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| Public Act 102-1071
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| HB5186 Enrolled | LRB102 24774 RJF 34017 b |  
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 AN ACT concerning State government.
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 Be it enacted by the People of the State of Illinois,
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represented in the General Assembly:
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ARTICLE 5.  STATE GOVERNMENT-AGENCY MANDATES
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 (20 ILCS 1110/7 rep.)
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 (20 ILCS 1110/8 rep.)
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 (20 ILCS 1110/9 rep.)
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 (20 ILCS 1110/10 rep.)
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 (20 ILCS 1110/11 rep.)
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 (20 ILCS 1110/12 rep.)
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 (20 ILCS 1110/13 rep.)
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 (20 ILCS 1110/14 rep.)
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 (20 ILCS 1110/15 rep.)
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 (20 ILCS 1110/16 rep.)
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 (20 ILCS 1110/17 rep.)
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 Section 5-5. The Illinois Coal and Energy Development Bond  | 
Act is amended by repealing Sections 7, 8, 9, 10, 11, 12, 13,  | 
14, 15, 16, and 17.
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 Section 5-10. The Department of Human Services Act is  | 
amended by changing Section 1-17 as follows:
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 (20 ILCS 1305/1-17)
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 Sec. 1-17. Inspector General. | 
 (a) Nature and purpose. It is the express intent of the  | 
General Assembly to ensure the health, safety, and financial  | 
condition of individuals receiving services in this State due  | 
to mental illness, developmental disability, or both by  | 
protecting those persons from acts of abuse, neglect, or both  | 
by service providers. To that end, the Office of the Inspector  | 
General for the Department of Human Services is created to  | 
investigate and report upon allegations of the abuse, neglect,  | 
or financial exploitation of individuals receiving services  | 
within mental health facilities, developmental disabilities  | 
facilities, and community agencies operated, licensed, funded,  | 
or certified by the Department of Human Services, but not  | 
licensed or certified by any other State agency. | 
 (b) Definitions. The following definitions apply to this  | 
Section: | 
 "Adult student with a disability" means an adult student,  | 
age 18 through 21, inclusive, with an Individual Education  | 
Program, other than a resident of a facility licensed by the  | 
Department of Children and Family Services in accordance with  | 
the Child Care Act of 1969. For purposes of this definition,  | 
"through age 21, inclusive", means through the day before the  | 
student's 22nd birthday.  | 
 "Agency" or "community agency" means (i) a community  | 
agency licensed, funded, or certified by the Department, but  | 
not licensed or certified by any other human services agency  | 
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of the State, to provide mental health service or  | 
developmental disabilities service, or (ii) a program  | 
licensed, funded, or certified by the Department, but not  | 
licensed or certified by any other human services agency of  | 
the State, to provide mental health service or developmental  | 
disabilities service. | 
 "Aggravating circumstance" means a factor that is  | 
attendant to a finding and that tends to compound or increase  | 
the culpability of the accused. | 
 "Allegation" means an assertion, complaint, suspicion, or  | 
incident involving any of the following conduct by an  | 
employee, facility, or agency against an individual or  | 
individuals: mental abuse, physical abuse, sexual abuse,  | 
neglect, or financial exploitation. | 
 "Day" means working day, unless otherwise specified. | 
 "Deflection" means a situation in which an individual is  | 
presented for admission to a facility or agency, and the  | 
facility staff or agency staff do not admit the individual.  | 
"Deflection" includes triage, redirection, and denial of  | 
admission. | 
 "Department" means the Department of Human Services.  | 
 "Developmental disability" means "developmental  | 
disability" as defined in the Mental Health and Developmental  | 
Disabilities Code. | 
 "Egregious neglect" means a finding of neglect as  | 
determined by the Inspector General that (i) represents a  | 
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gross failure to adequately provide for, or a callused  | 
indifference to, the health, safety, or medical needs of an  | 
individual and (ii) results in an individual's death or other  | 
serious deterioration of an individual's physical condition or  | 
mental condition. | 
 "Employee" means any person who provides services at the  | 
facility or agency on-site or off-site. The service  | 
relationship can be with the individual or with the facility  | 
or agency. Also, "employee" includes any employee or  | 
contractual agent of the Department of Human Services or the  | 
community agency involved in providing or monitoring or  | 
administering mental health or developmental disability  | 
services. This includes but is not limited to: owners,  | 
operators, payroll personnel, contractors, subcontractors, and  | 
volunteers. | 
 "Facility" or "State-operated facility" means a mental  | 
health facility or developmental disabilities facility  | 
operated by the Department. | 
 "Financial exploitation" means taking unjust advantage of  | 
an individual's assets, property, or financial resources  | 
through deception, intimidation, or conversion for the  | 
employee's, facility's, or agency's own advantage or benefit. | 
 "Finding" means the Office of Inspector General's  | 
determination regarding whether an allegation is  | 
substantiated, unsubstantiated, or unfounded. | 
 "Health Care Worker Registry" or "Registry" means the  | 
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Health Care Worker Registry under the Health Care Worker  | 
Background Check Act. | 
 "Individual" means any person receiving mental health  | 
service, developmental disabilities service, or both from a  | 
facility or agency, while either on-site or off-site. | 
 "Mental abuse" means the use of demeaning, intimidating,  | 
or threatening words, signs, gestures, or other actions by an  | 
employee about an individual and in the presence of an  | 
individual or individuals that results in emotional distress  | 
or maladaptive behavior, or could have resulted in emotional  | 
distress or maladaptive behavior, for any individual present. | 
 "Mental illness" means "mental illness" as defined in the  | 
Mental Health and Developmental Disabilities Code. | 
 "Mentally ill" means having a mental illness.  | 
 "Mitigating circumstance" means a condition that (i) is  | 
attendant to a finding, (ii) does not excuse or justify the  | 
conduct in question, but (iii) may be considered in evaluating  | 
the severity of the conduct, the culpability of the accused,  | 
or both the severity of the conduct and the culpability of the  | 
accused. | 
 "Neglect" means an employee's, agency's, or facility's  | 
failure to provide adequate medical care, personal care, or  | 
maintenance and that, as a consequence, (i) causes an  | 
individual pain, injury, or emotional distress, (ii) results  | 
in either an individual's maladaptive behavior or the  | 
deterioration of an individual's physical condition or mental  | 
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condition, or (iii) places the individual's health or safety  | 
at substantial risk. | 
 "Person with a developmental disability" means a person  | 
having a developmental disability. | 
 "Physical abuse" means an employee's non-accidental and  | 
inappropriate contact with an individual that causes bodily  | 
harm. "Physical abuse" includes actions that cause bodily harm  | 
as a result of an employee directing an individual or person to  | 
physically abuse another individual. | 
 "Recommendation" means an admonition, separate from a  | 
finding, that requires action by the facility, agency, or  | 
Department to correct a systemic issue, problem, or deficiency  | 
identified during an investigation. | 
 "Required reporter" means any employee who suspects,  | 
witnesses, or is informed of an allegation of any one or more  | 
of the following: mental abuse, physical abuse, sexual abuse,  | 
neglect, or financial exploitation. | 
 "Secretary" means the Chief Administrative Officer of the  | 
Department. | 
 "Sexual abuse" means any sexual contact or intimate  | 
physical contact between an employee and an individual,  | 
including an employee's coercion or encouragement of an  | 
individual to engage in sexual behavior that results in sexual  | 
contact, intimate physical contact, sexual behavior, or  | 
intimate physical behavior. Sexual abuse also includes (i) an  | 
employee's actions that result in the sending or showing of  | 
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sexually explicit images to an individual via computer,  | 
cellular phone, electronic mail, portable electronic device,  | 
or other media with or without contact with the individual or  | 
(ii) an employee's posting of sexually explicit images of an  | 
individual online or elsewhere whether or not there is contact  | 
with the individual. | 
 "Sexually explicit images" includes, but is not limited  | 
to, any material which depicts nudity, sexual conduct, or  | 
sado-masochistic abuse, or which contains explicit and  | 
detailed verbal descriptions or narrative accounts of sexual  | 
excitement, sexual conduct, or sado-masochistic abuse. | 
 "Substantiated" means there is a preponderance of the  | 
evidence to support the allegation. | 
 "Unfounded" means there is no credible evidence to support  | 
the allegation. | 
 "Unsubstantiated" means there is credible evidence, but  | 
less than a preponderance of evidence to support the  | 
allegation.  | 
 (c) Appointment. The Governor shall appoint, and the  | 
Senate shall confirm, an Inspector General. The Inspector  | 
General shall be appointed for a term of 4 years and shall  | 
function within the Department of Human Services and report to  | 
the Secretary and the Governor.  | 
 (d) Operation and appropriation. The Inspector General  | 
shall function independently within the Department with  | 
respect to the operations of the Office, including the  | 
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performance of investigations and issuance of findings and  | 
recommendations. The appropriation for the Office of Inspector  | 
General shall be separate from the overall appropriation for  | 
the Department. | 
 (e) Powers and duties. The Inspector General shall  | 
investigate reports of suspected mental abuse, physical abuse,  | 
sexual abuse, neglect, or financial exploitation of  | 
individuals in any mental health or developmental disabilities  | 
facility or agency and shall have authority to take immediate  | 
action to prevent any one or more of the following from  | 
happening to individuals under its jurisdiction: mental abuse,  | 
physical abuse, sexual abuse, neglect, or financial  | 
exploitation. Upon written request of an agency of this State,  | 
the Inspector General may assist another agency of the State  | 
in investigating reports of the abuse, neglect, or abuse and  | 
neglect of persons with mental illness, persons with  | 
developmental disabilities, or persons with both. To comply  | 
with the requirements of subsection (k) of this Section, the  | 
Inspector General shall also review all reportable deaths for  | 
which there is no allegation of abuse or neglect. Nothing in  | 
this Section shall preempt any duties of the Medical Review  | 
Board set forth in the Mental Health and Developmental  | 
Disabilities Code. The Inspector General shall have no  | 
authority to investigate alleged violations of the State  | 
Officials and Employees Ethics Act. Allegations of misconduct  | 
under the State Officials and Employees Ethics Act shall be  | 
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referred to the Office of the Governor's Executive Inspector  | 
General for investigation. | 
 (f) Limitations. The Inspector General shall not conduct  | 
an investigation within an agency or facility if that  | 
investigation would be redundant to or interfere with an  | 
investigation conducted by another State agency. The Inspector  | 
General shall have no supervision over, or involvement in, the  | 
routine programmatic, licensing, funding, or certification  | 
operations of the Department. Nothing in this subsection  | 
limits investigations by the Department that may otherwise be  | 
required by law or that may be necessary in the Department's  | 
capacity as central administrative authority responsible for  | 
the operation of the State's mental health and developmental  | 
disabilities facilities. | 
 (g) Rulemaking authority. The Inspector General shall  | 
promulgate rules establishing minimum requirements for  | 
reporting allegations as well as for initiating, conducting,  | 
and completing investigations based upon the nature of the  | 
allegation or allegations. The rules shall clearly establish  | 
that if 2 or more State agencies could investigate an  | 
allegation, the Inspector General shall not conduct an  | 
investigation that would be redundant to, or interfere with,  | 
an investigation conducted by another State agency. The rules  | 
shall further clarify the method and circumstances under which  | 
the Office of Inspector General may interact with the  | 
licensing, funding, or certification units of the Department  | 
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in preventing further occurrences of mental abuse, physical  | 
abuse, sexual abuse, neglect, egregious neglect, and financial  | 
exploitation. | 
 (h) Training programs. The Inspector General shall (i)  | 
establish a comprehensive program to ensure that every person  | 
authorized to conduct investigations receives ongoing training  | 
relative to investigation techniques, communication skills,  | 
and the appropriate means of interacting with persons  | 
receiving treatment for mental illness, developmental  | 
disability, or both mental illness and developmental  | 
disability, and (ii) establish and conduct periodic training  | 
programs for facility and agency employees concerning the  | 
prevention and reporting of any one or more of the following:  | 
mental abuse, physical abuse, sexual abuse, neglect, egregious  | 
neglect, or financial exploitation. The Inspector General  | 
shall further ensure (i) every person authorized to conduct  | 
investigations at community agencies receives ongoing training  | 
in Title 59, Parts 115, 116, and 119 of the Illinois  | 
Administrative Code, and (ii) every person authorized to  | 
conduct investigations shall receive ongoing training in Title  | 
59, Part 50 of the Illinois Administrative Code. Nothing in  | 
this Section shall be deemed to prevent the Office of  | 
Inspector General from conducting any other training as  | 
determined by the Inspector General to be necessary or  | 
helpful. | 
 (i) Duty to cooperate.  | 
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  (1) The Inspector General shall at all times be  | 
 granted access to any facility or agency for the purpose  | 
 of investigating any allegation, conducting unannounced  | 
 site visits, monitoring compliance with a written  | 
 response, or completing any other statutorily assigned  | 
 duty. The Inspector General shall conduct unannounced site  | 
 visits to each facility at least annually for the purpose  | 
 of reviewing and making recommendations on systemic issues  | 
 relative to preventing, reporting, investigating, and  | 
 responding to all of the following: mental abuse, physical  | 
 abuse, sexual abuse, neglect, egregious neglect, or  | 
 financial exploitation. | 
  (2) Any employee who fails to cooperate with an Office  | 
 of the Inspector General investigation is in violation of  | 
 this Act. Failure to cooperate with an investigation  | 
 includes, but is not limited to, any one or more of the  | 
 following: (i) creating and transmitting a false report to  | 
 the Office of the Inspector General hotline, (ii)  | 
 providing false information to an Office of the Inspector  | 
 General Investigator during an investigation, (iii)  | 
 colluding with other employees to cover up evidence, (iv)  | 
 colluding with other employees to provide false  | 
 information to an Office of the Inspector General  | 
 investigator, (v) destroying evidence, (vi) withholding  | 
 evidence, or (vii) otherwise obstructing an Office of the  | 
 Inspector General investigation. Additionally, any  | 
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 employee who, during an unannounced site visit or written  | 
 response compliance check, fails to cooperate with  | 
 requests from the Office of the Inspector General is in  | 
 violation of this Act. | 
 (j) Subpoena powers. The Inspector General shall have the  | 
power to subpoena witnesses and compel the production of all  | 
documents and physical evidence relating to his or her  | 
investigations and any hearings authorized by this Act. This  | 
subpoena power shall not extend to persons or documents of a  | 
labor organization or its representatives insofar as the  | 
persons are acting in a representative capacity to an employee  | 
whose conduct is the subject of an investigation or the  | 
documents relate to that representation. Any person who  | 
otherwise fails to respond to a subpoena or who knowingly  | 
provides false information to the Office of the Inspector  | 
General by subpoena during an investigation is guilty of a  | 
Class A misdemeanor. | 
 (k) Reporting allegations and deaths. | 
  (1) Allegations. If an employee witnesses, is told of,  | 
 or has reason to believe an incident of mental abuse,  | 
 physical abuse, sexual abuse, neglect, or financial  | 
 exploitation has occurred, the employee, agency, or  | 
 facility shall report the allegation by phone to the  | 
 Office of the Inspector General hotline according to the  | 
 agency's or facility's procedures, but in no event later  | 
 than 4 hours after the initial discovery of the incident,  | 
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 allegation, or suspicion of any one or more of the  | 
 following: mental abuse, physical abuse, sexual abuse,  | 
 neglect, or financial exploitation. A required reporter as  | 
 defined in subsection (b) of this Section who knowingly or  | 
 intentionally fails to comply with these reporting  | 
 requirements is guilty of a Class A misdemeanor. | 
  (2) Deaths. Absent an allegation, a required reporter  | 
 shall, within 24 hours after initial discovery, report by  | 
 phone to the Office of the Inspector General hotline each  | 
 of the following: | 
   (i) Any death of an individual occurring within 14  | 
 calendar days after discharge or transfer of the  | 
 individual from a residential program or facility. | 
   (ii) Any death of an individual occurring within  | 
 24 hours after deflection from a residential program  | 
 or facility. | 
   (iii) Any other death of an individual occurring  | 
 at an agency or facility or at any Department-funded  | 
 site. | 
  (3) Retaliation. It is a violation of this Act for any  | 
 employee or administrator of an agency or facility to take  | 
 retaliatory action against an employee who acts in good  | 
 faith in conformance with his or her duties as a required  | 
 reporter.  | 
 (l) Reporting to law enforcement. (1) Reporting criminal  | 
acts. Within 24 hours after determining that there is credible  | 
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evidence indicating that a criminal act may have been  | 
committed or that special expertise may be required in an  | 
investigation, the Inspector General shall notify the Illinois  | 
State Police or other appropriate law enforcement authority,  | 
or ensure that such notification is made. The Illinois State  | 
Police shall investigate any report from a State-operated  | 
facility indicating a possible murder, sexual assault, or  | 
other felony by an employee. All investigations conducted by  | 
the Inspector General shall be conducted in a manner designed  | 
to ensure the preservation of evidence for possible use in a  | 
criminal prosecution. | 
  (2) Reporting allegations of adult students with  | 
 disabilities. Upon receipt of a reportable allegation  | 
 regarding an adult student with a disability, the  | 
 Department's Office of the Inspector General shall  | 
 determine whether the allegation meets the criteria for  | 
 the Domestic Abuse Program under the Abuse of Adults with  | 
 Disabilities Intervention Act. If the allegation is  | 
 reportable to that program, the Office of the Inspector  | 
 General shall initiate an investigation. If the allegation  | 
 is not reportable to the Domestic Abuse Program, the  | 
 Office of the Inspector General shall make an expeditious  | 
 referral to the respective law enforcement entity. If the  | 
 alleged victim is already receiving services from the  | 
 Department, the Office of the Inspector General shall also  | 
 make a referral to the respective Department of Human  | 
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 Services' Division or Bureau.  | 
 (m) Investigative reports. Upon completion of an  | 
investigation, the Office of Inspector General shall issue an  | 
investigative report identifying whether the allegations are  | 
substantiated, unsubstantiated, or unfounded. Within 10  | 
business days after the transmittal of a completed  | 
investigative report substantiating an allegation, finding an  | 
allegation is unsubstantiated, or if a recommendation is made,  | 
the Inspector General shall provide the investigative report  | 
on the case to the Secretary and to the director of the  | 
facility or agency where any one or more of the following  | 
occurred: mental abuse, physical abuse, sexual abuse, neglect,  | 
egregious neglect, or financial exploitation. The director of  | 
the facility or agency shall be responsible for maintaining  | 
the confidentiality of the investigative report consistent  | 
with State and federal law. In a substantiated case, the  | 
investigative report shall include any mitigating or  | 
aggravating circumstances that were identified during the  | 
investigation. If the case involves substantiated neglect, the  | 
investigative report shall also state whether egregious  | 
neglect was found. An investigative report may also set forth  | 
recommendations. All investigative reports prepared by the  | 
Office of the Inspector General shall be considered  | 
confidential and shall not be released except as provided by  | 
the law of this State or as required under applicable federal  | 
law. Unsubstantiated and unfounded reports shall not be  | 
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disclosed except as allowed under Section 6 of the Abused and  | 
Neglected Long Term Care Facility Residents Reporting Act. Raw  | 
data used to compile the investigative report shall not be  | 
subject to release unless required by law or a court order.  | 
"Raw data used to compile the investigative report" includes,  | 
but is not limited to, any one or more of the following: the  | 
initial complaint, witness statements, photographs,  | 
investigator's notes, police reports, or incident reports. If  | 
the allegations are substantiated, the victim, the victim's  | 
guardian, and the accused shall be provided with a redacted  | 
copy of the investigative report. Death reports where there  | 
was no allegation of abuse or neglect shall only be released  | 
pursuant to applicable State or federal law or a valid court  | 
order. Unredacted investigative reports, as well as raw data,  | 
may be shared with a local law enforcement entity, a State's  | 
Attorney's office, or a county coroner's office upon written  | 
request. | 
 (n) Written responses, clarification requests, and  | 
reconsideration requests. | 
  (1) Written responses. Within 30 calendar days from  | 
 receipt of a substantiated investigative report or an  | 
 investigative report which contains recommendations,  | 
 absent a reconsideration request, the facility or agency  | 
 shall file a written response that addresses, in a concise  | 
 and reasoned manner, the actions taken to: (i) protect the  | 
 individual; (ii) prevent recurrences; and (iii) eliminate  | 
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 the problems identified. The response shall include the  | 
 implementation and completion dates of such actions. If  | 
 the written response is not filed within the allotted 30  | 
 calendar day period, the Secretary shall determine the  | 
 appropriate corrective action to be taken. | 
  (2) Requests for clarification. The facility, agency,  | 
 victim or guardian, or the subject employee may request  | 
 that the Office of Inspector General clarify the finding  | 
 or findings for which clarification is sought.  | 
  (3) Requests for reconsideration. The facility,  | 
 agency, victim or guardian, or the subject employee may  | 
 request that the Office of the Inspector General  | 
 reconsider the finding or findings or the recommendations.  | 
 A request for reconsideration shall be subject to a  | 
 multi-layer review and shall include at least one reviewer  | 
 who did not participate in the investigation or approval  | 
 of the original investigative report. After the  | 
 multi-layer review process has been completed, the  | 
 Inspector General shall make the final determination on  | 
 the reconsideration request. The investigation shall be  | 
 reopened if the reconsideration determination finds that  | 
 additional information is needed to complete the  | 
 investigative record. | 
 (o) Disclosure of the finding by the Inspector General.  | 
The Inspector General shall disclose the finding of an  | 
investigation to the following persons: (i) the Governor, (ii)  | 
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the Secretary, (iii) the director of the facility or agency,  | 
(iv) the alleged victims and their guardians, (v) the  | 
complainant, and (vi) the accused. This information shall  | 
include whether the allegations were deemed substantiated,  | 
unsubstantiated, or unfounded. | 
 (p) Secretary review. Upon review of the Inspector  | 
General's investigative report and any agency's or facility's  | 
written response, the Secretary shall accept or reject the  | 
written response and notify the Inspector General of that  | 
determination. The Secretary may further direct that other  | 
administrative action be taken, including, but not limited to,  | 
any one or more of the following: (i) additional site visits,  | 
(ii) training, (iii) provision of technical assistance  | 
relative to administrative needs, licensure, or certification,  | 
or (iv) the imposition of appropriate sanctions. | 
 (q) Action by facility or agency. Within 30 days of the  | 
date the Secretary approves the written response or directs  | 
that further administrative action be taken, the facility or  | 
agency shall provide an implementation report to the Inspector  | 
General that provides the status of the action taken. The  | 
facility or agency shall be allowed an additional 30 days to  | 
send notice of completion of the action or to send an updated  | 
implementation report. If the action has not been completed  | 
within the additional 30-day period, the facility or agency  | 
shall send updated implementation reports every 60 days until  | 
completion. The Inspector General shall conduct a review of  | 
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any implementation plan that takes more than 120 days after  | 
approval to complete, and shall monitor compliance through a  | 
random review of approved written responses, which may  | 
include, but are not limited to: (i) site visits, (ii)  | 
telephone contact, and (iii) requests for additional  | 
documentation evidencing compliance. | 
 (r) Sanctions. Sanctions, if imposed by the Secretary  | 
under Subdivision (p)(iv) of this Section, shall be designed  | 
to prevent further acts of mental abuse, physical abuse,  | 
