5B-2 of the Illinois Public Aid
4Code is determined to be a permissible tax under Title XIX of
5the Social Security Act.
6    (f) The Department shall establish a methodology for
7determining the number of direct care hours that must be
8provided to a resident by a registered nurse based on the care
9needs of the resident.
10(Source: P.A. 96-1372, eff. 7-29-10; 96-1504, eff. 1-27-11.)
 
11    (210 ILCS 45/3-212)  (from Ch. 111 1/2, par. 4153-212)
12    Sec. 3-212. Inspection.
13    (a) The Department, whenever it deems necessary in
14accordance with subsection (b), shall inspect, survey and
15evaluate every facility to determine compliance with
16applicable licensure requirements and standards. Submission of
17a facility's current Consumer Choice Information Report
18required by Section 2-214 shall be verified at time of
19inspection. An inspection should occur within 120 days prior to
20license renewal. The Department may periodically visit a
21facility for the purpose of consultation. An inspection,
22survey, or evaluation, other than an inspection of financial
23records, shall be conducted without prior notice to the
24facility. A visit for the sole purpose of consultation may be
25announced. The Department shall provide training to surveyors

 

 

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1about the appropriate assessment, care planning, and care of
2persons with mental illness (other than Alzheimer's disease or
3related disorders) to enable its surveyors to determine whether
4a facility is complying with State and federal requirements
5about the assessment, care planning, and care of those persons.
6    (a-1) An employee of a State or unit of local government
7agency charged with inspecting, surveying, and evaluating
8facilities who directly or indirectly gives prior notice of an
9inspection, survey, or evaluation, other than an inspection of
10financial records, to a facility or to an employee of a
11facility is guilty of a Class A misdemeanor.
12    An inspector or an employee of the Department who
13intentionally prenotifies a facility, orally or in writing, of
14a pending complaint investigation or inspection shall be guilty
15of a Class A misdemeanor. Superiors of persons who have
16prenotified a facility shall be subject to the same penalties,
17if they have knowingly allowed the prenotification. A person
18found guilty of prenotifying a facility shall be subject to
19disciplinary action by his or her employer.
20    If the Department has a good faith belief, based upon
21information that comes to its attention, that a violation of
22this subsection has occurred, it must file a complaint with the
23Attorney General or the State's Attorney in the county where
24the violation took place within 30 days after discovery of the
25information.
26    (a-2) An employee of a State or unit of local government

 

 

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1agency charged with inspecting, surveying, or evaluating
2facilities who willfully profits from violating the
3confidentiality of the inspection, survey, or evaluation
4process shall be guilty of a Class 4 felony and that conduct
5shall be deemed unprofessional conduct that may subject a
6person to loss of his or her professional license. An action to
7prosecute a person for violating this subsection (a-2) may be
8brought by either the Attorney General or the State's Attorney
9in the county where the violation took place.
10    (b) In determining whether to make more than the required
11number of unannounced inspections, surveys and evaluations of a
12facility the Department shall consider one or more of the
13following: previous inspection reports; the facility's history
14of compliance with standards, rules and regulations
15promulgated under this Act and correction of violations,
16penalties or other enforcement actions; the number and severity
17of complaints received about the facility; any allegations of
18resident abuse or neglect; weather conditions; health
19emergencies; other reasonable belief that deficiencies exist.
20    (b-1) The Department shall not be required to determine
21whether a facility certified to participate in the Medicare
22program under Title XVIII of the Social Security Act, or the
23Medicaid program under Title XIX of the Social Security Act,
24and which the Department determines by inspection under this
25Section or under Section 3-702 of this Act to be in compliance
26with the certification requirements of Title XVIII or XIX, is

 

 