sexual abuse, neglect, egregious neglect, or financial  | 
exploitation or some combination of one or more of those acts  | 
at a facility or agency, and may include any one or more of the  | 
following: | 
  (1) Appointment of on-site monitors. | 
  (2) Transfer or relocation of an individual or  | 
 individuals. | 
  (3) Closure of units. | 
  (4) Termination of any one or more of the following:  | 
 (i) Department licensing, (ii) funding, or (iii)  | 
 certification.  | 
 The Inspector General may seek the assistance of the  | 
Illinois Attorney General or the office of any State's  | 
Attorney in implementing sanctions.  | 
 (s) Health Care Worker Registry.  | 
  (1) Reporting to the Registry. The Inspector General  | 
 shall report to the Department of Public Health's Health  | 
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 Care Worker Registry, a public registry, the identity and  | 
 finding of each employee of a facility or agency against  | 
 whom there is a final investigative report containing a  | 
 substantiated allegation of physical or sexual abuse,  | 
 financial exploitation, or egregious neglect of an  | 
 individual.  | 
  (2) Notice to employee. Prior to reporting the name of  | 
 an employee, the employee shall be notified of the  | 
 Department's obligation to report and shall be granted an  | 
 opportunity to request an administrative hearing, the sole  | 
 purpose of which is to determine if the substantiated  | 
 finding warrants reporting to the Registry. Notice to the  | 
 employee shall contain a clear and concise statement of  | 
 the grounds on which the report to the Registry is based,  | 
 offer the employee an opportunity for a hearing, and  | 
 identify the process for requesting such a hearing. Notice  | 
 is sufficient if provided by certified mail to the  | 
 employee's last known address. If the employee fails to  | 
 request a hearing within 30 days from the date of the  | 
 notice, the Inspector General shall report the name of the  | 
 employee to the Registry. Nothing in this subdivision  | 
 (s)(2) shall diminish or impair the rights of a person who  | 
 is a member of a collective bargaining unit under the  | 
 Illinois Public Labor Relations Act or under any other  | 
 federal labor statute.  | 
  (3) Registry hearings. If the employee requests an  | 
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 administrative hearing, the employee shall be granted an  | 
 opportunity to appear before an administrative law judge  | 
 to present reasons why the employee's name should not be  | 
 reported to the Registry. The Department shall bear the  | 
 burden of presenting evidence that establishes, by a  | 
 preponderance of the evidence, that the substantiated  | 
 finding warrants reporting to the Registry. After  | 
 considering all the evidence presented, the administrative  | 
 law judge shall make a recommendation to the Secretary as  | 
 to whether the substantiated finding warrants reporting  | 
 the name of the employee to the Registry. The Secretary  | 
 shall render the final decision. The Department and the  | 
 employee shall have the right to request that the  | 
 administrative law judge consider a stipulated disposition  | 
 of these proceedings. | 
  (4) Testimony at Registry hearings. A person who makes  | 
 a report or who investigates a report under this Act shall  | 
 testify fully in any judicial proceeding resulting from  | 
 such a report, as to any evidence of abuse or neglect, or  | 
 the cause thereof. No evidence shall be excluded by reason  | 
 of any common law or statutory privilege relating to  | 
 communications between the alleged perpetrator of abuse or  | 
 neglect, or the individual alleged as the victim in the  | 
 report, and the person making or investigating the report.  | 
 Testimony at hearings is exempt from the confidentiality  | 
 requirements of subsection (f) of Section 10 of the Mental  | 
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 Health and Developmental Disabilities Confidentiality Act. | 
  (5) Employee's rights to collateral action. No  | 
 reporting to the Registry shall occur and no hearing shall  | 
 be set or proceed if an employee notifies the Inspector  | 
 General in writing, including any supporting  | 
 documentation, that he or she is formally contesting an  | 
 adverse employment action resulting from a substantiated  | 
 finding by complaint filed with the Illinois Civil Service  | 
 Commission, or which otherwise seeks to enforce the  | 
 employee's rights pursuant to any applicable collective  | 
 bargaining agreement. If an action taken by an employer  | 
 against an employee as a result of a finding of physical  | 
 abuse, sexual abuse, or egregious neglect is overturned  | 
 through an action filed with the Illinois Civil Service  | 
 Commission or under any applicable collective bargaining  | 
 agreement and if that employee's name has already been  | 
 sent to the Registry, the employee's name shall be removed  | 
 from the Registry.  | 
  (6) Removal from Registry. At any time after the  | 
 report to the Registry, but no more than once in any  | 
 12-month period, an employee may petition the Department  | 
 in writing to remove his or her name from the Registry.  | 
 Upon receiving notice of such request, the Inspector  | 
 General shall conduct an investigation into the petition.  | 
 Upon receipt of such request, an administrative hearing  | 
 will be set by the Department. At the hearing, the  | 
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 employee shall bear the burden of presenting evidence that  | 
 establishes, by a preponderance of the evidence, that  | 
 removal of the name from the Registry is in the public  | 
 interest. The parties may jointly request that the  | 
 administrative law judge consider a stipulated disposition  | 
 of these proceedings.  | 
 (t) Review of Administrative Decisions. The Department  | 
shall preserve a record of all proceedings at any formal  | 
hearing conducted by the Department involving Health Care  | 
Worker Registry hearings. Final administrative decisions of  | 
the Department are subject to judicial review pursuant to  | 
provisions of the Administrative Review Law.  | 
 (u) Quality Care Board. There is created, within the  | 
Office of the Inspector General, a Quality Care Board to be  | 
composed of 7 members appointed by the Governor with the  | 
advice and consent of the Senate. One of the members shall be  | 
designated as chairman by the Governor. Of the initial  | 
appointments made by the Governor, 4 Board members shall each  | 
be appointed for a term of 4 years and 3 members shall each be  | 
appointed for a term of 2 years. Upon the expiration of each  | 
member's term, a successor shall be appointed for a term of 4  | 
years. In the case of a vacancy in the office of any member,  | 
the Governor shall appoint a successor for the remainder of  | 
the unexpired term. | 
 Members appointed by the Governor shall be qualified by  | 
professional knowledge or experience in the area of law,  | 
 | 
investigatory techniques, or in the area of care of the  | 
mentally ill or care of persons with developmental  | 
disabilities. Two members appointed by the Governor shall be  | 
persons with a disability or parents of persons with a  | 
disability. Members shall serve without compensation, but  | 
shall be reimbursed for expenses incurred in connection with  | 
the performance of their duties as members. | 
 The Board shall meet quarterly, and may hold other  | 
meetings on the call of the chairman. Four members shall  | 
constitute a quorum allowing the Board to conduct its  | 
business. The Board may adopt rules and regulations it deems  | 
necessary to govern its own procedures. | 
 The Board shall monitor and oversee the operations,  | 
policies, and procedures of the Inspector General to ensure  | 
the prompt and thorough investigation of allegations of  | 
neglect and abuse. In fulfilling these responsibilities, the  | 
Board may do the following: | 
  (1) Provide independent, expert consultation to the  | 
 Inspector General on policies and protocols for  | 
 investigations of alleged abuse, neglect, or both abuse  | 
 and neglect. | 
  (2) Review existing regulations relating to the  | 
 operation of facilities. | 
  (3) Advise the Inspector General as to the content of  | 
 training activities authorized under this Section. | 
  (4) Recommend policies concerning methods for  | 
 | 
 improving the intergovernmental relationships between the  | 
 Office of the Inspector General and other State or federal  | 
 offices. | 
 (v) Annual report. The Inspector General shall provide to  | 
the General Assembly and the Governor, no later than January 1  | 
of each year, a summary of reports and investigations made  | 
under this Act for the prior fiscal year with respect to  | 
individuals receiving mental health or developmental  | 
disabilities services. The report shall detail the imposition  | 
of sanctions, if any, and the final disposition of any  | 
corrective or administrative action directed by the Secretary.  | 
The summaries shall not contain any confidential or  | 
identifying information of any individual, but shall include  | 
objective data identifying any trends in the number of  | 
reported allegations, the timeliness of the Office of the  | 
Inspector General's investigations, and their disposition, for  | 
each facility and Department-wide, for the most recent 3-year  | 
time period. The report shall also identify, by facility, the  | 
staff-to-patient ratios taking account of direct care staff  | 
only. The report shall also include detailed recommended  | 
administrative actions and matters for consideration by the  | 
General Assembly. | 
 (w) Program audit. The Auditor General shall conduct a  | 
program audit of the Office of the Inspector General on an  | 
as-needed basis, as determined by the Auditor General. The  | 
audit shall specifically include the Inspector General's  | 
 | 
compliance with the Act and effectiveness in investigating  | 
reports of allegations occurring in any facility or agency.  | 
The Auditor General shall conduct the program audit according  | 
to the provisions of the Illinois State Auditing Act and shall  | 
report its findings to the General Assembly no later than  | 
January 1 following the audit period.
 | 
 (x) Nothing in this Section shall be construed to mean  | 
that an individual is a victim of abuse or neglect because of  | 
health care services appropriately provided or not provided by  | 
health care professionals.  | 
 (y) Nothing in this Section shall require a facility,  | 
including its employees, agents, medical staff members, and  | 
health care professionals, to provide a service to an  | 
individual in contravention of that individual's stated or  | 
implied objection to the provision of that service on the  | 
ground that that service conflicts with the individual's  | 
religious beliefs or practices, nor shall the failure to  | 
provide a service to an individual be considered abuse under  | 
this Section if the individual has objected to the provision  | 
of that service based on his or her religious beliefs or  | 
practices. 
 | 
(Source: P.A. 101-81, eff. 7-12-19; 102-538, eff. 8-20-21.)
 | 
 (20 ILCS 2712/Act rep.)  | 
 Section 5-15. The Broadband Access on Passenger Rail Law  | 
is repealed.
 | 
 | 
 (20 ILCS 3930/7.6 rep.) | 
 Section 5-20. The Illinois Criminal Justice Information  | 
Act is amended by repealing Section 7.6.
 | 
 Section 5-25. The Illinois Future of Work Act is amended  | 
by changing Section 20 as follows:
 | 
 (20 ILCS 4103/20) | 
 (Section scheduled to be repealed on January 1, 2024)
 | 
 Sec. 20. Report; dissolution.
 | 
 (a) The Illinois Future of Work Task Force shall issue a  | 
report based upon its findings in the course of performing its  | 
duties and responsibilities specified under Section 10. The  | 
report shall be written by an independent authority with  | 
subject matter expertise on the future of work.
 | 
 (b) The Illinois Future of Work Task Force shall submit  | 
its final report to the Governor and the General Assembly no  | 
later than June May 1, 2022, and is dissolved upon the filing  | 
of its report.
 | 
(Source: P.A. 102-407, eff. 8-19-21.)
 | 
 (20 ILCS 5035/Act rep.)  | 
 Section 5-30. The Illinois Human Services Commission Act  | 
is repealed.
 | 
 | 
 (205 ILCS 405/3.2 rep.)
 | 
 Section 5-35. The Currency Exchange Act is amended by  | 
repealing Section 3.2.
 | 
 Section 5-40. The Grain Code is amended by changing  | 
Section 30-25 as follows:
 | 
 (240 ILCS 40/30-25)
 | 
 Sec. 30-25. Grain Insurance Reserve Fund. Upon payment in  | 
full of all
money that has been transferred to the Fund prior  | 
to June 30, 2003 from the
General Revenue Fund as provided for  | 
under subsection (h) of Section 25-20, the
State of Illinois  | 
shall, subject to appropriation, remit $2,000,000 to the  | 
Corporation to be held in a
separate and discrete account to be  | 
used to the extent the assets in the Fund
are insufficient to  | 
satisfy claimants as payment of their claims become due as
set  | 
forth in subsection (h) of Section 25-20. The remittance of  | 
the $2,000,000
reserve shall be made to the Corporation within  | 
60 days of payment in full of
all money transferred to the Fund  | 
as set forth above in this Section
30-25. All income received  | 
by the Reserve Fund shall be deposited in the Fund
within 35  | 
days of the end of each calendar quarter.
 | 
(Source: P.A. 93-225, eff. 7-21-03.)
 | 
 Section 5-45. The Community Services Act is amended by  | 
changing Section 4 as follows:
 | 
 | 
 (405 ILCS 30/4) (from Ch. 91 1/2, par. 904)
 | 
 Sec. 4. Financing for community services.  | 
 (a) The Department of Human Services
is authorized to
 | 
provide financial reimbursement to eligible private service  | 
providers,
corporations, local government entities or  | 
voluntary associations for the
provision of services to  | 
persons with mental illness, persons with a
developmental  | 
disability, and persons with substance use disorders who are  | 
living in the
community for the purpose of achieving the goals  | 
of this Act.
 | 
 The Department shall utilize the following funding  | 
mechanisms for community
services:
 | 
  (1) Purchase of Care Contracts: services purchased on  | 
 a predetermined fee
per unit of service basis from private  | 
 providers or governmental entities. Fee
per service rates  | 
 are set by an established formula which covers some  | 
 portion
of personnel, supplies, and other allowable costs,  | 
 and which makes some
allowance for geographic variations  | 
 in costs as well as for additional program
components.
 | 
  (2) Grants: sums of money which the Department grants  | 
 to private providers or
governmental
entities pursuant to  | 
 the grant recipient's agreement to provide certain
 | 
 services, as defined by departmental grant guidelines, to  | 
 an
approximate number of service
recipients. Grant levels  | 
 are set through consideration of personnel, supply and
 | 
 | 
 other allowable costs, as well as other funds available to  | 
 the program.
 | 
  (3) Other Funding Arrangements: funding mechanisms may  | 
 be established
on a pilot basis in order to examine the  | 
 feasibility of alternative financing
arrangements for the  | 
 provision of community services.
 | 
 The Department shall establish and maintain an equitable  | 
system of
payment
which allows providers to improve persons  | 
with disabilities'
capabilities for
independence and reduces  | 
their reliance on State-operated
services.  | 
 For services classified as entitlement services under  | 
federal law or guidelines, caps may not be placed on the total  | 
amount of payment a provider may receive in a fiscal year and  | 
the Department shall not require that a portion of the  | 
payments due be made in a subsequent fiscal year based on a  | 
yearly payment cap.  | 
 (b) (Blank). The Governor shall create a commission by  | 
September 1, 2009, or as soon thereafter as possible, to  | 
review funding methodologies, identify gaps in funding,  | 
identify revenue, and prioritize use of that revenue for  | 
community developmental disability services, mental health  | 
services, alcohol and substance abuse services, rehabilitation  | 
services, and early intervention services. The Office of the  | 
Governor shall provide staff support for the commission.  | 
 (c) (Blank). The first meeting of the commission shall be  | 
held within the first month after the creation and appointment  | 
 | 
of the commission, and a final report summarizing the  | 
commission's recommendations must be issued within 12 months  | 
after the first meeting, and no later than September 1, 2010,  | 
to the Governor and the General Assembly.  | 
 (d) (Blank). The commission shall have the following 13  | 
voting members: | 
  (A) one member of the House of Representatives,  | 
 appointed by the Speaker of the House of Representatives; | 
  (B) one member of the House of Representatives,  | 
 appointed by the House Minority Leader; | 
  (C) one member of the Senate, appointed by the  | 
 President of the Senate; | 
  (D) one member of the Senate, appointed by the Senate  | 
 Minority Leader; | 
  (E) one person with a developmental disability, or a  | 
 family member or guardian of such a person, appointed by  | 
 the Governor; | 
  (F) one person with a mental illness, or a family  | 
 member or guardian of such a person, appointed by the  | 
 Governor; | 
  (G) two persons from unions that represent employees  | 
 of community providers that serve people with  | 
 developmental disabilities, mental illness, and alcohol  | 
 and substance abuse disorders, appointed by the Governor;  | 
 and | 
  (H) five persons from statewide associations that  | 
 | 
 represent community providers that provide residential,  | 
 day training, and other developmental disability services,  | 
 mental health services, alcohol and substance abuse  | 
 services, rehabilitation services, or early intervention  | 
 services, or any combination of those, appointed by the  | 
 Governor. | 
 The commission shall also have the following ex-officio,  | 
nonvoting members: | 
  (I) the Director of the Governor's Office of  | 
 Management and Budget or his or her designee; | 
  (J) the Chief Financial Officer of the Department of  | 
 Human Services or his or her designee; | 
  (K) the Administrator of the Department of Healthcare  | 
 and Family Services Division of Finance or his or her  | 
 designee; | 
  (L) the Director of the Department of Human Services  | 
 Division of Developmental Disabilities or his or her  | 
 designee; | 
  (M) the Director of the Department of Human Services  | 
 Division of Mental Health or his or her designee;
and | 
  (N) the Director of the Department of Human Services  | 
 Division of Alcoholism and Substance Abuse or his or her  | 
 designee.  | 
 (e) The funding methodologies must reflect economic  | 
factors inherent in providing services and supports, recognize  | 
individual disability needs, and consider geographic  | 
 | 
differences, transportation costs, required staffing ratios,  | 
and mandates not currently funded.
 | 
 (f) In accepting Department funds, providers shall  | 
recognize
their responsibility to be
accountable to the  | 
Department and the State for the delivery of services
which  | 
are consistent
with the philosophies and goals of this Act and  | 
the rules and regulations
promulgated under it.
 | 
(Source: P.A. 100-759, eff. 1-1-19.)
 | 
ARTICLE 10.  DEPARTMENT OF COMMERCE AND ECONOMIC OPPORTUNITY
 | 
 Section 10-5. The Department of Commerce and Economic  | 
Opportunity Law of the
Civil Administrative Code of Illinois  | 
is amended by changing Sections 605-300, 605-615, and 605-680  | 
as follows:
 | 
 (20 ILCS 605/605-300) (was 20 ILCS 605/46.2)
 | 
 Sec. 605-300. Economic and business development plans;  | 
Illinois Business Development Council. (a) Economic  | 
development plans. The Department shall develop a strategic  | 
economic development plan for the State by July 1, 2014. By no  | 
later than July 1, 2015, and by July 1 annually thereafter, the  | 
Department shall make modifications to the plan as  | 
modifications are warranted by changes in economic conditions  | 
or by other factors, including changes in policy. In addition  | 
to the annual modification, the plan shall be reviewed and  | 
 | 
redeveloped in full every 5 years. In the development of the  | 
annual economic development plan, the Department shall consult  | 
with representatives of the private sector, other State  | 
agencies, academic institutions, local economic development  | 
organizations, local governments, and not-for-profit  | 
organizations. The annual economic development plan shall set  | 
specific, measurable, attainable, relevant, and time-sensitive  | 
goals and shall include a focus on areas of high unemployment  | 
or poverty. | 
 The term "economic development" shall be construed broadly  | 
by the Department and may include, but is not limited to, job  | 
creation, job retention, tax base enhancements, development of  | 
human capital, workforce productivity, critical  | 
infrastructure, regional competitiveness, social inclusion,  | 
standard of living, environmental sustainability, energy  | 
independence, quality of life, the effective use of financial  | 
incentives, the utilization of public private partnerships  | 
where appropriate, and other metrics determined by the  | 
Department. | 
 The plan shall be based on relevant economic data, focus  | 
on economic development as prescribed by this Section, and  | 
emphasize strategies to retain and create jobs. | 
 The plan shall identify and develop specific strategies  | 
for utilizing the assets of regions within the State defined  | 
as counties and municipalities or other political subdivisions  | 
in close geographical proximity that share common economic  | 
 | 
traits such as commuting zones, labor market areas, or other  | 
economically integrated characteristics. | 
 If the plan includes strategies that have a fiscal impact  | 
on the Department or any other agency, the plan shall include a  | 
detailed description of the estimated fiscal impact of such  | 
strategies. | 
 Prior to publishing the plan in its final form, the  | 
Department shall allow for a reasonable time for public input. | 
 The Department shall transmit copies of the economic  | 
development plan to the Governor and the General Assembly no  | 
later than July 1, 2014, and by July 1 annually thereafter. The  | 
plan and its corresponding modifications shall be published  | 
and made available to the public in both paper and electronic  | 
media, on the Department's website, and by any other method  | 
that the Department deems appropriate. | 
 The Department shall annually submit legislation to  | 
implement the strategic economic development plan or  | 
modifications to the strategic economic development plan to  | 
the Governor, the President and Minority Leader of the Senate,  | 
and the Speaker and the Minority Leader of the House of  | 
Representatives. The legislation shall be in the form of one  | 
or more substantive bills drafted by the Legislative Reference  | 
Bureau. | 
 (b) Business development plans; Illinois Business  | 
Development Council. | 
  (1) There is created the Illinois Business Development  | 
 | 
 Council, hereinafter referred to as the Council. The  | 
 Council shall consist of the Director, who shall serve as  | 
 co-chairperson, and 12 voting members who shall be  | 
 appointed by the Governor with the advice and consent of  | 
 the Senate. | 
   (A) The voting members of the Council shall  | 
 include one representative from each of the following  | 
 businesses and groups: small business, coal,  | 
 healthcare, large manufacturing, small or specialized  | 
 manufacturing, agriculture, high technology or applied  | 
 science, local economic development entities, private  | 
 sector organized labor, a local or state business  | 
 association or chamber of commerce. | 
   (B) There shall be 2 at-large voting members who  | 
 reside within areas of high unemployment within  | 
 counties or municipalities that have had an annual  | 
 average unemployment rate of at least 120% of the  | 
 State's annual average unemployment rate as reported  | 
 by the Department of Employment Security for the 5  | 
 years preceding the date of appointment. | 
  (2) All appointments shall be made in a geographically  | 
 diverse manner. | 
  (3) For the initial appointments to the Council, 6  | 
 voting members shall be appointed to serve a 2-year term  | 
 and 6 voting members shall be appointed to serve a 4-year  | 
 term. Thereafter, all appointments shall be for terms of 4  | 
 | 
 years. The initial term of voting members shall commence  | 
 on the first Wednesday in February 2014. Thereafter, the  | 
 terms of voting members shall commence on the first  | 
 Wednesday in February, except in the case of an  | 
 appointment to fill a vacancy. Vacancies occurring among  | 
 the members shall be filled in the same manner as the  | 
 original appointment for the remainder of the unexpired  | 
 term. For a vacancy occurring when the Senate is not in  | 
 session, the Governor may make a temporary appointment  | 
 until the next meeting of the Senate when a person shall be  | 
 nominated to fill the office, and, upon confirmation by  | 
 the Senate, he or she shall hold office during the  | 
 remainder of the term. A vacancy in membership does not  | 
 impair the ability of a quorum to exercise all rights and  | 
 perform all duties of the Council. A member is eligible  | 
 for reappointment. | 
  (4) Members shall serve without compensation, but may  | 
 be reimbursed for necessary expenses incurred in the  | 
 performance of their duties from funds appropriated for  | 
 that purpose. | 
  (5) In addition, the following shall serve as ex  | 
 officio, non-voting members of the Council in order to  | 
 provide specialized advice and support to the Council: the  | 
 Secretary of Transportation, or his or her designee; the  | 
 Director of Employment Security, or his or her designee;  | 
 the Executive Director of the Illinois Finance Authority,  | 
 | 
 or his or her designee; the Director of Agriculture, or  | 
 his or her designee; the Director of Revenue, or his or her  | 
 designee; the Director of Labor, or his or her designee;  | 
 and the Director of the Environmental Protection Agency,  | 
 or his or her designee. Ex officio members shall provide  | 
 staff and technical assistance to the Council when  | 
 appropriate. | 
  (6) In addition to the Director, the voting members  | 
 shall elect a co-chairperson. | 
  (7) The Council shall meet at least twice annually and  | 
 at such other times as the co-chairpersons or any 5 voting  | 
 members consider necessary. Seven voting members shall  | 
 constitute a quorum of the Council. | 
  (8) The Department shall provide staff assistance to  | 
 the Council. | 
  (9) The Council shall provide the Department relevant  | 
 information in a timely manner pursuant to its duties as  | 
 enumerated in
this Section that can be used by the  | 
 Department to enhance the State's strategic economic  | 
 development plan. | 
  (10) The Council shall: | 
   (A) Develop an overall strategic business  | 
 development plan for the State of Illinois and update  | 
 the plan at least annually; that plan shall include,  | 
 without limitation, (i) an assessment of the economic  | 
 development practices of states that border Illinois  | 
 | 
 and (ii) recommendations for best practices with  | 
 respect to economic development, business incentives,  | 
 business attraction, and business retention for  | 
 counties in Illinois that border at least one other  | 
 state. | 
   (B) Develop business marketing plans for the State  | 
 of Illinois to effectively solicit new company  | 
 investment and existing business expansion. Insofar as  | 
 allowed under the Illinois Procurement Code, and  | 
 subject to appropriations made by the General Assembly  | 
 for such purposes, the Council may assist the  | 
 Department in the procurement of outside vendors to  | 
 carry out such marketing plans. | 
   (C) Seek input from local economic development  | 
 officials to develop specific strategies to  | 
 effectively link State and local business development  | 
 and marketing efforts focusing on areas of high  | 
 unemployment or poverty. | 
   (D) Provide the Department with advice on  | 
 strategic business development
and business marketing  | 
 for the State of Illinois. | 
   (E) Provide the Department research and recommend  | 
 best practices for developing investment tools for  | 
 business attraction and retention.
 | 
(Source: P.A. 98-397, eff. 8-16-13; 98-756, eff. 7-16-14;  | 
98-888, eff. 8-15-14.)
 | 
 | 
 (20 ILCS 605/605-615) (was 20 ILCS 605/46.19e)
 | 
 Sec. 605-615. Assistance with exports. The Department  | 
shall have the
following duties and responsibilities in regard  | 
to the Civil Administrative
Code of Illinois:
 | 
 (1) To establish or cosponsor mentoring conferences,  | 
utilizing experienced
manufacturing exporters, to explain and  | 
provide information to prospective
export manufacturers and  | 
businesses concerning the process of exporting to both
 | 
domestic and international opportunities.
 | 
 (2) To provide technical assistance to prospective export  | 
manufacturers and
businesses seeking to establish domestic and  | 
international export
opportunities.
 | 
 (3) To coordinate with the Department's Small Business  | 
Development Centers
to link buyers with prospective export  | 
manufacturers and businesses.
 | 
 (4) To promote, both domestically and abroad, products  | 
made in Illinois in
order to inform consumers and buyers of  | 
their high quality
standards and craftsmanship.
 | 
 (5) To provide technical assistance toward establishment  | 
of export trade
corporations in the private sector.
 | 
 (6) To develop an electronic database data base to compile  | 
information on
international trade and investment activities  | 
in Illinois companies,
provide access to research and business  | 
opportunities through external data
bases, and connect this  | 
data base through international communication
systems with  | 
 | 
appropriate domestic and worldwide networks users.
 | 
 (7) To collect and distribute to foreign commercial  | 
libraries directories,
catalogs, brochures, and other  | 
information of value to foreign businesses
considering doing  | 
business in this State.
 | 
 (8) To establish an export finance awareness program to  | 
provide
information to banking organizations about methods  | 
used by banks to provide
financing for businesses engaged in  | 
exporting and about other State and
federal programs to  | 
promote and expedite export financing.
 | 
 (9) To undertake a survey of Illinois' businesses to  | 
identify exportable
products and the businesses interested in  | 
exporting.
 | 
(Source: P.A. 91-239, eff. 1-1-00; 91-357, eff. 7-29-99;  | 
92-16, eff.
6-28-01.)
 | 
 (20 ILCS 605/605-680) | 
 Sec. 605-680. Illinois goods and services website. | 
 (a) The Department, in consultation with the Department of  | 
Innovation and Technology, must establish and maintain an  | 
Internet website devoted to the marketing of Illinois goods  | 
and services by linking potential purchasers with producers of  | 
goods and services who are located in the State. | 
 (b) The Department must, subject to appropriation,  | 
advertise the website to encourage inclusion of producers on  | 
the website and to encourage the use of the website by  | 
 | 
potential purchasers.
 | 
(Source: P.A. 100-611, eff. 7-20-18.)
 | 
 (20 ILCS 605/605-1040 rep.) | 
 Section 10-10. The Department of Commerce and Economic  | 
Opportunity Law of the
Civil Administrative Code of Illinois  | 
is amended by repealing Section 605-1040.
 | 
 Section 10-15. The Illinois Main Street Act is amended by  | 
changing Sections 15, 20, 25, and 30 as follows:
 | 
 (20 ILCS 720/15)
 | 
 Sec. 15. Illinois Main Street Program. The Illinois Main  | 
Street Program is created, subject to appropriation, within  | 
the Department. In order to implement the Illinois Main Street  | 
Program, the Department may shall do all of the following: | 
  (1) Provide assistance to municipalities designated as  | 
 Main Street Communities, municipalities interested in  | 
 becoming designated through the program, and businesses,  | 
 property owners, organizations, and municipalities  | 
 undertaking a comprehensive downtown or neighborhood  | 
 commercial district revitalization initiative and  | 
 management strategy. Assistance may include, but is not  | 
 limited to, initial site evaluations and assessments,  | 
 training for local programs, training for local program  | 
 staff, site visits and assessments by technical  | 
 | 
 specialists, local program design assistance and  | 
 evaluation, and continued local program on-site  | 
 assistance. | 
  (2) To the extent funds are made available, provide  | 
 financial assistance to municipalities or local  | 
 organizations to assist in initial downtown or  | 
 neighborhood commercial district revitalization program  | 
 specialized training, specific project feasibility  | 
 studies, market studies, and design assistance. | 
  (3) Operate the Illinois Main Street Program in  | 
 accordance with the plan developed by the Department. | 
  (4) Consider other factors the Department deems  | 
 necessary for the implementation of this Act.
 | 
(Source: P.A. 97-573, eff. 8-25-11.)
 | 
 (20 ILCS 720/20)
 | 
 Sec. 20. Main Street Community designation. | 
 (a) The Department may shall adopt criteria for the  | 
designation of a Main Street Community. In establishing the  | 
criteria, the Department shall consider all of the following: | 
  (1) The degree of interest and commitment to  | 
 comprehensive downtown or neighborhood commercial district  | 
 revitalization and, where applicable, historic  | 
 preservation by both the public and private sectors. | 
  (2) The evidence of potential private sector  | 
 investment in the downtown or neighborhood commercial  | 
 | 
 district. | 
  (3) Where applicable, a downtown or neighborhood  | 
 commercial district with sufficient historic fabric to  | 
 become a foundation for an enhanced community image. | 
  (4) The capacity of the organization to undertake a  | 
 comprehensive program and the financial commitment to  | 
 implement a long-term downtown or neighborhood commercial  | 
 district revitalization program that includes a commitment  | 
 to employ a professional program manager. | 
  (5) The National Main Street Center's criteria for  | 
 designating official main street municipalities. | 
  (6) Other factors the Department deems necessary for  | 
 the designation of a local program. | 
 (b) Illinois Main Street shall designate local downtown or  | 
neighborhood commercial district revitalization programs and  | 
official local main street programs. | 
 (c) The Department must approve all local downtown or  | 
neighborhood commercial district revitalization program  | 
boundaries. The boundaries of a local downtown or neighborhood  | 
commercial district revitalization program are typically  | 
defined using the pedestrian core of a traditional commercial  | 
district.
 | 
(Source: P.A. 97-573, eff. 8-25-11.)
 | 
 (20 ILCS 720/25)
 | 
 Sec. 25. Illinois Main Street Plan. The Department may  | 
 | 
shall, in consultation with the Lieutenant Governor, develop a  | 
plan for the Illinois Main Street Program. The plan shall  | 
describe: | 
  (1) the objectives and strategies of the Illinois Main  | 
 Street Program; | 
  (2) how the Illinois Main Street Program will be  | 
 coordinated with existing federal, state, local, and  | 
 private sector business development and historic  | 
 preservation efforts; | 
  (3) the means by which private investment will be  | 
 solicited and employed; | 
  (4) the methods of selecting and providing assistance  | 
 to participating local programs; and | 
  (5) a means to solicit private contributions for State  | 
 and local operations of the Illinois Main Street Program.
 | 
(Source: P.A. 97-573, eff. 8-25-11.)
 | 
 (20 ILCS 720/30)
 | 
 Sec. 30. Role of the Lieutenant Governor. The Lieutenant  | 
Governor shall, subject to appropriation, be the Ambassador of  | 
the Illinois Main Street Program. The Department shall,  | 
subject to appropriation, advise and consult with the  | 
Lieutenant Governor on the activities of the Illinois Main  | 
Street Program. The Lieutenant Governor, with the assistance  | 
of the Department, shall, subject to appropriation, promote  | 
and encourage the success of the Illinois Main Street Program.
 | 
 | 
(Source: P.A. 97-573, eff. 8-25-11.)
 | 
 Section 10-20. The Outdoor Recreation Resources Act is  | 
amended by changing Sections 2 and 2a as follows:
 | 
 (20 ILCS 860/2) (from Ch. 105, par. 532)
 | 
 Sec. 2. The Department of Natural Resources is
authorized  | 
to have prepared, with the Department of Commerce and Economic  | 
Opportunity, and to maintain and keep up to date up-to-date a  | 
comprehensive plan for
the development of the outdoor  | 
recreation resources of the State.
 | 
(Source: P.A. 94-793, eff. 5-19-06.)
 | 
 (20 ILCS 860/2a) (from Ch. 105, par. 532a)
 | 
 Sec. 2a. The Department of Natural Resources is authorized  | 
to have prepared
with the Department of Commerce and Economic  | 
Opportunity and to
maintain and keep up to date a  | 
comprehensive plan for the
preservation of the
historically  | 
significant properties and interests of the State.
 | 
(Source: P.A. 100-695, eff. 8-3-18; 101-81, eff. 7-12-19.)
 | 
 (20 ILCS 3953/15 rep.)
 | 
 (20 ILCS 3953/20 rep.) | 
 Section 10-25. The Government Buildings Energy Cost  | 
Reduction Act of 1991 is amended by repealing Sections 15 and  | 
20.
 | 
 | 
 Section 10-30. The Eliminate the Digital Divide Law is  | 
amended by changing Section 5-30 as follows:
 | 
 (30 ILCS 780/5-30)
 | 
 Sec. 5-30. Community Technology Center Grant Program. 
 | 
 (a) Subject to appropriation, the Department shall  | 
administer
the Community Technology Center Grant Program under  | 
which the
Department shall make grants in accordance with this  | 
Article
for planning, establishment, administration, and  | 
expansion
of Community Technology Centers and for assisting  | 
public hospitals,
libraries, and park districts in eliminating  | 
the digital divide. The purposes
of the grants shall include,  | 
but
not be limited to, volunteer recruitment and management,  | 
training and
instruction, infrastructure, and
related goods  | 
and services, including case management, administration,  | 
personal information management, and outcome-tracking tools  | 
and software for the purposes of reporting to the Department  | 
and for enabling participation in digital government and  | 
consumer services programs, for Community Technology Centers  | 
and public
hospitals, libraries, and park districts.
No  | 
Community Technology Center may receive a grant of more than  | 
$75,000 under
this Section in a particular fiscal year.
 | 
 (b) Public hospitals, libraries, park districts, and State  | 
educational
agencies, local educational
agencies, institutions  | 
of higher education, senior citizen homes, and other public  | 
 | 
and
private nonprofit or for-profit agencies and organizations  | 
are eligible
to receive grants under this Program, provided  | 
that a local educational
agency or public or private  | 
educational
agency or organization must, in order to be  | 
eligible to receive grants under
this Program, provide  | 
computer access and educational services using
information  | 
technology to the public at one or more of its educational
 | 
buildings or facilities at least 12 hours each week. A group of  | 
eligible
entities is
also eligible to receive a grant if the  | 
group follows the procedures
for group applications in 34 CFR  | 
75.127-129 of the Education Department General
Administrative  | 
Regulations.
 | 
 To be eligible to apply for a grant, a Community
 | 
Technology Center must serve a
community in which not less  | 
than 40%
of the
students are eligible for a free or reduced  | 
price lunch under the national
school lunch program or in  | 
which not less than 30% of the students
are eligible
for a free  | 
lunch under the national school lunch program; however, if  | 
funding
is insufficient to approve all grant applications for  | 
a particular fiscal year,
the Department may impose a higher  | 
minimum percentage threshold for that fiscal
year.  | 
Determinations of communities and determinations of the  | 
percentage of
students in a community who are eligible for a  | 
free or reduced price lunch
under the national school lunch  | 
program shall be in accordance with rules
adopted by the  | 
Department.
 | 
 | 
 Any entities that have received a Community
Technology  | 
Center grant under the federal Community Technology Centers  | 
Program
are also eligible to apply for grants under this  | 
Program.
 | 
 The Department shall
provide assistance to Community  | 
Technology Centers in making those
determinations for purposes  | 
of applying for grants.
 | 
 The Department shall encourage Community Technology  | 
Centers to participate in public and private computer hardware  | 
equipment recycling initiatives that provide computers at  | 
reduced or no cost to low-income families, including programs  | 
authorized by the State Property Control Act. On an annual  | 
basis, the Department must provide the Director of Central  | 
Management Services with a list of Community Technology  | 
Centers that have applied to the Department for funding as  | 
potential recipients of surplus State-owned computer hardware  | 
equipment under programs authorized by the State Property  | 
Control Act.
 | 
 (c) Grant applications shall be submitted to the  | 
Department on a schedule of one or more deadlines established  | 
by the Department by rule.
 | 
 (d) The Department shall adopt rules setting forth the  | 
required form
and contents of grant applications.
 | 
 (e) (Blank). There is created
the Digital Divide  | 
Elimination Advisory Committee. The advisory committee
shall  | 
consist of 7
members appointed one each by the Governor, the  | 
 | 
President of
the Senate, the Senate Minority Leader, the  | 
Speaker of the House, and the House
Minority Leader, and 2  | 
appointed by the Director of Commerce and Economic  | 
Opportunity, one of whom shall be a representative of the  | 
telecommunications industry and one of whom shall represent  | 
community technology centers. The members of the advisory  | 
committee shall receive no
compensation for their services as  | 
members of the advisory committee but may be
reimbursed for  | 
their actual expenses incurred in serving on the advisory
 | 
committee. The Digital Divide Elimination Advisory Committee  | 
shall advise the
Department in establishing criteria and  | 
priorities for identifying recipients
of
grants under this  | 
Act. The advisory committee shall obtain advice from the
 | 
technology industry regarding current technological standards.  | 
The advisory
committee shall seek any available federal  | 
funding.
 | 
 (f) (Blank). There is created the Digital Divide  | 
Elimination Working Group. The Working Group shall consist of  | 
the Director of Commerce and Economic Opportunity, or his or  | 
her designee, the Director of Central Management Services, or  | 
his or her designee, and the Executive Director of the  | 
Illinois Commerce Commission, or his or her designee. The  | 
Director of Commerce and Economic Opportunity, or his or her  | 
designee, shall serve as chair of the Working Group. The  | 
Working Group shall consult with the members of the Digital  | 
Divide Elimination Advisory Committee and may consult with  | 
 | 
various groups including, but not limited to,  | 
telecommunications providers, telecommunications-related  | 
technology producers and service providers, community  | 
technology providers, community and consumer organizations,  | 
businesses and business organizations, and federal government  | 
agencies.
 | 
 (g) Duties of the Digital Divide Elimination Working Group  | 
include all of the following: | 
  (1) Undertaking a thorough review of grant programs  | 
 available through the federal government, local agencies,  | 
 telecommunications providers, and business and charitable  | 
 entities for the purpose of identifying appropriate  | 
 sources of revenues for the Digital Divide Elimination  | 
 Fund and attempting to update available grants on a  | 
 regular basis. | 
  (2) Researching and cataloging programs designed to  | 
 advance digital literacy and computer access that are  | 
 available through the federal government, local agencies,  | 
 telecommunications providers, and business and charitable  | 
 entities and attempting to update available programs on a  | 
 regular basis. | 
  (3) Presenting the information compiled from items (1)  | 
 and (2) to the Department of Commerce and Economic  | 
 Opportunity, which shall serve as a single point of  | 
 contact for applying for funding for the Digital Divide  | 
 Elimination Fund and for distributing information to the  | 
 | 
 public regarding all programs designed to advance digital  | 
 literacy and computer access.
 | 
(Source: P.A. 94-734, eff. 4-28-06; 95-740, eff. 1-1-09.)
 | 
 Section 10-35. The Illinois Groundwater Protection Act is  | 
amended by changing Section 4 as follows:
 | 
 (415 ILCS 55/4) (from Ch. 111 1/2, par. 7454)
 | 
 Sec. 4. Interagency Coordinating Committee on Groundwater.   | 
(a) There shall be established within State government an
 | 
interagency committee
which shall be known as the Interagency  | 
Coordinating Committee on
Groundwater. The Committee shall be  | 
composed of the Director, or his
designee, of the following  | 
agencies:
 | 
  (1) The Illinois Environmental Protection Agency, who  | 
 shall chair the
Committee.
 | 
  (2) The Illinois Department of Natural Resources.
 | 
  (3) The Illinois Department of Public Health.
 | 
  (4) The Office of Mines and Minerals within
the  | 
 Department of Natural Resources.
 | 
  (5) The Office of the State Fire Marshal.
 | 
  (6) The Division of Water Resources of the Department  | 
 of
Natural Resources.
 | 
  (7) The Illinois Department of Agriculture.
 | 
  (8) The Illinois Emergency Management Agency.
 | 
  (9) The Illinois Department of Nuclear Safety.
 | 
 | 
  (10) The Illinois Department of Commerce and Economic  | 
 Opportunity.
 | 
 (b) The Committee shall meet not less than
twice each  | 
calendar year and shall:
 | 
  (1) Review and coordinate the State's policy on  | 
 groundwater protection.
 | 
  (2) Review and evaluate State laws, regulations and  | 
 procedures that
relate to groundwater protection.
 | 
  (3) Review and evaluate the status of the State's  | 
 efforts to improve
the quality of the groundwater and of  | 
 the State enforcement efforts for
protection of the  | 
 groundwater and make recommendations on improving the
 | 
 State efforts to protect the groundwater.
 | 
  (4) Recommend procedures for better coordination among  | 
 State
groundwater programs and with local programs related  | 
 to groundwater protection.
 | 
  (5) Review and recommend procedures to coordinate the  | 
 State's response
to specific incidents of groundwater  | 
 pollution and coordinate dissemination
of information  | 
 between agencies responsible for the State's response.
 | 
  (6) Make recommendations for and prioritize the  | 
 State's groundwater
research needs.
 | 
  (7) Review, coordinate and evaluate groundwater data  | 
 collection and
analysis.
 | 
  (8) Beginning on January 1, 1990, report biennially to  | 
 the Governor
and the General Assembly on groundwater
 | 
 | 
 quality, quantity, and the State's enforcement efforts.
 | 
 (c) The Chairman of the Committee shall propose a  | 
groundwater protection
regulatory agenda for consideration by  | 
the Committee and the Council. The
principal purpose of the  | 
agenda shall be to systematically consider the
groundwater  | 
protection aspects of relevant federal and State regulatory
 | 
programs and to identify any areas where improvements may be  | 
warranted. To
the extent feasible, the agenda may also serve  | 
to facilitate a more
uniform and coordinated approach toward  | 
protection of groundwaters in
Illinois. Upon adoption of the  | 
final agenda by the Committee, the Chairman
of the Committee  | 
shall assign a lead agency and any support agencies to
prepare  | 
a regulatory assessment report for each item on the agenda.  | 
Each
regulatory assessment report shall specify the nature of  | 
the
groundwater protection
provisions being implemented and  | 
shall evaluate the results achieved
therefrom. Special  | 
attention shall be given to any preventive measures
being  | 
utilized for protection of groundwaters. The reports shall be
 | 
completed in a timely manner. After review and consideration  | 
by the
Committee, the reports shall become the basis for  | 
recommending further
legislative or regulatory action.
 | 
 (d) No later than January 1, 1992, the Interagency  | 
Coordinating
Committee on Groundwater shall provide a  | 
comprehensive status report to
the Governor and the General  | 
Assembly concerning implementation of this Act.
 | 
 (e) The Committee shall consider findings and  | 
 | 
recommendations that are
provided by the Council, and
respond  | 
in writing regarding such matters. The Chairman of the  | 
Committee
shall designate a liaison person to serve as a  | 
facilitator of
communications with the Council.
 | 
(Source: P.A. 94-793, eff. 5-19-06.)
 | 
ARTICLE 15.  SCHOOL CODE
 | 
 Section 15-5. The School Code is amended by changing  | 
Sections 1B-8, 1F-25, 1F-90, 2-3.146, 10-21.9, and 34-18.5 as  | 
follows:
 | 
 (105 ILCS 5/1B-8) (from Ch. 122, par. 1B-8)
 | 
 Sec. 1B-8. There is created in the State Treasury a
 | 
special fund to be known as the School District Emergency
 | 
Financial Assistance Fund (the "Fund"). The School District  | 
Emergency
Financial Assistance Fund shall consist of  | 
appropriations, loan repayments, grants from the
federal  | 
government, and donations from any public or private source.  | 
Moneys in
the Fund
may be appropriated only to the Illinois  | 
Finance Authority and
the State Board for
those purposes  | 
authorized under this Article and Articles
1F and 1H of this  | 
Code.