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1in compliance with any requirement of this Act that is less
2stringent than or duplicates a federal certification
3requirement. In accordance with subsection (a) of this Section
4or subsection (d) of Section 3-702, the Department shall
5determine whether a certified facility is in compliance with
6requirements of this Act that exceed federal certification
7requirements. If a certified facility is found to be out of
8compliance with federal certification requirements, the
9results of an inspection conducted pursuant to Title XVIII or
10XIX of the Social Security Act may be used as the basis for
11enforcement remedies authorized and commenced, with the
12Department's discretion to evaluate whether penalties are
13warranted, under this Act. Enforcement of this Act against a
14certified facility shall be commenced pursuant to the
15requirements of this Act, unless enforcement remedies sought
16pursuant to Title XVIII or XIX of the Social Security Act
17exceed those authorized by this Act. As used in this
18subsection, "enforcement remedy" means a sanction for
19violating a federal certification requirement or this Act.
20    (c) Upon completion of each inspection, survey and
21evaluation, the appropriate Department personnel who conducted
22the inspection, survey or evaluation shall submit a copy of
23their report to the licensee upon exiting the facility, and
24shall submit the actual report to the appropriate regional
25office of the Department. Such report and any recommendations
26for action by the Department under this Act shall be

 

 

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1transmitted to the appropriate offices of the associate
2director of the Department, together with related comments or
3documentation provided by the licensee which may refute
4findings in the report, which explain extenuating
5circumstances that the facility could not reasonably have
6prevented, or which indicate methods and timetables for
7correction of deficiencies described in the report. Without
8affecting the application of subsection (a) of Section 3-303,
9any documentation or comments of the licensee shall be provided
10within 10 days of receipt of the copy of the report. Such
11report shall recommend to the Director appropriate action under
12this Act with respect to findings against a facility. The
13Director shall then determine whether the report's findings
14constitute a violation or violations of which the facility must
15be given notice. Such determination shall be based upon the
16severity of the finding, the danger posed to resident health
17and safety, the comments and documentation provided by the
18facility, the diligence and efforts to correct deficiencies,
19correction of the reported deficiencies, the frequency and
20duration of similar findings in previous reports and the
21facility's general inspection history. Violations shall be
22determined under this subsection no later than 60 90 days after
23completion of each inspection, survey and evaluation.
24    (d) The Department shall maintain all inspection, survey
25and evaluation reports for at least 5 years in a manner
26accessible to and understandable by the public.

 

 

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1    (e) Revisit surveys. The Department shall conduct a revisit
2to its licensure and certification surveys, consistent with
3federal regulations and guidelines.
4(Source: P.A. 95-823, eff. 1-1-09; 96-1372, eff. 7-29-10.)
 
5    (210 ILCS 45/3-304.2)
6    Sec. 3-304.2. Designation of distressed facilities.
7    (a) By May 1, 2011, and quarterly thereafter, the
8Department shall generate and publish quarterly a list of
9distressed facilities. Criteria for inclusion of certified
10facilities on the list shall be those used by the U.S. General
11Accounting Office in report 9-689, until such time as the
12Department by rule modifies the criteria.
13    (b) In deciding whether and how to modify the criteria used
14by the General Accounting Office, the Department shall complete
15a test run of any substitute criteria to determine their
16reliability by comparing the number of facilities identified as
17distressed against the number of distressed facilities
18generated using the criteria contained in the General
19Accounting Office report. The Department may not adopt
20substitute criteria that generate fewer facilities with a
21distressed designation than are produced by the General
22Accounting Office criteria during the test run.
23    (c) The Department shall, by rule, adopt criteria to
24identify non-Medicaid-certified facilities that are distressed
25and shall publish this list quarterly beginning October 1,

 

 