The appropriation may be
allocated and expended by the  | 
State Board for contractual services to provide technical  | 
assistance or consultation to school districts to assess their  | 
financial condition and to Financial Oversight Panels that  | 
 | 
petition for emergency financial assistance grants. The  | 
Illinois Finance Authority may provide
loans to school  | 
districts which are the subject of an
approved petition for  | 
emergency financial assistance under
Section 1B-4,
1F-62, or  | 
1H-65 of this Code. Neither the State Board of Education nor  | 
the Illinois Finance Authority may collect any fees for  | 
providing these services.  | 
 From the amount allocated to each such school
district  | 
under this Article the State Board shall identify a sum  | 
sufficient to
cover all approved costs of the Financial  | 
Oversight Panel
established for the respective school  | 
district. If the State Board and State
Superintendent of  | 
Education have not approved emergency financial assistance in
 | 
conjunction with the appointment of a Financial Oversight  | 
Panel, the Panel's
approved costs shall be paid from  | 
deductions from the district's general State
aid or  | 
evidence-based funding.
 | 
 The Financial Oversight Panel may prepare and file
with  | 
the State Superintendent a proposal for emergency
financial  | 
assistance for the school district and for its
operations  | 
budget. No expenditures from the Fund shall be
authorized by  | 
the State Superintendent until he or she has approved
the  | 
request of the Panel, either as submitted or in such
lesser  | 
amount determined by the State Superintendent.
 | 
 The maximum amount of an emergency financial assistance  | 
loan
which may be allocated to any school district under this
 | 
 | 
Article, including moneys necessary for the operations of
the  | 
Panel, shall not exceed $4,000 times the number of pupils
 | 
enrolled in the school district during the school year
ending  | 
June 30 prior to the date of approval by the State
Board of the  | 
petition for emergency financial assistance, as
certified to  | 
the local board and the Panel by the State
Superintendent.
An  | 
emergency financial assistance grant shall not exceed $1,000  | 
times the
number of such pupils. A district may receive both a  | 
loan and a grant.
 | 
 The payment of an emergency State financial assistance  | 
grant or loan
shall be subject to appropriation by the General  | 
Assembly. Payment of the emergency State financial assistance  | 
loan is subject to the applicable provisions of the Illinois  | 
Finance Authority Act.
Emergency State financial assistance  | 
allocated and paid to a school
district under this Article may  | 
be applied to any fund or funds from which
the local board of  | 
education of that district is authorized to make
expenditures  | 
by law.
 | 
 Any emergency financial assistance grant proposed by the
 | 
Financial Oversight Panel and approved by the State
 | 
Superintendent may be paid in its entirety during the
initial  | 
year of the Panel's existence or spread in equal or
declining  | 
amounts over a period of years not to exceed the
period of the  | 
Panel's existence. An emergency financial assistance loan  | 
proposed by the Financial Oversight Panel and approved by the  | 
Illinois Finance Authority may be paid in its entirety during  | 
 | 
the initial year of the Panel's existence or spread in equal or  | 
declining amounts over a period of years not to exceed the  | 
period of the Panel's existence. All
loans made by the  | 
Illinois Finance Authority for a
school district shall be  | 
required to be repaid, with simple interest over
the term of  | 
the loan at a rate equal to 50% of the one-year Constant  | 
Maturity
Treasury (CMT) yield as last published by the Board  | 
of Governors of the Federal
Reserve System before the date on  | 
which the district's loan is
approved
by the Illinois Finance  | 
Authority, not later than the
date the
Financial Oversight  | 
Panel ceases to exist. The Panel shall
establish and the  | 
Illinois Finance Authority shall
approve the terms and  | 
conditions, including the schedule, of
repayments. The  | 
schedule shall provide for repayments
commencing July 1 of  | 
each year or upon each fiscal year's receipt of moneys from a  | 
tax levy for emergency financial assistance. Repayment shall  | 
be incorporated into the
annual budget of the school district  | 
and may be made from any fund or funds
of the district in which  | 
there are moneys available. An emergency financial assistance  | 
loan to the Panel or district shall not be considered part of  | 
the calculation of a district's debt for purposes of the  | 
limitation specified in Section 19-1 of this Code. Default on  | 
repayment is subject to the Illinois Grant Funds Recovery Act.  | 
When moneys are repaid
as provided herein they shall not be  | 
made available to the local board for
further use as emergency  | 
financial assistance under this Article at any
time  | 
 | 
thereafter. All repayments required to be made by a school  | 
district
shall be received by the State Board and deposited in  | 
the School District
Emergency Financial Assistance Fund.
 | 
 In establishing the terms and conditions for the
repayment  | 
obligation of the school district the Panel shall
annually  | 
determine whether a separate local property tax levy is
 | 
required. The board of any school district with a tax rate
for  | 
educational purposes for the prior year of less than
120% of  | 
the maximum rate for educational purposes authorized
by  | 
Section 17-2 shall provide for a separate
tax levy for  | 
emergency financial assistance repayment
purposes. Such tax  | 
levy shall not be subject to referendum approval. The
amount  | 
of the levy shall be equal to the
amount necessary to meet the  | 
annual repayment obligations of
the district as established by  | 
the Panel, or 20% of the
amount levied for educational  | 
purposes for the prior year,
whichever is less. However, no  | 
district shall be
required to levy the tax if the district's  | 
operating tax
rate as determined under Section
18-8, 18-8.05,  | 
or 18-8.15 exceeds 200% of the district's tax rate for  | 
educational
purposes for the prior year.
 | 
(Source: P.A. 100-465, eff. 8-31-17.)
 | 
 (105 ILCS 5/1F-25)
 | 
(This Section scheduled to be repealed in accordance with 105  | 
ILCS 5/1F-165) | 
 Sec. 1F-25. General powers. The purposes of the Authority  | 
 | 
shall be
to exercise financial control over the district and  | 
to furnish financial
assistance so that the district can  | 
provide public education within the
district's jurisdiction  | 
while permitting the district to meet its obligations
to its  | 
creditors and the holders of its debt. Except as
expressly  | 
limited by this Article, the Authority shall have all powers
 | 
granted to a voluntary or involuntary Financial Oversight  | 
Panel and to
a Financial Administrator under Article 1B of  | 
this Code and all other powers
necessary to meet its  | 
responsibilities and to carry out its purposes
and the  | 
purposes of this Article, including without limitation all of  | 
the
following powers,
provided that the Authority shall have  | 
no power
to
terminate any employee without following the  | 
statutory procedures for
such terminations set forth in this  | 
Code:
 | 
  (1) To sue and to be sued.
 | 
  (2) To make, cancel, modify, and execute contracts,  | 
 leases, subleases, and
all other
instruments or agreements  | 
 necessary or convenient for the exercise of
the powers and  | 
 functions granted by this Article, subject to Section  | 
 1F-45 of
this Code.
The Authority may at a regular or  | 
 special meeting find that the district has
insufficient or  | 
 inadequate funds
with respect to any contract, other than  | 
 collective bargaining agreements.
 | 
  (3) To purchase real or personal property necessary or  | 
 convenient
for its purposes; to execute and deliver deeds  | 
 | 
 for real property held in
its own name; and to sell, lease,  | 
 or otherwise dispose of such of
its property as, in the  | 
 judgment of the Authority, is no longer
necessary for its  | 
 purposes.
 | 
  (4) To appoint officers, agents, and employees of the  | 
 Authority,
including a chief executive officer, a chief  | 
 fiscal officer, and a chief
educational officer; to define  | 
 their duties and qualifications; and to
fix their  | 
 compensation and employee benefits.
 | 
  (5) To transfer to the district such sums of money
as  | 
 are not required for other purposes.
 | 
  (6) To borrow money, including without limitation  | 
 accepting State loans,
and to
issue obligations pursuant  | 
 to this
Article; to fund, refund, or advance refund the  | 
 same; to provide for the
rights of the holders of its  | 
 obligations; and to repay any advances.
 | 
  (6.5) To levy all property tax levies that otherwise  | 
 could be levied by
the district, and to make
levies  | 
 pursuant to Section 1F-62 of this Code.
This levy or  | 
 levies shall be exempt from the Truth in Taxation Law
and  | 
 the Cook County Truth in Taxation Law.
 | 
  (7) Subject to the provisions of any contract with or  | 
 for the
benefit of the holders of its obligations, to  | 
 purchase or redeem its
obligations.
 | 
  (8) To procure all necessary goods and services for  | 
 the Authority
in compliance with the purchasing laws and  | 
 | 
 requirements applicable to
the district.
 | 
  (9) To do any and all things necessary or convenient  | 
 to carry out
its purposes and exercise the powers given to  | 
 it by this
Article.
 | 
  (10) To recommend annexation,
consolidation,  | 
 dissolution, or reorganization of the district, in whole  | 
 or in
part, to the
State Board if in the Authority's  | 
 judgment the circumstances so
require. No such proposal  | 
 for annexation, consolidation,
dissolution, or  | 
 reorganization shall occur unless the Authority and the  | 
 school
boards of all other
districts directly affected by  | 
 the
annexation, consolidation, dissolution, or
 | 
 reorganization
have each approved by majority vote the
 | 
 annexation, consolidation, dissolution, or
 | 
 reorganization.
Notwithstanding any other law to the  | 
 contrary, upon approval of the proposal
by the State  | 
 Board, the State Board and all other affected entities  | 
 shall
forthwith implement the proposal.
When a dissolution  | 
 and annexation becomes
effective for
purposes of  | 
 administration and attendance,
the positions of
teachers  | 
 in contractual continued service in the district
being  | 
 dissolved shall be transferred to the annexing district
or  | 
 districts, pursuant to the provisions of Section 24-12 of
 | 
 this Code.
In the event that the territory is added to 2 or
 | 
 more districts, the decision on which positions shall be
 | 
 transferred to which annexing districts shall be made by
 | 
 | 
 giving consideration to the proportionate percentage of
 | 
 pupils transferred and the annexing districts' staffing
 | 
 needs, and the transfer of teachers in contractual  | 
 continued service
into
positions shall be based upon the  | 
 request
of those teachers in contractual continued service
 | 
 in order of seniority in the dissolving district.
The  | 
 status of
all teachers in contractual continued service
 | 
 transferred to an annexing district shall not be
lost, and  | 
 the board of the annexing district is subject to
this Code  | 
 with respect to teachers in contractual continued service
 | 
 who are transferred in the same
manner as if the person  | 
 were the annexing district's employee
and had been its  | 
 employee during the time the person was
actually employed  | 
 by the board of the dissolving district
from which the  | 
 position was transferred.
 | 
(Source: P.A. 92-855, eff. 12-6-02.)
 | 
 (105 ILCS 5/1F-90)
 | 
(This Section scheduled to be repealed in accordance with 105  | 
ILCS 5/1F-165) | 
 Sec. 1F-90. Tax anticipation warrants. An Authority shall  | 
have the same power to issue tax anticipation warrants as a
 | 
school board under Section 17-16 of this
Code. Tax  | 
anticipation
warrants are considered borrowing from sources  | 
other than the State
and are
subject to Section 1F-62 of this
 | 
Code.
 | 
 | 
(Source: P.A. 92-855, eff. 12-6-02.)
 | 
 (105 ILCS 5/2-3.146)
 | 
 Sec. 2-3.146. Severely overcrowded schools grant program.  | 
There is created a grant program, subject to appropriation,  | 
for severely overcrowded schools. The State Board of Education  | 
shall administer the program. Grant funds may be used for  | 
purposes of relieving overcrowding. In order for a school  | 
district to be eligible for a grant under this Section, (i) the  | 
main administrative office of the district must be located in  | 
a city of 85,000 or more in population, according to the 2000  | 
U.S. Census, and (ii) the school district must have a  | 
district-wide percentage of low-income students of 70% or  | 
more, as identified by the 2005-2006 School Report Cards  | 
published by the State Board of Education, and (iii) the  | 
school district must not be eligible for a fast growth grant  | 
under Section 18-8.10 of this Code. The State Board of  | 
Education shall distribute the funds on a proportional basis  | 
with no single district receiving more than 75% of the funds in  | 
any given year. The State Board of Education may adopt rules as  | 
needed for the implementation and distribution of grants under  | 
this Section.
 | 
(Source: P.A. 95-707, eff. 1-11-08.)
 | 
 (105 ILCS 5/10-21.9) (from Ch. 122, par. 10-21.9)
 | 
 Sec. 10-21.9. Criminal history records checks and checks  | 
 | 
of the Statewide Sex Offender Database and Statewide Murderer  | 
and Violent Offender Against Youth Database.
 | 
 (a) Licensed and nonlicensed applicants for employment  | 
with a school
district, except school bus driver applicants,  | 
are required as a condition
of employment to authorize a  | 
fingerprint-based criminal history records check to determine  | 
if such applicants have been convicted of any disqualifying,  | 
enumerated criminal or drug offenses in subsection (c) of this  | 
Section or
have been convicted, within 7 years of the  | 
application for employment with
the
school district, of any  | 
other felony under the laws of this State or of any
offense  | 
committed or attempted in any other state or against the laws  | 
of
the United States that, if committed or attempted in this  | 
State, would
have been punishable as a felony under the laws of  | 
this State.
Authorization for
the check shall be furnished by  | 
the applicant to
the school district, except that if the  | 
applicant is a substitute teacher
seeking employment in more  | 
than one school district, a teacher seeking
concurrent  | 
part-time employment positions with more than one school
 | 
district (as a reading specialist, special education teacher  | 
or otherwise),
or an educational support personnel employee  | 
seeking employment positions
with more than one district, any  | 
such district may require the applicant to
furnish  | 
authorization for
the check to the regional superintendent
of  | 
the educational service region in which are located the school  | 
districts
in which the applicant is seeking employment as a  | 
 | 
substitute or concurrent
part-time teacher or concurrent  | 
educational support personnel employee.
Upon receipt of this  | 
authorization, the school district or the appropriate
regional  | 
superintendent, as the case may be, shall submit the  | 
applicant's
name, sex, race, date of birth, social security  | 
number, fingerprint images, and other identifiers, as  | 
prescribed by the Illinois State Police, to the Illinois State  | 
Police. The regional
superintendent submitting the requisite  | 
information to the Illinois
State Police shall promptly notify  | 
the school districts in which the
applicant is seeking  | 
employment as a substitute or concurrent part-time
teacher or  | 
concurrent educational support personnel employee that
the
 | 
check of the applicant has been requested. The Illinois State  | 
Police and the Federal Bureau of Investigation shall furnish,  | 
pursuant to a fingerprint-based criminal history records  | 
check, records of convictions, forever and hereinafter, until  | 
expunged, to the president of the school board for the school  | 
district that requested the check, or to the regional  | 
superintendent who requested the check.
The Illinois State  | 
Police
shall charge
the school district
or the appropriate  | 
regional superintendent a fee for
conducting
such check, which  | 
fee shall be deposited in the State
Police Services Fund and  | 
shall not exceed the cost of
the inquiry; and the
applicant  | 
shall not be charged a fee for
such check by the school
 | 
district or by the regional superintendent, except that those  | 
applicants seeking employment as a substitute teacher with a  | 
 | 
school district may be charged a fee not to exceed the cost of  | 
the inquiry. Subject to appropriations for these purposes, the  | 
State Superintendent of Education shall reimburse school  | 
districts and regional superintendents for fees paid to obtain  | 
criminal history records checks under this Section.
 | 
 (a-5) The school district or regional superintendent shall  | 
further perform a check of the Statewide Sex Offender  | 
Database, as authorized by the Sex Offender Community  | 
Notification Law, for each applicant. The check of the  | 
Statewide Sex Offender Database must be conducted by the  | 
school district or regional superintendent once for every 5  | 
years that an applicant remains employed by the school  | 
district.  | 
 (a-6) The school district or regional superintendent shall  | 
further perform a check of the Statewide Murderer and Violent  | 
Offender Against Youth Database, as authorized by the Murderer  | 
and Violent Offender Against Youth Community Notification Law,  | 
for each applicant. The check of the Murderer and Violent  | 
Offender Against Youth Database must be conducted by the  | 
school district or regional superintendent once for every 5  | 
years that an applicant remains employed by the school  | 
district.  | 
 (b)
Any information
concerning the record of convictions  | 
obtained by the president of the
school board or the regional  | 
superintendent shall be confidential and may
only be  | 
transmitted to the superintendent of the school district or  | 
 | 
his
designee, the appropriate regional superintendent if
the  | 
check was
requested by the school district, the presidents of  | 
the appropriate school
boards if
the check was requested from  | 
the Illinois State
Police by the regional superintendent, the  | 
State Board of Education and a school district as authorized  | 
under subsection (b-5), the State Superintendent of
Education,  | 
the State Educator Preparation and Licensure Board, any other  | 
person
necessary to the decision of hiring the applicant for  | 
employment, or for clarification purposes the Illinois State  | 
Police or Statewide Sex Offender Database, or both. A copy
of  | 
the record of convictions obtained from the Illinois State  | 
Police
shall be provided to the applicant for employment. Upon  | 
the check of the Statewide Sex Offender Database or Statewide  | 
Murderer and Violent Offender Against Youth Database, the  | 
school district or regional superintendent shall notify an  | 
applicant as to whether or not the applicant has been  | 
identified in the Database. If a check of
an applicant for  | 
employment as a substitute or concurrent part-time teacher
or  | 
concurrent educational support personnel employee in more than  | 
one
school district was requested by the regional  | 
superintendent, and the Illinois
State Police upon a check  | 
ascertains that the applicant
has not been convicted of any of  | 
the enumerated criminal or drug offenses
in subsection (c) of  | 
this Section
or has not been convicted, within 7 years of the
 | 
application for
employment with the
school district, of any  | 
other felony under the laws of this State or of any
offense  | 
 | 
committed or attempted in any other state or against the laws  | 
of
the United States that, if committed or attempted in this  | 
State, would
have been punishable as a felony under the laws of  | 
this State
and so notifies the regional
superintendent and if  | 
the regional superintendent upon a check ascertains that the  | 
applicant has not been identified in the Sex Offender Database  | 
or Statewide Murderer and Violent Offender Against Youth  | 
Database, then the
regional superintendent shall issue to the  | 
applicant a certificate
evidencing that as of the date  | 
specified by the Illinois State Police
the applicant has not  | 
been convicted of any of the enumerated criminal or
drug  | 
offenses in subsection (c) of this Section
or has not been
 | 
convicted, within 7 years of the application for employment  | 
with the
school district, of any other felony under the laws of  | 
this State or of any
offense committed or attempted in any  | 
other state or against the laws of
the United States that, if  | 
committed or attempted in this State, would
have been  | 
punishable as a felony under the laws of this State and  | 
evidencing that as of the date that the regional  | 
superintendent conducted a check of the Statewide Sex Offender  | 
Database or Statewide Murderer and Violent Offender Against  | 
Youth Database, the applicant has not been identified in the  | 
Database. The school
board of
any
school district
may rely on  | 
the
certificate issued by any regional superintendent to that  | 
substitute teacher, concurrent part-time teacher, or  | 
concurrent educational support personnel employee or may
 | 
 | 
initiate its own criminal history records check of the  | 
applicant through the Illinois
State Police and its own check  | 
of the Statewide Sex Offender Database or Statewide Murderer  | 
and Violent Offender Against Youth Database as provided in  | 
this Section. Any unauthorized release of confidential  | 
information may be a violation of Section 7 of the Criminal  | 
Identification Act.
 | 
 (b-5) If a criminal history records check or check of the  | 
Statewide Sex Offender Database or Statewide Murderer and  | 
Violent Offender Against Youth Database is performed by a  | 
regional superintendent for an applicant seeking employment as  | 
a substitute teacher with a school district, the regional  | 
superintendent may disclose to the State Board of Education  | 
whether the applicant has been issued a certificate under  | 
subsection (b) based on those checks. If the State Board  | 
receives information on an applicant under this subsection,  | 
then it must indicate in the Educator Licensure Information  | 
System for a 90-day period that the applicant has been issued  | 
or has not been issued a certificate.  | 
 (c) No school board shall knowingly employ a person who  | 
has been
convicted of any offense that would subject him or her  | 
to license suspension or revocation pursuant to Section 21B-80  | 
of this Code, except as provided under subsection (b) of  | 
Section 21B-80.
Further, no school board shall knowingly  | 
employ a person who has been found
to be the perpetrator of  | 
sexual or physical abuse of any minor under 18 years
of age  | 
 | 
pursuant to proceedings under Article II of the Juvenile Court  | 
Act of
1987. As a condition of employment, each school board  | 
must consider the status of a person who has been issued an  | 
indicated finding of abuse or neglect of a child by the  | 
Department of Children and Family Services under the Abused  | 
and Neglected Child Reporting Act or by a child welfare agency  | 
of another jurisdiction. 
 | 
 (d) No school board shall knowingly employ a person for  | 
whom a criminal
history records check and a Statewide Sex  | 
Offender Database check have not been initiated.
 | 
 (e) Within 10 days after a superintendent, regional office  | 
of education, or entity that provides background checks of  | 
license holders to public schools receives information of a  | 
pending criminal charge against a license holder for an  | 
offense set forth in Section 21B-80 of this Code, the  | 
superintendent, regional office of education, or entity must  | 
notify the State Superintendent of Education of the pending  | 
criminal charge.  | 
 If permissible by federal or State law, no later than 15  | 
business days after receipt of a record of conviction or of  | 
checking the Statewide Murderer and Violent Offender Against  | 
Youth Database or the Statewide Sex Offender Database and  | 
finding a registration, the superintendent of the employing  | 
school board or the applicable regional superintendent shall,  | 
in writing, notify the State Superintendent of Education of  | 
any license holder who has been convicted of a crime set forth  | 
 | 
in Section 21B-80 of this Code. Upon receipt of the record of a  | 
conviction of or a finding of child
abuse by a holder of any  | 
license
issued pursuant to Article 21B or Section 34-8.1 or  | 
34-83 of this the
School Code, the
State Superintendent of  | 
Education may initiate licensure suspension
and revocation  | 
proceedings as authorized by law. If the receipt of the record  | 
of conviction or finding of child abuse is received within 6  | 
months after the initial grant of or renewal of a license, the  | 
State Superintendent of Education may rescind the license  | 
holder's license. 
 | 
 (e-5) The superintendent of the employing school board  | 
shall, in writing, notify the State Superintendent of  | 
Education and the applicable regional superintendent of  | 
schools of any license holder whom he or she has reasonable  | 
cause to believe has committed an intentional act of abuse or  | 
neglect with the result of making a child an abused child or a  | 
neglected child, as defined in Section 3 of the Abused and  | 
Neglected Child Reporting Act, and that act resulted in the  | 
license holder's dismissal or resignation from the school  | 
district. This notification must be submitted within 30 days  | 
after the dismissal or resignation and must include the  | 
Illinois Educator Identification Number (IEIN) of the license  | 
holder and a brief description of the misconduct alleged. The  | 
license holder must also be contemporaneously sent a copy of  | 
the notice by the superintendent. All correspondence,  | 
documentation, and other information so received by the  | 
 | 
regional superintendent of schools, the State Superintendent  | 
of Education, the State Board of Education, or the State  | 
Educator Preparation and Licensure Board under this subsection  | 
(e-5) is confidential and must not be disclosed to third  | 
parties, except (i) as necessary for the State Superintendent  | 
of Education or his or her designee to investigate and  | 
prosecute pursuant to Article 21B of this Code, (ii) pursuant  | 
to a court order, (iii) for disclosure to the license holder or  | 
his or her representative, or (iv) as otherwise provided in  | 
this Article and provided that any such information admitted  | 
into evidence in a hearing is exempt from this confidentiality  | 
and non-disclosure requirement. Except for an act of willful  | 
or wanton misconduct, any superintendent who provides  | 
notification as required in this subsection (e-5) shall have  | 
immunity from any liability, whether civil or criminal or that  | 
otherwise might result by reason of such action. | 
 (f) After January 1, 1990 the provisions of this Section  | 
shall apply
to all employees of persons or firms holding  | 
contracts with any school
district including, but not limited  | 
to, food service workers, school bus
drivers and other  | 
transportation employees, who have direct, daily contact
with  | 
the pupils of any school in such district. For purposes of  | 
criminal
history records checks and checks of the Statewide  | 
Sex Offender Database on employees of persons or firms holding
 | 
contracts with more than one school district and assigned to  | 
more than one
school district, the regional superintendent of  | 
 | 
the educational service
region in which the contracting school  | 
districts are located may, at the
request of any such school  | 
district, be responsible for receiving the
authorization for
a  | 
criminal history records check prepared by each such employee  | 
and
submitting the same to the Illinois State Police and for  | 
conducting a check of the Statewide Sex Offender Database for  | 
each employee. Any information
concerning the record of  | 
conviction and identification as a sex offender of any such  | 
employee obtained by the
regional superintendent shall be  | 
promptly reported to the president of the
appropriate school  | 
board or school boards.
 | 
 (f-5) Upon request of a school or school district, any  | 
information obtained by a school district pursuant to  | 
subsection (f) of this Section within the last year must be  | 
made available to the requesting school or school district. | 
 (g) Prior to the commencement of any student teaching  | 
experience or required internship (which is referred to as  | 
student teaching in this Section) in the public schools, a  | 
student teacher is required to authorize a fingerprint-based  | 
criminal history records check. Authorization for and payment  | 
of the costs of the check must be furnished by the student  | 
teacher to the school district where the student teaching is  | 
to be completed. Upon receipt of this authorization and  | 
payment, the school district shall submit the student  | 
teacher's name, sex, race, date of birth, social security  | 
number, fingerprint images, and other identifiers, as  | 
 | 
prescribed by the Illinois State Police, to the Illinois State  | 
Police. The Illinois State Police and the Federal Bureau of  | 
Investigation shall furnish, pursuant to a fingerprint-based  | 
criminal history records check, records of convictions,  | 
forever and hereinafter, until expunged, to the president of  | 
the school board for the school district that requested the  | 
check. The Illinois State Police shall charge the school  | 
district a fee for conducting the check, which fee must not  | 
exceed the cost of the inquiry and must be deposited into the  | 
State Police Services Fund. The school district shall further  | 
perform a check of the Statewide Sex Offender Database, as  | 
authorized by the Sex Offender Community Notification Law, and  | 
of the Statewide Murderer and Violent Offender Against Youth  | 
Database, as authorized by the Murderer and Violent Offender  | 
Against Youth Registration Act, for each student teacher. No  | 
school board may knowingly allow a person to student teach for  | 
whom a criminal history records check, a Statewide Sex  | 
Offender Database check, and a Statewide Murderer and Violent  | 
Offender Against Youth Database check have not been completed  | 
and reviewed by the district. | 
 A copy of the record of convictions obtained from the  | 
Illinois State Police must be provided to the student teacher.  | 
Any information concerning the record of convictions obtained  | 
by the president of the school board is confidential and may  | 
only be transmitted to the superintendent of the school  | 
district or his or her designee, the State Superintendent of  | 
 | 
Education, the State Educator Preparation and Licensure Board,  | 
or, for clarification purposes, the Illinois State Police or  | 
the Statewide Sex Offender Database or Statewide Murderer and  | 
Violent Offender Against Youth Database. Any unauthorized  | 
release of confidential information may be a violation of  | 
Section 7 of the Criminal Identification Act. | 
 No school board shall knowingly allow a person to student  | 
teach who has been convicted of any offense that would subject  | 
him or her to license suspension or revocation pursuant to  | 
subsection (c) of Section 21B-80 of this Code, except as  | 
provided under subsection (b) of Section 21B-80. Further, no  | 
school board shall allow a person to student teach if he or she  | 
has been found to be the perpetrator of sexual or physical  | 
abuse of a minor under 18 years of age pursuant to proceedings  | 
under Article II of the Juvenile Court Act of 1987. Each school  | 
board must consider the status of a person to student teach who  | 
has been issued an indicated finding of abuse or neglect of a  | 
child by the Department of Children and Family Services under  | 
the Abused and Neglected Child Reporting Act or by a child  | 
welfare agency of another jurisdiction.  | 
 (h) (Blank). | 
(Source: P.A. 101-72, eff. 7-12-19; 101-531, eff. 8-23-19;  | 
101-643, eff. 6-18-20; 102-538, eff. 8-20-21; 102-552, eff.  | 
1-1-22; revised 10-6-21.)
 | 
 (105 ILCS 5/34-18.5) (from Ch. 122, par. 34-18.5) | 
 | 
 Sec. 34-18.5. Criminal history records checks and checks  | 
of the Statewide Sex Offender Database and Statewide Murderer  | 
and Violent Offender Against Youth Database. | 
 (a) Licensed and nonlicensed applicants for
employment  | 
with the school district are required as a condition of
 | 
employment to authorize a fingerprint-based criminal history  | 
records check to determine if such applicants
have been  | 
convicted of any disqualifying, enumerated criminal or drug  | 
offense in
subsection (c) of this Section or have been
 | 
convicted, within 7 years of the application for employment  | 
with the
school district, of any other felony under the laws of  | 
this State or of any
offense committed or attempted in any  | 
other state or against the laws of
the United States that, if  | 
committed or attempted in this State, would
have been  | 
punishable as a felony under the laws of this State.  | 
Authorization
for
the
check shall
be furnished by the  | 
applicant to the school district, except that if the
applicant  | 
is a substitute teacher seeking employment in more than one
 | 
school district, or a teacher seeking concurrent part-time  | 
employment
positions with more than one school district (as a  | 
reading specialist,
special education teacher or otherwise),  | 
or an educational support
personnel employee seeking  | 
employment positions with more than one
district, any such  | 
district may require the applicant to furnish
authorization  | 
for
the check to the regional superintendent of the
 | 
educational service region in which are located the school  | 
 | 
districts in
which the applicant is seeking employment as a  | 
substitute or concurrent
part-time teacher or concurrent  | 
educational support personnel employee.
Upon receipt of this  | 
authorization, the school district or the appropriate
regional  | 
superintendent, as the case may be, shall submit the  | 
applicant's
name, sex, race, date of birth, social security  | 
number, fingerprint images, and other identifiers, as  | 
prescribed by the Illinois State Police, to the Illinois State  | 
Police. The regional
superintendent submitting the requisite  | 
information to the Illinois
State Police shall promptly notify  | 
the school districts in which the
applicant is seeking  | 
employment as a substitute or concurrent part-time
teacher or  | 
concurrent educational support personnel employee that
the
 | 
check of the applicant has been requested. The Illinois State
 | 
Police and the Federal Bureau of Investigation shall furnish,  | 
pursuant to a fingerprint-based criminal history records  | 
check, records of convictions, forever and hereinafter, until  | 
expunged, to the president of the school board for the school  | 
district that requested the check, or to the regional  | 
superintendent who requested the check. The Illinois State  | 
Police
shall charge
the school district
or the appropriate  | 
regional superintendent a fee for
conducting
such check, which  | 
fee shall be deposited in the State
Police Services Fund and  | 
shall not exceed the cost of the inquiry; and the
applicant  | 
shall not be charged a fee for
such check by the school
 | 
district or by the regional superintendent. Subject to  | 
 | 
appropriations for these purposes, the State Superintendent of  | 
Education shall reimburse the school district and regional  | 
superintendent for fees paid to obtain criminal history  | 
records checks under this Section. | 
 (a-5) The school district or regional superintendent shall  | 
further perform a check of the Statewide Sex Offender  | 
Database, as authorized by the Sex Offender Community  | 
Notification Law, for each applicant. The check of the  | 
Statewide Sex Offender Database must be conducted by the  | 
school district or regional superintendent once for every 5  | 
years that an applicant remains employed by the school  | 
district.  | 
 (a-6) The school district or regional superintendent shall  | 
further perform a check of the Statewide Murderer and Violent  | 
Offender Against Youth Database, as authorized by the Murderer  | 
and Violent Offender Against Youth Community Notification Law,  | 
for each applicant. The check of the Murderer and Violent  | 
Offender Against Youth Database must be conducted by the  | 
school district or regional superintendent once for every 5  | 
years that an applicant remains employed by the school  | 
district.  | 
 (b) Any
information concerning the record of convictions  | 
obtained by the president
of the board of education or the  | 
regional superintendent shall be
confidential and may only be  | 
transmitted to the general superintendent of
the school  | 
district or his designee, the appropriate regional
 | 
 | 
superintendent if
the check was requested by the board of  | 
education
for the school district, the presidents of the  | 
appropriate board of
education or school boards if
the check  | 
was requested from the Illinois
State Police by the regional  | 
superintendent, the State Board of Education and the school  | 
district as authorized under subsection (b-5), the State
 | 
Superintendent of Education, the State Educator Preparation  | 
and Licensure Board or any
other person necessary to the  | 
decision of hiring the applicant for
employment. A copy of the  | 
record of convictions obtained from the Illinois
State Police  | 
shall be provided to the applicant for
employment. Upon the  | 
check of the Statewide Sex Offender Database or Statewide  | 
Murderer and Violent Offender Against Youth Database, the  | 
school district or regional superintendent shall notify an  | 
applicant as to whether or not the applicant has been  | 
identified in the Database. If a check of an applicant for  | 
employment as a
substitute or concurrent part-time teacher or  | 
concurrent educational
support personnel employee in more than  | 
one school district was requested
by the regional  | 
superintendent, and the Illinois State Police upon
a check  | 
ascertains that the applicant has not been convicted of any
of  | 
the enumerated criminal or drug offenses in subsection (c) of  | 
this Section
or has not been
convicted,
within 7 years of the  | 
application for employment with the
school district, of any  | 
other felony under the laws of this State or of any
offense  | 
committed or attempted in any other state or against the laws  | 
 | 
of
the United States that, if committed or attempted in this  | 
State, would
have been punishable as a felony under the laws of  | 
this State and so
notifies the regional superintendent and if  | 
the regional superintendent upon a check ascertains that the  | 
applicant has not been identified in the Sex Offender Database  | 
or Statewide Murderer and Violent Offender Against Youth  | 
Database, then the regional superintendent
shall issue to the  | 
applicant a certificate evidencing that as of the date
 | 
specified by the Illinois State Police the applicant has not  | 
been
convicted of any of the enumerated criminal or drug  | 
offenses in subsection
(c) of this Section
or has not been
 | 
convicted, within 7 years of the application for employment  | 
with the
school district, of any other felony under the laws of  | 
this State or of any
offense committed or attempted in any  | 
other state or against the laws of
the United States that, if  | 
committed or attempted in this State, would
have been  | 
punishable as a felony under the laws of this State and  | 
evidencing that as of the date that the regional  | 
superintendent conducted a check of the Statewide Sex Offender  | 
Database or Statewide Murderer and Violent Offender Against  | 
Youth Database, the applicant has not been identified in the  | 
Database. The school
board of any school district may rely on  | 
the certificate issued by any regional
superintendent to that  | 
substitute teacher, concurrent part-time teacher, or  | 
concurrent educational support personnel employee
or may  | 
initiate its own criminal history records check of
the  | 
 | 
applicant through the Illinois State Police and its own check  | 
of the Statewide Sex Offender Database or Statewide Murderer  | 
and Violent Offender Against Youth Database as provided in
 | 
this Section. Any unauthorized release of confidential  | 
information may be a violation of Section 7 of the Criminal  | 
Identification Act. | 
 (b-5) If a criminal history records check or check of the  | 
Statewide Sex Offender Database or Statewide Murderer and  | 
Violent Offender Against Youth Database is performed by a  | 
regional superintendent for an applicant seeking employment as  | 
a substitute teacher with the school district, the regional  | 
superintendent may disclose to the State Board of Education  | 
whether the applicant has been issued a certificate under  | 
subsection (b) based on those checks. If the State Board  | 
receives information on an applicant under this subsection,  | 
then it must indicate in the Educator Licensure Information  | 
System for a 90-day period that the applicant has been issued  | 
or has not been issued a certificate.  | 
 (c) The board of education shall not knowingly employ a  | 
person who has
been convicted of any offense that would  | 
subject him or her to license suspension or revocation  | 
pursuant to Section 21B-80 of this Code, except as provided  | 
under subsection (b) of 21B-80.
Further, the board of  | 
education shall not knowingly employ a person who has
been  | 
found to be the perpetrator of sexual or physical abuse of any  | 
minor under
18 years of age pursuant to proceedings under  | 
 | 
Article II of the Juvenile Court
Act of 1987. As a condition of  | 
employment, the board of education must consider the status of  | 
a person who has been issued an indicated finding of abuse or  | 
neglect of a child by the Department of Children and Family  | 
Services under the Abused and Neglected Child Reporting Act or  | 
by a child welfare agency of another jurisdiction. | 
 (d) The board of education shall not knowingly employ a  | 
person for whom
a criminal history records check and a  | 
Statewide Sex Offender Database check have not been initiated. | 
 (e) Within 10 days after the general superintendent of  | 
schools, a regional office of education, or an entity that  | 
provides background checks of license holders to public  | 
schools receives information of a pending criminal charge  | 
against a license holder for an offense set forth in Section  | 
21B-80 of this Code, the superintendent, regional office of  | 
education, or entity must notify the State Superintendent of  | 
Education of the pending criminal charge.  | 
 No later than 15 business days after receipt of a record of  | 
conviction or of checking the Statewide Murderer and Violent  | 
Offender Against Youth Database or the Statewide Sex Offender  | 
Database and finding a registration, the general  | 
superintendent of schools or the applicable regional  | 
superintendent shall, in writing, notify the State  | 
Superintendent of Education of any license holder who has been  | 
convicted of a crime set forth in Section 21B-80 of this Code.  | 
Upon receipt of the record of a conviction of or a finding of  | 
 | 
child
abuse by a holder of any license
issued pursuant to  | 
Article 21B or Section 34-8.1 or 34-83 of this Code, the State  | 
Superintendent of
Education may initiate licensure suspension  | 
and revocation
proceedings as authorized by law. If the  | 
receipt of the record of conviction or finding of child abuse  | 
is received within 6 months after the initial grant of or  | 
renewal of a license, the State Superintendent of Education  | 
may rescind the license holder's license. | 
 (e-5) The general superintendent of schools shall, in  | 
writing, notify the State Superintendent of Education of any  | 
license holder whom he or she has reasonable cause to believe  | 
has committed an intentional act of abuse or neglect with the  | 
result of making a child an abused child or a neglected child,  | 
as defined in Section 3 of the Abused and Neglected Child  | 
Reporting Act, and that act resulted in the license holder's  | 
dismissal or resignation from the school district and must  | 
include the Illinois Educator Identification Number (IEIN) of  | 
the license holder and a brief description of the misconduct  | 
alleged. This notification must be submitted within 30 days  | 
after the dismissal or resignation. The license holder must  | 
also be contemporaneously sent a copy of the notice by the  | 
superintendent. All correspondence, documentation, and other  | 
information so received by the State Superintendent of  | 
Education, the State Board of Education, or the State Educator  | 
Preparation and Licensure Board under this subsection (e-5) is  | 
confidential and must not be disclosed to third parties,  | 
 | 
except (i) as necessary for the State Superintendent of  | 
Education or his or her designee to investigate and prosecute  | 
pursuant to Article 21B of this Code, (ii) pursuant to a court  | 
order, (iii) for disclosure to the license holder or his or her  | 
representative, or (iv) as otherwise provided in this Article  | 
and provided that any such information admitted into evidence  | 
in a hearing is exempt from this confidentiality and  | 
non-disclosure requirement. Except for an act of willful or  | 
wanton misconduct, any superintendent who provides  | 
notification as required in this subsection (e-5) shall have  | 
immunity from any liability, whether civil or criminal or that  | 
otherwise might result by reason of such action. | 
 (f) After March 19, 1990, the provisions of this Section  | 
shall apply to
all employees of persons or firms holding  | 
contracts with any school district
including, but not limited  | 
to, food service workers, school bus drivers and
other  | 
transportation employees, who have direct, daily contact with  | 
the
pupils of any school in such district. For purposes of  | 
criminal history records checks and checks of the Statewide  | 
Sex Offender Database on employees of persons or firms holding  | 
contracts with more
than one school district and assigned to  | 
more than one school district, the
regional superintendent of  | 
the educational service region in which the
contracting school  | 
districts are located may, at the request of any such
school  | 
district, be responsible for receiving the authorization for
a  | 
criminal history records check prepared by each such employee  | 
 | 
and submitting the same to the Illinois
State Police and for  | 
conducting a check of the Statewide Sex Offender Database for  | 
each employee. Any information concerning the record of
 | 
conviction and identification as a sex offender of any such  | 
employee obtained by the regional superintendent
shall be  | 
promptly reported to the president of the appropriate school  | 
board
or school boards. | 
 (f-5) Upon request of a school or school district, any  | 
information obtained by the school district pursuant to  | 
subsection (f) of this Section within the last year must be  | 
made available to the requesting school or school district. | 
 (g) Prior to the commencement of any student teaching  | 
experience or required internship (which is referred to as  | 
student teaching in this Section) in the public schools, a  | 
student teacher is required to authorize a fingerprint-based  | 
criminal history records check. Authorization for and payment  | 
of the costs of the check must be furnished by the student  | 
teacher to the school district. Upon receipt of this  | 
authorization and payment, the school district shall submit  | 
the student teacher's name, sex, race, date of birth, social  | 
security number, fingerprint images, and other identifiers, as  | 
prescribed by the Illinois State Police, to the Illinois State  | 
Police. The Illinois State Police and the Federal Bureau of  | 
Investigation shall furnish, pursuant to a fingerprint-based  | 
criminal history records check, records of convictions,  | 
forever and hereinafter, until expunged, to the president of  | 
 | 
the board. The Illinois State Police shall charge the school  | 
district a fee for conducting the check, which fee must not  | 
exceed the cost of the inquiry and must be deposited into the  | 
State Police Services Fund. The school district shall further  | 
perform a check of the Statewide Sex Offender Database, as  | 
authorized by the Sex Offender Community Notification Law, and  | 
of the Statewide Murderer and Violent Offender Against Youth  | 
Database, as authorized by the Murderer and Violent Offender  | 
Against Youth Registration Act, for each student teacher. The  | 
board may not knowingly allow a person to student teach for  | 
whom a criminal history records check, a Statewide Sex  | 
Offender Database check, and a Statewide Murderer and Violent  | 
Offender Against Youth Database check have not been completed  | 
and reviewed by the district. | 
 A copy of the record of convictions obtained from the  | 
Illinois State Police must be provided to the student teacher.  | 
Any information concerning the record of convictions obtained  | 
by the president of the board is confidential and may only be  | 
transmitted to the general superintendent of schools or his or  | 
her designee, the State Superintendent of Education, the State  | 
Educator Preparation and Licensure Board, or, for  | 
clarification purposes, the Illinois State Police or the  | 
Statewide Sex Offender Database or Statewide Murderer and  | 
Violent Offender Against Youth Database. Any unauthorized  | 
release of confidential information may be a violation of  | 
Section 7 of the Criminal Identification Act. | 
 | 
 The board may not knowingly allow a person to student  | 
teach who has been convicted of any offense that would subject  | 
him or her to license suspension or revocation pursuant to  | 
subsection (c) of Section 21B-80 of this Code, except as  | 
provided under subsection (b) of Section 21B-80. Further, the  | 
board may not allow a person to student teach if he or she has  | 
been found to be the perpetrator of sexual or physical abuse of  | 
a minor under 18 years of age pursuant to proceedings under  | 
Article II of the Juvenile Court Act of 1987. The board must  | 
consider the status of a person to student teach who has been  | 
issued an indicated finding of abuse or neglect of a child by  | 
the Department of Children and Family Services under the  | 
Abused and Neglected Child Reporting Act or by a child welfare  | 
agency of another jurisdiction. | 
 (h) (Blank). | 
(Source: P.A. 101-72, eff. 7-12-19; 101-531, eff. 8-23-19;  | 
101-643, eff. 6-18-20; 102-538, eff. 8-20-21; 102-552, eff.  | 
1-1-22; revised 10-18-21.)
 | 
 (105 ILCS 5/1F-62 rep.) | 
 (105 ILCS 5/2-3.33a rep.) | 
 (105 ILCS 5/2-3.128 rep.) | 
 (105 ILCS 5/18-8.10 rep.) | 
 (105 ILCS 5/21-5e rep.) | 
 (105 ILCS 5/34-83 rep.) | 
 Section 15-10. The School Code is amended by repealing  | 
 | 
Sections 1F-62, 2-3.33a, 2-3.128, 18-8.10, 21-5e, and 34-83.
 | 
 Section 15-15. The Illinois Educational Labor Relations  | 
Act is amended by changing Section 2 as follows:
 | 
 (115 ILCS 5/2) (from Ch. 48, par. 1702)
 | 
 Sec. 2. Definitions. As used in this Act:
 | 
 (a) "Educational employer"
or "employer" means the  | 
governing body of a public school district, including the  | 
governing body of a charter school established under Article  | 
27A of the School Code or of a contract school or contract  | 
turnaround school established under paragraph 30 of Section  | 
34-18 of the School Code, combination
of public school  | 
districts, including the governing body of joint agreements
of  | 
any type formed by 2 or more school districts, public  | 
community college
district or State college or university, a  | 
subcontractor of instructional services of a school district  | 
(other than a school district organized under Article 34 of  | 
the School Code), combination of school districts, charter  | 
school established under Article 27A of the School Code, or  | 
contract school or contract turnaround school established  | 
under paragraph 30 of Section 34-18 of the School Code, an  | 
Independent Authority created under Section 2-3.25f-5 of the  | 
School Code, and any State agency whose major
function is  | 
providing educational services.