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12011.
2    (d) The Department shall notify each facility of its
3distressed designation, and of the calculation on which it is
4based.
5    (e) A distressed facility may contract with an independent
6consultant meeting criteria established by the Department. If
7the distressed facility does not seek the assistance of an
8independent consultant, the Department shall place a monitor or
9a temporary manager in the facility, depending on the
10Department's assessment of the condition of the facility.
11    (f) Independent consultant. A facility that has been
12designated a distressed facility may contract with an
13independent consultant to develop and assist in the
14implementation of a plan of improvement to bring and keep the
15facility in compliance with this Act and, if applicable, with
16federal certification requirements. A facility that contracts
17with an independent consultant shall have 90 days to develop a
18plan of improvement and demonstrate a good faith effort at
19implementation, and another 90 days to achieve compliance and
20take whatever additional actions are called for in the
21improvement plan to maintain compliance. A facility that the
22Department determines has a plan of improvement likely to bring
23and keep the facility in compliance and that has demonstrated
24good faith efforts at implementation within the first 90 days
25may be eligible to receive a grant under the Equity in
26Long-term Care Quality Act to assist it in achieving and

 

 

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1maintaining compliance. In this subsection, "independent"
2consultant means an individual who has no professional or
3financial relationship with the facility, any person with a
4reportable ownership interest in the facility, or any related
5parties. In this subsection, "related parties" has the meaning
6attributed to it in the instructions for completing Medicaid
7cost reports.
8    (f) Monitor and temporary managers. A distressed facility
9that does not contract with a consultant shall be assigned a
10monitor or a temporary manager at the Department's discretion.
11The cost of the temporary manager shall be paid by the
12facility. The temporary manager shall have the authority
13determined by the Department, which may grant the temporary
14manager any or all of the authority a court may grant a
15receiver. The temporary manager may apply to the Equity in
16Long-term Care Quality Fund for grant funds to implement the
17plan of improvement.
18    (g) The Department shall by rule establish a mentor program
19for owners of distressed facilities.
20    (h) The Department shall by rule establish sanctions (in
21addition to those authorized elsewhere in this Article) against
22distressed facilities that are not in compliance with this Act
23and (if applicable) with federal certification requirements.
24Criteria for imposing sanctions shall take into account a
25facility's actions to address the violations and deficiencies
26that caused its designation as a distressed facility, and its

 

 

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1compliance with this Act and with federal certification
2requirements (if applicable), subsequent to its designation as
3a distressed facility, including mandatory revocations if
4criteria can be agreed upon by the Department, resident
5advocates, and representatives of the nursing home profession.
6By February 1, 2011, the Department shall report to the General
7Assembly on the results of negotiations about creating criteria
8for mandatory license revocations of distressed facilities and
9make recommendations about any statutory changes it believes
10are appropriate to protect the health, safety, and welfare of
11nursing home residents.
12    (i) The Department may establish by rule criteria for
13restricting the owner of a facility on the distressed list from
14acquiring additional skilled nursing facilities.
15    (j) Implementation of this Section and any other Sections
16of this Act referencing distressed facilities shall be placed
17on hold pending a specific appropriation to cover the cost of
18developing and maintaining a State-specific rating system and
19all ordinary and contingent expenses associated with full
20implementation of this Section.
21(Source: P.A. 96-1372, eff. 7-29-10.)
 
22    (210 ILCS 45/3-305)  (from Ch. 111 1/2, par. 4153-305)
23    Sec. 3-305. The license of a facility which is in violation
24of this Act or any rule adopted thereunder may be subject to
25the penalties or fines levied by the Department as specified in

 

 