"Educational employer" or  | 
"employer" does not include (1) a Financial Oversight
Panel  | 
 | 
created pursuant to Section 1A-8 of the School Code due to a
 | 
district
violating a financial plan or (2) an approved  | 
nonpublic special education facility that contracts with a  | 
school district or combination of school districts to provide  | 
special education services pursuant to Section 14-7.02 of the  | 
School Code, but does include a School Finance Authority
 | 
created
under Article 1E or 1F of the School Code and a  | 
Financial Oversight Panel created under Article 1B or 1H of  | 
the School Code. The change made by this amendatory Act of the  | 
96th General Assembly to this paragraph (a) to make clear that  | 
the governing body of a charter school is an "educational  | 
employer" is declaratory of existing law. 
 | 
 (b) "Educational employee" or "employee" means any  | 
individual, excluding
supervisors, managerial, confidential,  | 
short term employees, student, and
part-time academic  | 
employees of community colleges employed full or part
time by  | 
an educational employer, but shall not include elected  | 
officials
and appointees of the Governor with the advice and  | 
consent of the Senate,
firefighters as defined by subsection  | 
(g-1) of Section 3 of the Illinois
Public Labor Relations Act,  | 
and peace officers employed by a State
university. For the  | 
purposes of this Act, part-time
academic employees of  | 
community colleges shall be defined as those
employees who  | 
provide less than 3 credit hours of instruction per
academic
 | 
semester. In this subsection (b), the term "student" does not  | 
include
graduate students who are research assistants  | 
 | 
primarily
performing duties that involve research, graduate  | 
assistants primarily
performing duties that are  | 
pre-professional, graduate
students who are teaching  | 
assistants primarily performing duties that
involve the  | 
delivery and support of instruction, or any other graduate
 | 
assistants.
 | 
 (c) "Employee organization" or "labor organization" means  | 
an organization
of any kind in which membership includes  | 
educational employees, and which
exists for the purpose, in  | 
whole or in part, of dealing with employers
concerning  | 
grievances, employee-employer disputes, wages, rates of pay,
 | 
hours of employment, or conditions of work, but shall not  | 
include any
organization which practices discrimination in  | 
membership because of race,
color, creed, age, gender,  | 
national origin or political affiliation.
 | 
 (d) "Exclusive representative" means the labor  | 
organization which has
been designated by the Illinois  | 
Educational Labor Relations Board as the
representative of the  | 
majority of educational employees in an appropriate
unit, or  | 
recognized by an educational employer prior to January 1, 1984  | 
as
the exclusive representative of the employees in an  | 
appropriate unit or,
after January 1, 1984, recognized by an  | 
employer upon evidence that the
employee organization has been  | 
designated as the exclusive representative
by a majority of  | 
the employees in an appropriate unit.
 | 
 (e) "Board" means the Illinois Educational Labor Relations  | 
 | 
Board.
 | 
 (f) "Regional Superintendent" means the regional  | 
superintendent of
schools provided for in Articles 3 and 3A of  | 
The School Code.
 | 
 (g) "Supervisor" means any individual having authority in  | 
the interests
of the employer to hire, transfer, suspend, lay  | 
off, recall, promote,
discharge, reward or discipline other  | 
employees within the appropriate
bargaining unit and adjust  | 
their grievances, or to effectively recommend
such action if  | 
the exercise of such authority is not of a merely routine or
 | 
clerical nature but requires the use of independent judgment.  | 
The term
"supervisor" includes only those individuals who  | 
devote a preponderance of
their employment time to such  | 
exercising authority.
 | 
 (h) "Unfair labor practice" or "unfair practice" means any  | 
practice
prohibited by Section 14 of this Act.
 | 
 (i) "Person" includes an individual, educational employee,  | 
educational
employer, legal representative, or employee  | 
organization.
 | 
 (j) "Wages" means salaries or other forms of compensation  | 
for services
rendered.
 | 
 (k) "Professional employee" means, in the case of a public  | 
community
college, State college or university, State agency  | 
whose major function is
providing educational services, the  | 
Illinois School for the Deaf, and the
Illinois School for the  | 
Visually Impaired, (1) any employee engaged in work
(i)  | 
 | 
predominantly intellectual and varied in character as opposed  | 
to
routine mental, manual, mechanical, or physical work; (ii)  | 
involving the
consistent exercise of discretion and judgment  | 
in its performance; (iii) of
such character that the output  | 
produced or the result accomplished cannot
be standardized in  | 
relation to a given period of time; and (iv) requiring
 | 
knowledge of an advanced type in a field of science or learning  | 
customarily
acquired by a prolonged course of specialized  | 
intellectual instruction and
study in an institution of higher  | 
learning or a hospital, as distinguished
from a general  | 
academic education or from an apprenticeship or from training
 | 
in the performance of routine mental, manual, or physical  | 
processes; or
(2) any employee, who (i) has completed the  | 
courses of specialized
intellectual instruction and study  | 
described in clause (iv) of paragraph
(1) of this subsection,  | 
and (ii) is performing related work under the
supervision of a  | 
professional person to qualify himself or herself to
become a  | 
professional as defined in paragraph (l).
 | 
 (l) "Professional employee" means, in the case of any  | 
public school
district, or combination of school districts  | 
pursuant to joint agreement,
any employee who has a  | 
certificate issued under Article 21 or Section 34-83
of the  | 
School Code, as now or hereafter amended.
 | 
 (m) "Unit" or "bargaining unit" means any group of  | 
employees for which
an exclusive representative is selected.
 | 
 (n) "Confidential employee" means an employee, who (i) in  | 
 | 
the regular
course of his or her duties, assists and acts in a  | 
confidential capacity to
persons who formulate, determine and  | 
effectuate management policies with
regard to labor relations  | 
or who (ii) in the regular course of his or her
duties has  | 
access to information relating to the effectuation or review  | 
of
the employer's collective bargaining policies.
 | 
 (o) "Managerial employee" means an individual who is  | 
engaged
predominantly in executive and management functions  | 
and is charged with the
responsibility of directing the  | 
effectuation of such management policies and
practices.
 | 
 (p) "Craft employee" means a skilled journeyman, craft  | 
person, and his
or her apprentice or helper.
 | 
 (q) "Short-term employee" is an employee who is employed  | 
for less than
2 consecutive calendar quarters during a  | 
calendar year and who does not
have a reasonable expectation  | 
that he or she will be rehired by the same
employer for the  | 
same service in a subsequent calendar year. Nothing in
this  | 
subsection shall affect the employee status of individuals who  | 
were
covered by a collective bargaining agreement on the  | 
effective date of this
amendatory Act of 1991.
 | 
(Source: P.A. 101-380, eff. 1-1-20.)
 | 
ARTICLE 20.  FINANCE-VARIOUS
 | 
 Section 20-5. The State Employees Group Insurance Act of  | 
1971 is amended by changing Section 11 as follows:
 | 
 | 
 (5 ILCS 375/11) (from Ch. 127, par. 531)
 | 
 Sec. 11. The amount of contribution in any fiscal year  | 
from funds other than
the General Revenue Fund or the Road Fund  | 
shall be at the same contribution
rate as the General Revenue  | 
Fund or the Road Fund, except that in State Fiscal Year 2009 no  | 
contributions shall be required from the FY09 Budget Relief  | 
Fund. Contributions and payments
for life insurance shall be  | 
deposited in the Group Insurance Premium Fund.
Contributions  | 
and payments for health coverages and other benefits shall be
 | 
deposited in the Health Insurance Reserve Fund. Federal funds  | 
which are
available for cooperative extension purposes shall  | 
also be charged for the
contributions which are made for  | 
retired employees formerly employed in the
Cooperative  | 
Extension Service. In the case of departments or any division
 | 
thereof receiving a fraction of its requirements for  | 
administration from the
Federal Government, the contributions  | 
hereunder shall be such fraction of the
amount determined  | 
under the provisions hereof and the
remainder shall be  | 
contributed by the State.
 | 
 Every department which has members paid from funds other  | 
than the General
Revenue Fund, or other than the FY09 Budget  | 
Relief Fund in State Fiscal Year 2009, shall cooperate with  | 
the Department of Central Management Services
and the
 | 
Governor's Office of Management and Budget in order to assure  | 
that the specified
proportion of the State's cost for group  | 
 | 
life insurance, the program of health
benefits and other  | 
employee benefits is paid by such funds; except that
 | 
contributions under this Act need not be paid from any other
 | 
fund where both the Director of Central Management Services  | 
and the Director of
the
Governor's Office of Management and  | 
Budget have designated in writing that the necessary
 | 
contributions are included in the General Revenue Fund  | 
contribution amount.
 | 
 Universities having employees who are totally
compensated  | 
out of the following funds:
 | 
  (1) Income Funds;
 | 
  (2) Local auxiliary funds; and
 | 
  (3) the Agricultural Premium Fund
 | 
shall not be required to submit such contribution for such  | 
employees.
 | 
 For each person covered under this Act whose eligibility  | 
for such
coverage is based upon the person's status as the  | 
recipient of a benefit
under the Illinois Pension Code, which  | 
benefit is based in whole or in part
upon service with the Toll  | 
Highway Authority, the Authority shall annually
contribute a  | 
pro rata share of the State's cost for the benefits of that
 | 
person.
 | 
(Source: P.A. 94-793, eff. 5-19-06; 95-1000, eff. 10-7-08.)
 | 
 Section 20-10. The Department of Transportation Law of the
 | 
Civil Administrative Code of Illinois is amended by changing  | 
 | 
Section 2705-255 as follows:
 | 
 (20 ILCS 2705/2705-255) (was 20 ILCS 2705/49.14)
 | 
 Sec. 2705-255. Appropriations from Build Illinois Bond  | 
Fund and Build
Illinois Purposes Fund. Any expenditure of  | 
funds by the Department
for interchanges, for access roads to  | 
and from any State or
local highway in Illinois, or for other  | 
transportation capital improvements
related to an economic  | 
development project pursuant to appropriations to
the  | 
Department from the Build Illinois Bond Fund and the Build  | 
Illinois
Purposes Fund shall be used for funding improvements  | 
related to existing or
planned scientific, research,  | 
manufacturing, or industrial
development or expansion in  | 
Illinois. In addition, the Department may use
those funds to  | 
encourage and maximize public and private
participation in
 | 
those improvements. The Department shall consult with the
 | 
Department of
Commerce and Economic Opportunity prior to  | 
expending any funds for those purposes
pursuant to  | 
appropriations from the Build Illinois Bond Fund and the Build
 | 
Illinois Purposes Fund.
 | 
(Source: P.A. 94-793, eff. 5-19-06.)
 | 
 Section 20-15. The Illinois Motor Vehicle Theft Prevention  | 
and Insurance Verification Act is amended by changing Section  | 
8.6 as follows:
 | 
 | 
 (20 ILCS 4005/8.6) | 
 Sec. 8.6. State Police Training and Academy Fund; Law  | 
Enforcement Training Fund. Before April 1 of each year, each  | 
insurer engaged in writing private passenger motor vehicle  | 
insurance coverage that is included in Class 2 and Class 3 of  | 
Section 4 of the Illinois Insurance Code, as a condition of its  | 
authority to transact business in this State, shall collect  | 
and remit to the Department of Insurance an amount equal to $4,  | 
or a lesser amount determined by the Illinois Law Enforcement  | 
Training Standards Board by rule, multiplied by the insurer's  | 
total earned car years of private passenger motor vehicle  | 
insurance policies providing physical damage insurance  | 
coverage written in this State during the preceding calendar  | 
year. Of the amounts collected under this Section, the  | 
Department of Insurance shall deposit 10% into the State  | 
Police Training and Academy Fund and 90% into the Law  | 
Enforcement Training Fund.
 | 
(Source: P.A. 102-16, eff. 6-17-21.)
 | 
 Section 20-20. The State Finance Act is amended by  | 
changing Sections 6z-75, 6z-126, 8.20, 8.25, 8.27, 8.33, and  | 
8f and by adding Sections 5.970, 5.971, 5.972, 5.973, 5.974,  | 
5.975, and 5.976 as follows:
 | 
 (30 ILCS 105/5.970 new) | 
 Sec. 5.970. The Aeronautics Fund.
 | 
 | 
 (30 ILCS 105/5.971 new) | 
 Sec. 5.971. The Emergency Planning and Training Fund.
 | 
 (30 ILCS 105/5.972 new) | 
 Sec. 5.972. The ISAC Accounts Receivable Fund.
 | 
 (30 ILCS 105/5.973 new) | 
 Sec. 5.973. The Motor Fuel and Petroleum Standards Fund.
 | 
 (30 ILCS 105/5.974 new) | 
 Sec. 5.974. The State Small Business Credit Initiative  | 
Fund.
 | 
 (30 ILCS 105/5.975 new) | 
 Sec. 5.975. The Public Pension Regulation Fund.
 | 
 (30 ILCS 105/5.976 new) | 
 Sec. 5.976. The Vehicle Inspection Fund.
 | 
 (30 ILCS 105/6z-75)
 | 
 Sec. 6z-75. The Illinois Power Agency Trust Fund. | 
 (a) Creation. The Illinois Power Agency Trust Fund is  | 
created as a special fund in the State treasury. The State  | 
Treasurer shall be the custodian of the Fund. Amounts in the  | 
Fund, both principal and interest not appropriated, shall be  | 
 | 
invested as provided by law. | 
 (b) Funding and investment. | 
  (1) The Illinois Power Agency Trust Fund may accept,  | 
 receive, and administer any grants, loans, or other funds  | 
 made available to it by any source. Any such funds  | 
 received by the Fund shall not be considered income, but  | 
 shall be added to the principal of the Fund. | 
  (2) The investments of the Fund shall be managed by  | 
 the Illinois State Board of Investment, for the purpose of  | 
 obtaining a total return on investments for the long term,  | 
 as provided for under Article 22A of the Illinois Pension  | 
 Code. | 
 (c) Investment proceeds. Subject to the provisions of  | 
subsection (d) of this Section, the General Assembly may  | 
annually appropriate from the Illinois Power Agency Trust Fund  | 
to the Illinois Power Agency Operations Fund an amount  | 
calculated not to exceed 90% of the prior fiscal year's annual  | 
investment income earned by the Fund to the Illinois Power  | 
Agency. Any investment income not appropriated by the General  | 
Assembly in a given fiscal year shall be added to the principal  | 
of the Fund, and thereafter considered a part thereof and not  | 
subject to appropriation as income earned by the Fund. | 
 (d) Expenditures. | 
  (1) During Fiscal Year 2008 and Fiscal Year 2009, the  | 
 General Assembly shall not appropriate any of the  | 
 investment income earned by the Illinois Power Agency  | 
 | 
 Trust Fund to the Illinois Power Agency. | 
  (2) During Fiscal Year 2010 and Fiscal Year 2011, the  | 
 General Assembly shall appropriate a portion of the  | 
 investment income earned by the Illinois Power Agency  | 
 Trust Fund to repay to the General Revenue Fund of the  | 
 State of Illinois those amounts, if any, appropriated from  | 
 the General Revenue Fund for the operation of the Illinois  | 
 Power Agency during Fiscal Year 2008 and Fiscal Year 2009,  | 
 so that at the end of Fiscal Year 2011, the entire amount,  | 
 if any, appropriated from the General Revenue Fund for the  | 
 operation of the Illinois Power Agency during Fiscal Year  | 
 2008 and Fiscal Year 2009 will be repaid in full to the  | 
 General Revenue Fund. | 
  (3) In Fiscal Year 2012 and thereafter, the General  | 
 Assembly shall consider the need to balance its  | 
 appropriations from the investment income earned by the  | 
 Fund with the need to provide for the growth of the  | 
 principal of the Illinois Power Agency Trust Fund in order  | 
 to ensure that the Fund is able to produce sufficient  | 
 investment income to fund the operations of the Illinois  | 
 Power Agency in future years. | 
  (4) If the Illinois Power Agency shall cease  | 
 operations, then, unless otherwise provided for by law or  | 
 appropriation, the principal and any investment income  | 
 earned by the Fund shall be transferred into the  | 
 Supplemental Low-Income Energy Assistance Program (LIHEAP)  | 
 | 
 Fund under Section 13 of the Energy Assistance Act of  | 
 1989. | 
 (e) Implementation. The provisions of this Section shall  | 
not be operative until the Illinois Power Agency Trust Fund  | 
has accumulated a principal balance of $25,000,000.
 | 
(Source: P.A. 99-536, eff. 7-8-16.)
 | 
 (30 ILCS 105/6z-126) | 
 Sec. 6z-126. Law Enforcement Training Fund. The Law  | 
Enforcement Training Fund is hereby created as a special fund  | 
in the State treasury. Moneys in the Fund shall consist of: (i)  | 
90% of the revenue from increasing the insurance producer  | 
license fees, as provided under subsection (a-5) of Section  | 
500-135 of the Illinois Insurance Code; and (ii) 90% of the  | 
moneys collected from auto insurance policy fees under Section  | 
8.6 of the Illinois Motor Vehicle Theft Prevention and  | 
Insurance Verification Act. This Fund shall be used by the  | 
Illinois Law Enforcement Training and Standards Board to fund  | 
law enforcement certification compliance and the development  | 
and provision of basic courses by Board-approved academics,  | 
and in-service courses by approved academies.
 | 
(Source: P.A. 102-16, eff. 6-17-21.)
 | 
 (30 ILCS 105/8.20) (from Ch. 127, par. 144.20)
 | 
 Sec. 8.20. 
Appropriations for the ordinary and contingent  | 
expenses of
the Illinois Liquor Control Commission shall be  | 
 | 
paid from the Dram Shop Fund.
Beginning June 30, 1990 and on  | 
June 30 of each subsequent year through June
29, 2003, any  | 
balance
over $5,000,000 remaining in the Dram Shop Fund shall  | 
be credited to State
liquor licensees and applied against  | 
their fees for State liquor licenses
for the following year.  | 
The amount credited to each licensee shall be a
proportion of  | 
the balance in the Dram Shop Fund that is the same as the
 | 
proportion of the license fee paid by the licensee under  | 
Section 5-3 of the
Liquor Control Act of 1934, as now or  | 
hereafter amended, for the period in
which the balance was  | 
accumulated to the aggregate fees paid by all
licensees during  | 
that period.
 | 
 In addition to any other permitted use of moneys in the  | 
Fund, and
notwithstanding any restriction on the use of the  | 
Fund, moneys in the Dram Shop
Fund may be transferred to the  | 
General Revenue Fund as authorized by Public
Act 87-14. The  | 
General Assembly finds that an excess of moneys existed in
the  | 
Fund on July 30, 1991, and the Governor's order of July 30,  | 
1991,
requesting the Comptroller and Treasurer to transfer an  | 
amount from the
Fund to the General Revenue Fund is hereby  | 
validated.
 | 
(Source: P.A. 93-22, eff. 6-20-03.)
 | 
 (30 ILCS 105/8.25) (from Ch. 127, par. 144.25)
 | 
 Sec. 8.25. Build Illinois Fund; uses. 
 | 
 (A) All moneys in the Build Illinois Fund shall be  | 
 | 
transferred,
appropriated, and used only for the purposes  | 
authorized by and subject to
the limitations and conditions  | 
prescribed by this Section. There are
established the  | 
following accounts in the Build Illinois Fund: the
McCormick  | 
Place Account, the Build Illinois Bond Account, the Build
 | 
Illinois Purposes Account, the
Park and Conservation Fund  | 
Account, and the Tourism Advertising and
Promotion Account.  | 
Amounts deposited into the Build Illinois Fund consisting
of  | 
1.55% before July 1, 1986, and 1.75% on and after July 1, 1986,  | 
of
moneys received by the Department of Revenue under Section  | 
9 of
the Use Tax Act, Section 9 of the Service Use Tax Act,  | 
Section 9 of
the Service Occupation Tax Act, and Section 3 of  | 
the Retailers' Occupation
Tax Act, and all amounts deposited  | 
therein under Section 28 of
the Illinois Horse Racing Act of  | 
1975, Section 4.05 of the Chicago World's
Fair - 1992  | 
Authority Act, and Sections 3 and 6 of the Hotel Operators'
 | 
Occupation Tax Act, shall be credited initially to the  | 
McCormick Place
Account and all other amounts deposited into  | 
the Build Illinois Fund shall be
credited initially to the  | 
Build Illinois Bond Account. Of the amounts
initially so  | 
credited to the McCormick Place Account in each month, the
 | 
amount that is to be transferred in that month to the  | 
Metropolitan Fair
and Exposition Authority Improvement Bond  | 
Fund, as provided below, shall
remain credited to the  | 
McCormick Place Account, and all amounts initially so
credited  | 
in that month in excess thereof shall next be credited to the
 | 
 | 
Build Illinois Bond Account. Of the amounts credited to the  | 
Build Illinois
Bond Account in each month, the amount that is  | 
to be transferred in that
month to the Build Illinois Bond  | 
Retirement and Interest Fund, as provided
below, shall remain  | 
credited to the Build Illinois Bond Account, and all
amounts  | 
so credited in each month in excess thereof shall next be  | 
credited
monthly to the other accounts in the following order  | 
of priority: first, to
the Build Illinois Purposes Account,  | 
(a) 1/12, or in the case of fiscal
year 1986, 1/9, of the  | 
fiscal year amounts authorized to be transferred to
the Build  | 
Illinois Purposes Fund as provided below plus (b) any  | 
cumulative
deficiency in those transfers for prior months;  | 
second,
1/12 of $10,000,000, plus any cumulative deficiency in  | 
those transfers for
prior months, to the Park and Conservation  | 
Fund Account;
and third, to the General Revenue Fund in the  | 
State Treasury all
amounts
that remain in the Build Illinois  | 
Fund on the last day of each
month and are not credited to any  | 
account in that Fund.
 | 
 Transfers from the McCormick Place Account in the Build
 | 
Illinois Fund shall be made as follows:
 | 
 Beginning with fiscal year 1985 and continuing for each  | 
fiscal
year thereafter, the Metropolitan Pier and Exposition
 | 
Authority shall annually certify to the State Comptroller and  | 
State
Treasurer the amount necessary and required during the  | 
fiscal year with
respect to which the certification is made to  | 
pay the debt service
requirements (including amounts to be  | 
 | 
paid with respect to arrangements to
provide additional  | 
security or liquidity) on all outstanding bonds and
notes,  | 
including refunding bonds (herein collectively referred to as  | 
bonds)
of issues in the aggregate amount (excluding the amount  | 
of any refunding
bonds issued by that Authority after January  | 
1, 1986) of not more than
$312,500,000 issued after July 1,  | 
1984, by that Authority for the purposes
specified in Sections  | 
10.1 and 13.1 of the Metropolitan Pier and Exposition
 | 
Authority Act. In each month of the fiscal year in which there  | 
are bonds
outstanding with respect to which the annual  | 
certification is made, the
Comptroller shall order transferred  | 
and the Treasurer shall transfer from
the McCormick Place  | 
Account in the Build Illinois Fund to the Metropolitan
Fair  | 
and Exposition Authority Improvement Bond Fund an amount equal  | 
to 150%
of the certified amount for that fiscal year divided by  | 
the number of
months during that fiscal year in which bonds of  | 
the Authority are
outstanding, plus any cumulative deficiency  | 
in those transfers for prior
months; provided, that the  | 
maximum amount that may be so transferred in
fiscal year 1985  | 
shall not exceed $15,000,000 or a lesser sum as is
actually  | 
necessary and required to pay the debt service requirements  | 
for
that fiscal year after giving effect to net operating  | 
revenues of that
Authority available for that purpose as  | 
certified by that Authority, and
provided further that the  | 
maximum amount that may be so transferred in
fiscal year 1986  | 
shall not exceed $30,000,000 and in each fiscal year
 | 
 | 
thereafter shall not exceed $33,500,000 in any fiscal year or  | 
a
lesser sum as is actually necessary and required to pay the  | 
debt service
requirements for that fiscal year after giving  | 
effect to net operating
revenues of that Authority available  | 
for that purpose as certified by
that Authority.
 | 
 When an amount equal to 100% of the aggregate amount of  | 
principal and
interest in each fiscal year with respect to  | 
bonds issued after
July 1, 1984, that by their terms are  | 
payable from the Metropolitan Fair
and Exposition Authority  | 
Improvement Bond Fund, including under sinking
fund  | 
requirements, has been so paid and deficiencies in reserves  | 
established
from bond proceeds shall have been remedied, and  | 
at the time that those amounts
have been transferred to the  | 
Authority as provided in Section 13.1 of
the Metropolitan Pier  | 
and Exposition Authority Act, the remaining moneys,
if any,  | 
deposited and to be deposited during each fiscal year to the
 | 
Metropolitan Fair and Exposition Authority Improvement Bond  | 
Fund shall be
transferred to the Metropolitan Fair and  | 
Exposition Authority Completion
Note Subordinate Fund.
 | 
 Transfers from the Build Illinois Bond Account in the  | 
Build Illinois
Fund shall be made as follows:
 | 
 Beginning with fiscal year 1986 and continuing for each  | 
fiscal year
thereafter so long as limited obligation bonds of  | 
the State issued under
the Build Illinois Bond Act remain  | 
outstanding, the Comptroller shall
order transferred and the  | 
Treasurer shall transfer in each month,
commencing in October,  | 
 | 
1985, on the last day of that month, from the Build
Illinois  | 
Bond Account to the Build Illinois Bond Retirement and  | 
Interest
Fund in the State Treasury the amount required to be  | 
so transferred in that
month under Section 13 of the Build  | 
Illinois Bond Act.
 | 
 Transfers from the remaining accounts in the Build  | 
Illinois Fund shall
be made in the following amounts and in the  | 
following order of priority:
 | 
 Beginning with fiscal year 1986 and continuing each fiscal  | 
year
thereafter, as soon as practicable after the first day of  | 
each month,
commencing in October, 1985, the Comptroller shall  | 
order transferred and
the Treasurer shall transfer from the  | 
Build Illinois Purposes Account in
the Build Illinois Fund to  | 
the Build Illinois Purposes Fund 1/12th (or in
the case of  | 
fiscal year 1986 1/9) of the amounts specified below for the
 | 
following fiscal years:
 | 
|
 Fiscal Year | 
Amount | 
 
|
 1986 | 
$35,000,000 | 
 
|
 1987 | 
$45,000,000 | 
 
|
 1988 | 
$50,000,000 | 
 
|
 1989 | 
$55,000,000 | 
 
|
 1990 | 
$55,000,000 | 
 
|
 1991 | 
$50,000,000 | 
 
|
 1992 | 
$16,200,000 | 
 
|
 1993 | 
$16,200,000, | 
 
  | 
plus any cumulative deficiency in those transfers for prior  | 
 | 
months.
 | 
 As soon as may be practicable after the first day of each  | 
month
beginning after July 1, 1984, the Comptroller shall  | 
order transferred and
the Treasurer shall transfer from the  | 
Park and Conservation Fund Account in
the Build Illinois Fund  | 
to the Park and Conservation Fund 1/12 of
$10,000,000, plus  | 
any cumulative deficiency in those transfers for
prior months,  | 
for conservation and park purposes as enumerated in Section
 | 
805-420 of the Department of Natural Resources (Conservation)
 | 
Law (20 ILCS 805/805-420), and to
pay
the debt
service  | 
requirements on all outstanding bonds of an issue in the  | 
aggregate
amount of not more than $40,000,000 issued after  | 
January 1, 1985, by the
State of Illinois for the purposes  | 
specified in Section 3(c) of the Capital
Development Bond Act  | 
of 1972, or for the same purposes as specified in any
other  | 
State general obligation bond Act enacted after November 1,  | 
1984.
Transfers from the Park and Conservation Fund to the  | 
Capital Development
Bond Retirement and Interest Fund to pay  | 
those debt service requirements
shall be made in accordance  | 
with Section 8.25b of this Act.
 | 
 All funds remaining in the Build Illinois Fund on the last  | 
day of any month
and not credited to any account in that Fund  | 
shall be transferred by the
State Treasurer to the General  | 
Revenue Fund.
 | 
 (B) For the purpose of this Section, "cumulative  | 
deficiency" shall
include all deficiencies in those transfers  | 
 | 
that have occurred since July
1, 1984, as specified in  | 
subsection (A) of this Section.
 | 
 (C) In addition to any other permitted use of moneys in the  | 
Fund, and
notwithstanding any restriction on the use of the  | 
Fund, moneys in the
Park and Conservation Fund may be  | 
transferred to the General Revenue Fund
as authorized by  | 
Public Act 87-14. The General Assembly finds that an
excess of  | 
moneys existed in the Fund on July 30, 1991, and the Governor's
 | 
order of July 30, 1991, requesting the Comptroller and  | 
Treasurer to
transfer an amount from the Fund to the General  | 
Revenue Fund is hereby
validated.
 | 
 (D) (Blank).
 | 
(Source: P.A. 90-26, eff. 7-1-97; 90-372, eff. 7-1-98; 90-655,  | 
eff.
7-30-98; 91-239, eff. 1-1-00.)
 | 
 (30 ILCS 105/8.27) (from Ch. 127, par. 144.27)
 | 
 Sec. 8.27. All receipts from federal financial  | 
participation in the
Foster Care and Adoption Services program  | 
under Title IV-E of the federal
Social Security Act, including  | 
receipts
for related indirect costs,
shall be deposited in the  | 
DCFS Children's Services Fund.
 | 
 Beginning on July 20, 2010 (the effective date of Public  | 
Act 96-1127) this amendatory Act of the 96th General Assembly,  | 
any funds paid to the State by the federal government under  | 
Title XIX and Title XXI of the Social Security Act for child  | 
welfare services delivered by community mental health  | 
 | 
providers, certified and paid as Medicaid providers by the  | 
Department of Children and Family Services, for child welfare  | 
services relating to Medicaid-eligible clients and families  | 
served consistent with the purposes of the Department of
 | 
Children and Family Services, including services delivered as  | 
a result of the conversion of such providers from a  | 
comprehensive rate to a fee-for-service payment methodology,  | 
and any subsequent revenue maximization initiatives performed  | 
by such providers, and any interest earned thereon, shall be  | 
deposited directly into the DCFS Children's Services Fund.  | 
Such funds shall be used for the provision of child welfare  | 
services provided to eligible individuals identified by the  | 
Department of Children and Family Services. Child welfare  | 
services are defined in Section 5 of the Children and Family  | 
Services Act (20 ILCS 505/5).  | 
 Eighty percent of the federal funds received by the  | 
Illinois Department
of Human Services under the Title IV-A  | 
Emergency Assistance program as
reimbursement for expenditures  | 
made from the Illinois Department of Children
and Family  | 
Services appropriations for the costs of services in behalf of
 | 
Department of Children and Family Services clients shall be  | 
deposited into
the DCFS Children's Services Fund.
 | 
 All receipts from federal financial participation in the  | 
Child Welfare
Services program under Title IV-B of the federal  | 
Social Security Act,
including receipts for related indirect  | 
costs, shall be deposited into the
DCFS Children's Services  | 
 | 
Fund for those moneys received as reimbursement for
services  | 
provided on or after July 1, 1994.
 | 
 In addition, as soon as may be practicable after the first  | 
day of November,
1994, the Department of Children and Family  | 
Services shall request the
Comptroller to order transferred  | 
and the Treasurer shall transfer the
unexpended balance of the  | 
Child Welfare Services Fund to the DCFS Children's
Services  | 
Fund. Upon completion of the transfer, the Child Welfare  | 
Services
Fund will be considered dissolved and any outstanding  | 
obligations or
liabilities of that fund will pass to the DCFS  | 
Children's Services Fund.
 | 
 For services provided on or after July 1, 2007, all  | 
federal funds received pursuant to the John H. Chafee Foster  | 
Care Independence Program shall be deposited into the DCFS  | 
Children's Services Fund.  | 
 Except as otherwise provided in this Section, moneys in  | 
the Fund may be used by the Department, pursuant to
 | 
appropriation by the General Assembly, for the ordinary and  | 
contingent
expenses of the Department.
 | 
 In fiscal year 1988 and in each fiscal year thereafter  | 
through fiscal
year 2000, the Comptroller
shall order  | 
transferred and the Treasurer shall transfer an amount of
 | 
$16,100,000 from the DCFS Children's Services Fund to the  | 
General Revenue
Fund in the following manner: As soon as may be  | 
practicable after the 15th
day of September, December, March  | 
and June, the Comptroller shall order
transferred and the  | 
 | 
Treasurer shall transfer, to the extent that funds are
 | 
available, 1/4 of $16,100,000, plus any cumulative  | 
deficiencies in such
transfers for prior transfer dates during  | 
such fiscal year. In no event
shall any such transfer reduce  | 
the available balance in the DCFS Children's
Services Fund  | 
below $350,000.
 | 
 In accordance with subsection (q) of Section 5 of the  | 
Children and Family
Services Act, disbursements from  | 
individual children's accounts shall be
deposited into the  | 
DCFS Children's Services Fund.
 | 
 Receipts from public and unsolicited private grants, fees  | 
for training, and royalties earned from the publication of  | 
materials owned by or licensed to the Department of Children  | 
and Family Services shall be deposited into the DCFS  | 
Children's Services Fund. | 
 As soon as may be practical after September 1, 2005, upon  | 
the request of the Department of Children and Family Services,  | 
the Comptroller shall order transferred and the Treasurer  | 
shall transfer the unexpended balance of the Department of  | 
Children and Family Services Training Fund into the DCFS  | 
Children's Services Fund. Upon completion of the transfer, the  | 
Department of Children and Family Services Training Fund is  | 
dissolved and any outstanding obligations or liabilities of  | 
that Fund pass to the DCFS Children's Services Fund.
 | 
(Source: P.A. 95-707, eff. 1-11-08; 96-1127, eff. 7-20-10.)
 | 
 | 
 (30 ILCS 105/8.33) (from Ch. 127, par. 144.33)
 | 
 Sec. 8.33. Expenses incident to leasing or use of State  | 
facilities.
(a) All expenses incident to the leasing or use of
 | 
the State facilities listed in Section 405-315 of the
 | 
Department
of Central Management Services Law (20 ILCS  | 
405/405-315) for lease or use terms not exceeding
30 days in  | 
length shall be payable from the Facilities Management Special  | 
Events Revolving Fund. Such expenses Expenses incident to the  | 
lease or use of the State facilities listed in
Section 405-315  | 
of the Department of Central Management
Services
Law (20 ILCS  | 
405/405-315) shall
include expenditures for additional  | 
commodities, equipment, furniture,
improvements, personal  | 
services or other expenses required by the
Department of  | 
Central Management Services to make such facilities available
 | 
to the public and State employees.
 | 
 (b) The Special Events Revolving Fund shall cease to exist  | 
on October 1, 2005. Any balance in the Fund as of that date  | 
shall be transferred to the Facilities Management Revolving  | 
Fund. Any moneys that otherwise would be paid into the Fund on  | 
or after that date shall be deposited into the Facilities  | 
Management Revolving Fund. Any disbursements on or after that  | 
date that otherwise would be made from the Fund shall be made  | 
from the Facilities Management Revolving Fund.
 | 
(Source: P.A. 94-91, eff. 7-1-05.)
 | 
 (30 ILCS 105/8f)
 | 
 | 
 Sec. 8f. Public Pension Regulation Fund. The Public  | 
Pension Regulation
Fund is created as a special fund in the  | 
State Treasury. Except as otherwise provided in the
Illinois  | 
Pension Code, all money received by the Department of  | 
Financial and Professional Regulation, as successor to the  | 
Illinois Department of
Insurance, under the Illinois Pension  | 
Code shall be paid into the Fund. The
State Treasurer promptly  | 
shall invest the money in the Fund, and all earnings
that  | 
accrue on the money in the Fund shall be credited to the Fund.  | 
No money
may be transferred from this Fund to any other fund.  | 
The General Assembly may
make appropriations from this Fund  | 
for the ordinary and contingent expenses of
the Public Pension  | 
Division of the Illinois Department of Insurance.
 | 
(Source: P.A. 94-91, eff. 7-1-05; 95-950, eff. 8-29-08.)
 | 
 Section 20-25. The Build Illinois Bond Act is amended by  | 
changing Section 2 as follows:
 | 
 (30 ILCS 425/2) (from Ch. 127, par. 2802)
 | 
 Sec. 2. Authorization for Bonds. The State of Illinois is
 | 
authorized to issue, sell and provide for the retirement of  | 
limited
obligation bonds, notes and other evidences of  | 
indebtedness of the State of
Illinois in the total principal  | 
amount of $9,484,681,100
herein called "Bonds". Such  | 
authorized amount of Bonds shall
be reduced from time to time  | 
by amounts, if any, which are equal to the
moneys received by  | 
 | 
the Department of Revenue in any fiscal year pursuant to
 | 
Section 3-1001 of the "Illinois Vehicle Code", as amended, in  | 
excess of the
Annual Specified Amount (as defined in Section 3  | 
of the "Retailers'
Occupation Tax Act", as amended) and  | 
transferred at the end of such fiscal
year from the General  | 
Revenue Fund to the Build Illinois Purposes Fund (now  | 
abolished) as
provided in Section 3-1001 of said Code;  | 
provided, however, that no such
reduction shall affect the  | 
validity or enforceability of any Bonds issued
prior to such  | 
reduction. Such amount of authorized Bonds
shall be exclusive  | 
of any refunding Bonds issued pursuant to Section 15 of
this  | 
Act and exclusive of any Bonds issued pursuant to this Section  | 
which
are redeemed, purchased, advance refunded, or defeased  | 
in accordance with
paragraph (f) of Section 4 of this Act.  | 
Bonds shall be issued for the
categories and specific purposes  | 
expressed in Section 4 of this Act.
 | 
(Source: P.A. 101-30, eff. 6-28-19.)
 | 
 Section 20-30. The Build Illinois Act is amended by  | 
changing Sections 9-4.2, 9-5.2, and 23-1 as follows:
 | 
 (30 ILCS 750/9-4.2) (from Ch. 127, par. 2709-4.2)
 | 
 Sec. 9-4.2. Illinois Capital Revolving Loan Fund. 
 | 
 (a) There is hereby created the Illinois Capital
Revolving  | 
Loan Fund, hereafter referred to in this Article as the
 | 
"Capital Fund" to be held as a separate fund within the State
 | 
 | 
Treasury.
 | 
 The purpose of the Capital Fund is to finance intermediary  | 
agreements,
administration, technical assistance agreements,
 | 
loans, grants, or investments in Illinois. In addition, funds  | 
may be
used
for a one time transfer in fiscal year 1994, not to  | 
exceed the amounts
appropriated, to the Public Infrastructure  | 
Construction Loan Revolving Fund for
grants and loans pursuant  | 
to the Public Infrastructure Loan and Grant Program
Act.  | 
Investments, administration,
grants, and financial aid shall  | 
be used for the purposes set for in this
Article. Loan  | 
financing will be in the
form of
loan agreements pursuant to  | 
the terms and conditions set
forth in this Article. All loans  | 
shall be conditioned on the
project receiving financing from  | 
participating lenders or other investors.
Loan
proceeds shall  | 
be available for project costs, except for
debt refinancing.
 | 
 (b) There shall be deposited in the Capital Fund
such  | 
amounts, including but not limited to:
 | 
  (i) All receipts, including dividends, principal and  | 
 interest
payments and royalties, from any applicable loan,  | 
 intermediary, or technical
assistance agreement
made from  | 
 the Capital Fund or from direct appropriations from the  | 
 Build
Illinois Bond Fund or the Build Illinois Purposes  | 
 Fund (now abolished) or the General Revenue Fund by
the  | 
 General Assembly entered into by the Department;
 | 
  (ii) All proceeds of assets of whatever nature
 | 
 received by the Department as a result of default or  | 
 | 
 delinquency
with respect to loan agreements made from the  | 
 Capital
Fund or from direct appropriations by the General  | 
 Assembly,
including proceeds from the sale, disposal,  | 
 lease or rental
of real or personal property which the  | 
 Department may receive
as a result thereof;
 | 
  (iii) Any appropriations, grants or gifts made to
the  | 
 Capital Fund;
 | 
  (iv) Any income received from interest on investments
 | 
 of moneys in the Capital Fund;
 | 
  (v) All moneys resulting from the collection of  | 
 premiums, fees, charges,
costs, and expenses in connection  | 
 with the Capital Fund as described in subsection (e) of  | 
 Section 9-3.
 | 
 (c) The Treasurer may invest moneys in the Capital
Fund in  | 
securities constituting obligations of the United
States  | 
Government, or in obligations the principal of and
interest on  | 
which are guaranteed by the United States Government,
in  | 
obligations the principal of and interest on which
are  | 
guaranteed by the United States Government, or in certificates
 | 
of deposit of any State or national bank which are
fully  | 
secured by obligations guaranteed as to principal and
interest  | 
by the United States Government.
 | 
(Source: P.A. 100-377, eff. 8-25-17.)
 | 
 (30 ILCS 750/9-5.2) (from Ch. 127, par. 2709-5.2)
 | 
 Sec. 9-5.2. Illinois Equity
Fund. | 
 | 
 (a) There is created the Illinois Equity
Fund, to be held  | 
as a separate fund within the State Treasury.