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1this Section.
2    (1) A licensee who commits a Type "AA" violation as defined
3in Section 1-128.5 is automatically issued a conditional
4license for a period of 6 months to coincide with an acceptable
5plan of correction and assessed a fine up to $10,000 $25,000
6per violation.
7    (1.5) A licensee who commits a Type "A" violation as
8defined in Section 1-129 is automatically issued a conditional
9license for a period of 6 months to coincide with an acceptable
10plan of correction and assessed a fine of up to $5,000 $12,500
11per violation.
12    (2) A licensee who commits a Type "B" violation as defined
13in Section 1-130 shall be assessed a fine of up to $500 $1,100
14per violation.
15    (2.5) (Blank). A licensee who commits 10 or more Type "C"
16violations, as defined in Section 1-132, in a single survey
17shall be assessed a fine of up to $250 per violation. A
18licensee who commits one or more Type "C" violations with a
19high risk designation, as defined by rule, shall be assessed a
20fine of up to $500 per violation.
21    (3) A licensee who commits a Type "AA" or Type "A"
22violation as defined in Section 1-128.5 or 1-129 which
23continues beyond the time specified in paragraph (a) of Section
243-303 which is cited as a repeat violation shall have its
25license revoked and shall be assessed a fine of 3 times the
26fine computed per resident per day under subsection (1).

 

 

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1    (4) A licensee who fails to satisfactorily comply with an
2accepted plan of correction for a Type "B" violation or an
3administrative warning issued pursuant to Sections 3-401
4through 3-413 or the rules promulgated thereunder shall be
5automatically issued a conditional license for a period of not
6less than 6 months. A second or subsequent acceptable plan of
7correction shall be filed. A fine shall be assessed in
8accordance with subsection (2) when cited for the repeat
9violation. This fine shall be computed for all days of the
10violation, including the duration of the first plan of
11correction compliance time.
12    (5) For the purpose of computing a penalty under
13subsections (2) through (4), the number of residents per day
14shall be based on the average number of residents in the
15facility during the 30 days preceding the discovery of the
16violation.
17    (6) When the Department finds that a provision of Article
18II has been violated with regard to a particular resident, the
19Department shall issue an order requiring the facility to
20reimburse the resident for injuries incurred, or $100,
21whichever is greater. In the case of a violation involving any
22action other than theft of money belonging to a resident,
23reimbursement shall be ordered only if a provision of Article
24II has been violated with regard to that or any other resident
25of the facility within the 2 years immediately preceding the
26violation in question.

 

 

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1    (7) For purposes of assessing fines under this Section, a
2repeat violation shall be a violation which has been cited
3during one inspection of the facility for which an accepted
4plan of correction was not complied with or a new citation of
5the same rule if the licensee is not substantially addressing
6the issue routinely throughout the facility.
7    (7.5) If an occurrence results in more than one type of
8violation as defined in this Act (that is, a Type "AA", Type
9"A", Type "B", or Type "C" violation), the maximum fine that
10may be assessed for that occurrence is the maximum fine that
11may be assessed for the most serious type of violation charged.
12For purposes of the preceding sentence, a Type "AA" violation
13is the most serious type of violation that may be charged,
14followed by a Type "A", Type "B", or Type "C" violation, in
15that order.
16    (8) The minimum and maximum fines that may be assessed
17pursuant to this Section shall be twice those otherwise
18specified for any facility that willfully makes a misstatement
19of fact to the Department, or willfully fails to make a
20required notification to the Department, if that misstatement
21or failure delays the start of a surveyor or impedes a survey.
22    (9) High risk designation. If the Department finds that a
23facility has violated a provision of the Illinois
24Administrative Code that has a high risk designation, or that a
25facility has violated the same provision of the Illinois
26Administrative Code 3 or more times in the previous 12 months,

 

 

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1the Department may assess a fine of up to 2 times the maximum
2fine otherwise allowed.
3    (10) If a licensee has paid a civil monetary penalty
4imposed pursuant to the Medicare and Medicaid Certification
5Program for the equivalent federal violation giving rise to a
6fine under this Section, the Department shall offset the fine
7by the amount of the civil monetary penalty. The offset may not
8reduce the fine by more than 75% of the original fine, however.
9(Source: P.A. 96-1372, eff. 7-29-10.)
 
10    (30 ILCS 772/5 rep.)
11    (30 ILCS 772/10 rep.)
12    (30 ILCS 772/20 rep.)
13    Section 90. The Equity in Long-term Care Quality Act is
14amended by repealing Sections 5, 10, and 20.".