The purpose of  | 
the Illinois Equity Fund is to make equity investments in
 | 
Illinois. All financing will be done in conjunction with
 | 
participating lenders or other investors. Investment proceeds
 | 
may be directed to working capital expenses associated with
 | 
the introduction of new technical products or services of  | 
individual business
projects or may be used for equity finance  | 
pools operated by intermediaries.
 | 
 (b) There shall be deposited in the Illinois Equity Fund
 | 
such amounts, including but not limited to:
 | 
  (i) All receipts including dividends, principal and  | 
 interest
payments, royalties, or other return on  | 
 investment from any
applicable loan made from the Illinois  | 
 Equity Fund, from direct
appropriations by the General  | 
 Assembly from the Build Illinois
Fund or the Build  | 
 Illinois Purposes Fund (now abolished), or from  | 
 intermediary agreements
made from
the Illinois Equity Fund  | 
 entered into by the
Department;
 | 
  (ii) All proceeds of assets of whatever nature
 | 
 received by the Department as a result of default or  | 
 delinquency
with respect to loan agreements made from the  | 
 Illinois Equity
Fund, or from direct appropriations by the  | 
 General Assembly
including proceeds from the sale,  | 
 disposal, lease or rental
of real or personal property  | 
 which the Department may receive
as a result thereof;
 | 
 | 
  (iii) any appropriations, grants or gifts made to
the  | 
 Illinois Equity Fund;
 | 
  (iv) any income received from interest on investments
 | 
 of moneys in the Illinois Equity Fund.
 | 
 (c) The Treasurer may invest moneys in the Illinois Equity
 | 
Fund in securities constituting direct obligations of the
 | 
United States Government, or in obligations the principal of
 | 
and interest on which are guaranteed by the United States
 | 
Government, or in certificates of deposit of any State or
 | 
national bank which are fully secured by obligations  | 
guaranteed
as to principal and interest by the United States  | 
Government.
 | 
(Source: P.A. 99-933, eff. 1-27-17.)
 | 
 (30 ILCS 750/23-1) (from Ch. 127, par. 2723-1)
 | 
 Sec. 23-1. 
Wages of laborers, mechanics and other workers  | 
employed on
all "public works" projects undertaken pursuant to  | 
contracts financed with
appropriations from the Build Illinois  | 
Bond Fund or the Build Illinois
Purposes Fund shall be subject  | 
to the provisions of
the Prevailing Wage Act.
 | 
(Source: P.A. 86-1475.)
 | 
 Section 20-35. The Police and Community Relations  | 
Improvement Act is amended by changing Section 1-10 as  | 
follows:
 | 
 | 
 (50 ILCS 727/1-10)
 | 
 Sec. 1-10. Investigation of officer-involved deaths;  | 
requirements.
 | 
 (a) Each law enforcement agency shall have a written  | 
policy regarding the investigation of officer-involved deaths  | 
that involve a law enforcement officer employed by that law  | 
enforcement agency. | 
 (b) Each officer-involved death investigation shall be  | 
conducted by at least 2 investigators, or an entity or agency  | 
comprised of at least 2 investigators, one of whom is the lead  | 
investigator. The lead investigator shall be a person  | 
certified by the Illinois Law Enforcement Training Standards  | 
Board as a Lead Homicide Investigator, or similar training  | 
approved by the Illinois Law Enforcement Training Standards  | 
Board or the Illinois State Police, or similar training  | 
provided at an Illinois Law Enforcement Training Standards  | 
Board certified school. No
investigator involved in the  | 
investigation may be employed by the law enforcement agency  | 
that employs the officer involved in the officer-involved  | 
death, unless the investigator is employed by the Illinois  | 
State Police and is not assigned to the same division or unit  | 
as the officer involved in the death. | 
 (c) In addition to the requirements of subsection (b) of  | 
this Section, if the officer-involved death being investigated  | 
involves a motor vehicle accident, at least one investigator  | 
shall be certified by the Illinois Law Enforcement Training  | 
 | 
Standards Board as a Crash Reconstruction Specialist, or  | 
similar training approved by the Illinois Law Enforcement  | 
Training Standards Board or the Illinois State Police, or  | 
similar training provided at an Illinois Law Enforcement  | 
Training Standards Board certified school. Notwithstanding the  | 
requirements of subsection (b) of this Section, the policy for  | 
a law enforcement agency, when the officer-involved death  | 
being investigated involves a motor vehicle collision, may  | 
allow the use of an investigator who is employed by that law  | 
enforcement agency and who is certified by the Illinois Law  | 
Enforcement Training Standards Board as a Crash Reconstruction  | 
Specialist, or similar training approved by the Illinois Law  | 
Enforcement Training and Standards Board, or similar certified  | 
training approved by the Illinois State Police, or similar  | 
training provided at an Illinois Law Enforcement Training and  | 
Standards Board certified school. | 
 (d) The investigators conducting the investigation shall,  | 
in an expeditious manner, provide a complete report to the  | 
State's Attorney of the county in which the officer-involved  | 
death occurred. | 
 (e) If the State's Attorney, or a designated special  | 
prosecutor, determines there is no basis to prosecute the law  | 
enforcement officer involved in the officer-involved death, or  | 
if the law enforcement officer is not otherwise charged or  | 
indicted, the investigators shall publicly release a report.
 | 
(Source: P.A. 102-538, eff. 8-20-21.)
 | 
 | 
 Section 20-40. The Fair and Exposition Authority  | 
Reconstruction Act is amended by changing Section 8 as  | 
follows:
 | 
 (70 ILCS 215/8) (from Ch. 85, par. 1250.8)
 | 
 Sec. 8. Appropriations may be made
from time to time by the  | 
General Assembly to the Metropolitan Pier and
Exposition  | 
Authority for the payment of principal and interest of bonds  | 
of
the Authority issued under the provisions of this Act and  | 
for any other
lawful purpose of the Authority. Any and all of  | 
the funds so received shall
be kept separate and apart from any  | 
and all other funds of the Authority.
After there has been paid  | 
into the Metropolitan Fair and Exposition
Authority  | 
Reconstruction Fund in the State Treasury sufficient money,
 | 
pursuant to this Section and Sections 2 and 29 of the Cigarette  | 
Tax Act, to
retire all bonds payable from that Fund, the taxes  | 
derived from Section 28
of the Illinois Horse Racing Act of  | 
1975 which were required to be paid
into that Fund pursuant to  | 
that Act shall thereafter be paid into the
General Revenue  | 
Fund in the
State Treasury.
 | 
(Source: P.A. 102-16, eff. 6-17-21.)
 | 
 Section 20-45. The Higher Education Student Assistance Act  | 
is amended by changing Section 52 as follows:
 | 
 | 
 (110 ILCS 947/52)
 | 
 Sec. 52. Golden Apple Scholars of Illinois Program; Golden  | 
Apple Foundation for Excellence in Teaching. 
 | 
 (a) In this Section, "Foundation" means the Golden Apple  | 
Foundation for Excellence in Teaching, a registered 501(c)(3)  | 
not-for-profit corporation.  | 
 (a-2) In order to encourage academically talented Illinois  | 
students,
especially minority students, to pursue teaching  | 
careers, especially in
teacher shortage
disciplines
(which  | 
shall be defined to include early childhood education) or at
 | 
hard-to-staff schools (as defined by the Commission in  | 
consultation with the
State Board of Education), to provide  | 
those students with the crucial mentoring, guidance, and  | 
in-service support that will significantly increase the  | 
likelihood that they will complete their full teaching  | 
commitments and elect to continue teaching in targeted  | 
disciplines and hard-to-staff schools, and to ensure that  | 
students in this State will continue to have access to a pool  | 
of highly-qualified teachers, each qualified student shall be  | 
awarded a Golden Apple Scholars of Illinois Program  | 
scholarship to any Illinois institution of higher learning.  | 
The Commission shall administer the Golden Apple Scholars of  | 
Illinois Program, which shall be managed by the Foundation  | 
pursuant to the terms of a grant agreement meeting the  | 
requirements of Section 4 of the Illinois Grant Funds Recovery  | 
Act. | 
 | 
 (a-3) For purposes of this Section, a qualified student  | 
shall be a student who meets the following qualifications: | 
  (1) is a resident of this State and a citizen or  | 
 eligible noncitizen of the United States; | 
  (2) is a high school graduate or a person who has  | 
 received a high school equivalency certificate; | 
  (3) is enrolled or accepted, on at least a half-time  | 
 basis, at an institution of higher learning; | 
  (4) is pursuing a postsecondary course of study  | 
 leading to initial certification or pursuing additional  | 
 course work needed to gain State Board of Education  | 
 approval to teach, including alternative teacher  | 
 licensure; and | 
  (5) is a participant in programs managed by and is  | 
 approved to receive a scholarship from the Foundation. | 
 (a-5) (Blank).
 | 
 (b) (Blank).
 | 
 (b-5) Funds designated for the Golden Apple Scholars of  | 
Illinois Program shall be used by the Commission for the  | 
payment of scholarship assistance under this Section or for  | 
the award of grant funds, subject to the Illinois Grant Funds  | 
Recovery Act, to the Foundation. Subject to appropriation,  | 
awards of grant funds to the Foundation shall be made on an  | 
annual basis and following an application for grant funds by  | 
the Foundation. | 
 (b-10) Each year, the Foundation shall include in its  | 
 | 
application to the Commission for grant funds an estimate of  | 
the amount of scholarship assistance to be provided to  | 
qualified students during the grant period. Any amount of  | 
appropriated funds exceeding the estimated amount of  | 
scholarship assistance may be awarded by the Commission to the  | 
Foundation for management expenses expected to be incurred by  | 
the Foundation in providing the mentoring, guidance, and  | 
in-service supports that will increase the likelihood that  | 
qualified students will complete their teaching commitments  | 
and elect to continue teaching in hard-to-staff schools. If  | 
the estimate of the amount of scholarship assistance described  | 
in the Foundation's application is less than the actual amount  | 
required for the award of scholarship assistance to qualified  | 
students, the Foundation shall be responsible for using  | 
awarded grant funds to ensure all qualified students receive  | 
scholarship assistance under this Section. | 
 (b-15) All grant funds not expended or legally obligated  | 
within the time specified in a grant agreement between the  | 
Foundation and the Commission shall be returned to the  | 
Commission within 45 days. Any funds legally obligated by the  | 
end of a grant agreement shall be liquidated within 45 days or  | 
otherwise returned to the Commission within 90 days after the  | 
end of the grant agreement that resulted in the award of grant  | 
funds.  | 
 (c) Each scholarship awarded under this Section shall be  | 
in an amount
sufficient to pay the tuition and fees and room  | 
 | 
and board costs of the Illinois
institution of higher learning  | 
at which the recipient is enrolled, up to
an annual maximum of  | 
$5,000; except that in the case of a
recipient who
does not
 | 
reside
on-campus at the institution of higher learning at  | 
which he or she is enrolled,
the amount of the scholarship  | 
shall be sufficient to pay tuition and fee
expenses and a  | 
commuter allowance, up to an annual maximum of $5,000. All  | 
scholarship funds distributed in accordance with this Section  | 
shall be paid to the institution on behalf of recipients.
 | 
 (d) The total amount of scholarship assistance awarded by  | 
the Commission
under this Section to an individual in any  | 
given fiscal year, when added to
other financial assistance  | 
awarded to that individual for that year, shall not
exceed the  | 
cost of attendance at the institution of higher learning at  | 
which
the student is enrolled. In any academic year for which a  | 
qualified student under this Section accepts financial  | 
assistance through any other teacher scholarship program  | 
administered by the Commission, a qualified student shall not  | 
be eligible for scholarship assistance awarded under this  | 
Section. 
 | 
 (e) A recipient may receive up to 8 semesters or 12
 | 
quarters of scholarship
assistance under this Section.  | 
Scholarship funds are applicable toward 2 semesters or 3  | 
quarters of enrollment each academic year. 
 | 
 (f) All applications for scholarship assistance to be  | 
awarded under this
Section shall be made to the Foundation in a  | 
 | 
form determined by the Foundation. Each year, the Foundation  | 
shall notify the Commission of the individuals awarded  | 
scholarship assistance under this Section. Each year, at least  | 
30% of the Golden Apple Scholars of Illinois Program  | 
scholarships shall be awarded to students residing in counties  | 
having a population of less than 500,000.
 | 
 (g) (Blank).
 | 
 (h) The Commission shall administer the payment of
 | 
scholarship assistance provided through the Golden Apple  | 
Scholars of Illinois Program and shall make all necessary
and
 | 
proper rules not inconsistent with this Section for the  | 
effective
implementation of this Section.
 | 
 (i) Prior to receiving scholarship assistance for any  | 
academic year, each
recipient of a scholarship awarded under  | 
this
Section shall be required by the Foundation to sign an  | 
agreement under which
the
recipient pledges that, within the  | 
2-year period following the
termination
of the academic  | 
program for which the recipient was awarded a scholarship, the
 | 
recipient: (i) shall begin teaching for a period of not
less  | 
than 5 years, (ii) shall fulfill this teaching obligation at a  | 
nonprofit
Illinois public,
private, or parochial
preschool or  | 
an Illinois public elementary or secondary school that  | 
qualifies for teacher loan cancellation under Section  | 
465(a)(2)(A) of the federal Higher Education Act of 1965 (20  | 
U.S.C. 1087ee(a)(2)(A)) or other Illinois schools deemed  | 
eligible for fulfilling the teaching commitment as designated  | 
 | 
by the Foundation, and (iii)
shall, upon request of
the  | 
Foundation, provide the Foundation with evidence that he or  | 
she is fulfilling
or has fulfilled the terms of the teaching  | 
agreement provided for in this
subsection. Upon request, the  | 
Foundation shall provide evidence of teacher fulfillment to  | 
the Commission. 
 | 
 (j) If a recipient of a scholarship awarded under this  | 
Section fails to
fulfill the teaching obligation set forth in  | 
subsection (i) of this Section,
the Commission shall require  | 
the recipient to repay the amount of the
scholarships  | 
received, prorated according to the fraction of the teaching
 | 
obligation not completed, plus interest at a rate of 5% and if  | 
applicable, reasonable
collection fees.
Payments received by  | 
the Commission under this subsection (j)
shall be remitted to  | 
the State Comptroller for deposit into
the General Revenue  | 
Fund, except that that portion of a
recipient's repayment that  | 
equals the amount in expenses that
the Commission has  | 
reasonably incurred in attempting
collection from that  | 
recipient shall be remitted to the State
Comptroller for  | 
deposit into the ISAC Commission's Accounts
Receivable Fund, a  | 
special fund in the State treasury.  | 
 (k) A recipient of a scholarship awarded by the Foundation  | 
under this
Section shall not be considered to have failed to  | 
fulfill the teaching obligations of the agreement entered into  | 
pursuant to
subsection (i) if the recipient (i) enrolls on a  | 
full-time basis as a graduate
student in a course of study  | 
 | 
related to the field of teaching at an institution
of higher  | 
learning; (ii) is serving as a member of the armed services of  | 
the
United States; (iii) is a person with a temporary total  | 
disability, as established by sworn
affidavit of a qualified  | 
physician; (iv) is seeking and unable to find
full-time  | 
employment as a teacher at a school that satisfies the  | 
criteria set
forth
in subsection (i) and is able to provide  | 
evidence of that fact; (v) is taking additional courses, on at  | 
least a half-time basis, needed to obtain certification as a  | 
teacher in Illinois; (vi) is fulfilling teaching requirements  | 
associated with other programs administered by the Commission  | 
and cannot concurrently fulfill them under this Section in a  | 
period of time equal to the length of the teaching obligation;  | 
or (vii) is participating in a program established under  | 
Executive Order 10924 of the President of the United States or  | 
the federal National Community Service Act of 1990 (42 U.S.C.  | 
12501 et seq.). Any such
extension of the period during which  | 
the teaching requirement must be fulfilled
shall be subject to  | 
limitations of duration as established by the Commission.
 | 
 (l) A recipient who fails to fulfill the teaching  | 
obligations of the agreement entered into pursuant to  | 
subsection (i) of this Section shall repay the amount of  | 
scholarship assistance awarded to them under this Section  | 
within 10 years. | 
 (m) Annually, at a time determined by the Commission in  | 
consultation with the Foundation, the Foundation shall submit  | 
 | 
a report to assist the Commission in monitoring the  | 
Foundation's performance of grant activities. The report shall  | 
describe the following: | 
  (1) the Foundation's anticipated expenditures for the  | 
 next fiscal year; | 
  (2) the number of qualified students receiving  | 
 scholarship assistance at each institution of higher  | 
 learning where a qualified student was enrolled under this  | 
 Section during the previous fiscal year; | 
  (3) the total monetary value of scholarship funds paid  | 
 to each institution of higher learning at which a  | 
 qualified student was enrolled during the previous fiscal  | 
 year; | 
  (4) the number of scholarship recipients who completed  | 
 a baccalaureate degree during the previous fiscal year; | 
  (5) the number of scholarship recipients who fulfilled  | 
 their teaching obligation during the previous fiscal year; | 
  (6) the number of scholarship recipients who failed to  | 
 fulfill their teaching obligation during the previous  | 
 fiscal year; | 
  (7) the number of scholarship recipients granted an  | 
 extension described in subsection (k) of this Section  | 
 during the previous fiscal year; | 
  (8) the number of scholarship recipients required to  | 
 repay scholarship assistance in accordance with subsection  | 
 (j) of this Section during the previous fiscal year; | 
 | 
  (9) the number of scholarship recipients who  | 
 successfully repaid scholarship assistance in full during  | 
 the previous fiscal year; | 
  (10) the number of scholarship recipients who  | 
 defaulted on their obligation to repay scholarship  | 
 assistance during the previous fiscal year; | 
  (11) the amount of scholarship assistance subject to  | 
 collection in accordance with subsection (j) of this  | 
 Section at the end of the previous fiscal year; | 
  (12) the amount of collected funds to be remitted to  | 
 the Comptroller in accordance with subsection (j) of this  | 
 Section at the end of the previous fiscal year; and | 
  (13) other information that the Commission may  | 
 reasonably request.  | 
 (n) Nothing in this Section shall affect the rights of the  | 
Commission to collect moneys owed to it by recipients of  | 
scholarship assistance through the Illinois Future Teacher  | 
Corps Program, repealed by Public Act 98-533 this amendatory  | 
Act of the 98th General Assembly. | 
 (o) The Auditor General shall prepare an annual audit of  | 
the operations and finances of the Golden Apple Scholars of  | 
Illinois Program. This audit shall be provided to the  | 
Governor, General Assembly, and the Commission. | 
 (p) The suspension of grant making authority found in  | 
Section 4.2 of the Illinois Grant Funds Recovery Act shall not  | 
apply to grants made pursuant to this Section.  | 
 | 
(Source: P.A. 98-533, eff. 8-23-13; 98-718, eff. 1-1-15;  | 
99-143, eff. 7-27-15.)
 | 
 Section 20-50. The Nurse Educator Assistance Act is  | 
amended by changing Section 15-30 as follows:
 | 
 (110 ILCS 967/15-30)
 | 
 Sec. 15-30. Repayment upon default; exception.
 | 
 (a) If a recipient of a scholarship awarded under this  | 
Section fails to fulfill the work agreement required under the  | 
program, the Commission shall require the recipient to repay  | 
the amount of the scholarship or scholarships received,  | 
prorated according to the fraction of the work agreement not  | 
completed, plus interest at a rate of 5% and, if applicable,  | 
reasonable collection fees.
 | 
 (b) Payments received by the Commission under this Section  | 
shall be remitted to the State Comptroller for deposit into  | 
the General Revenue Fund, except that that portion of a  | 
recipient's repayment that equals the amount in expenses that  | 
the Commission has reasonably incurred in attempting  | 
collection from that recipient shall be remitted to the State  | 
Comptroller for deposit into the ISAC Commission's Accounts  | 
Receivable Fund.
 | 
 (c) A recipient of a scholarship awarded by the Commission  | 
under the program shall not be in violation of the agreement  | 
entered into pursuant to this Article if the recipient is (i)  | 
 | 
serving as a member of the armed services of the United States,  | 
(ii) a person with a temporary total disability, as  | 
established by a sworn affidavit of a qualified physician,  | 
(iii) seeking and unable to find full-time employment as a  | 
nursing educator and is able to provide evidence of that fact,  | 
or (iv) taking additional courses, on at least a half-time  | 
basis, related to nursing education. Any extension of the  | 
period during which the work requirement must be fulfilled  | 
shall be subject to limitations of duration established by the  | 
Commission.
 | 
(Source: P.A. 99-143, eff. 7-27-15.)
 | 
 Section 20-55. The Solid Waste Site Operator Certification  | 
Law is amended by changing Section 1011 as follows:
 | 
 (225 ILCS 230/1011) (from Ch. 111, par. 7861)
 | 
 Sec. 1011. Fees. 
 | 
 (a) Fees for the issuance or renewal of a Solid
Waste Site  | 
Operator Certificate shall be as follows:
 | 
  (1)(A) $400 for issuance or renewal for Class A Solid  | 
 Waste Site
Operators; (B) $200 for issuance or renewal for  | 
 Class B Solid Waste Site
Operators; and (C) $100 for  | 
 issuance or renewal for special waste endorsements.
 | 
  (2) If the fee for renewal is not paid within the grace  | 
 period the
above fees for renewal shall each be increased  | 
 by $50.
 | 
 | 
 (b) All Before the effective date of this amendatory Act  | 
of the 98th General Assembly, all fees collected by the Agency  | 
under this Section shall be
deposited into the Hazardous Waste  | 
Occupational Licensing Fund. The Agency
is authorized to use  | 
monies in the Hazardous Waste Occupational Licensing Fund to  | 
perform its functions, powers,
and duties under this Section.  | 
On and after the effective date of this amendatory Act of the  | 
98th General Assembly, all fees collected by the Agency under  | 
this Section shall be deposited into the Environmental  | 
Protection Permit and Inspection Fund to be used in accordance  | 
with the provisions of subsection (a) of Section 22.8 of the  | 
Environmental Protection Act.  | 
(Source: P.A. 98-692, eff. 7-1-14; 98-822, eff. 8-1-14.)
 | 
 Section 20-60. The Illinois Public Aid Code is amended by  | 
changing Section 12-10.7 as follows:
 | 
 (305 ILCS 5/12-10.7)
 | 
 Sec. 12-10.7. The Health and Human Services Medicaid Trust  | 
Fund. (a) The Health and Human Services Medicaid Trust Fund  | 
shall consist of (i) moneys appropriated or transferred into  | 
the Fund, pursuant to statute, (ii) federal financial  | 
participation moneys received pursuant to expenditures from  | 
the Fund, and (iii) the interest earned on moneys in the Fund.  | 
(b) Subject to appropriation, the moneys in the Fund shall be  | 
used by a State agency for such purposes as that agency may, by  | 
 | 
the appropriation language, be directed.
 | 
 (c) In addition to any other transfers that may be  | 
provided for by law, on July 1, 2007, or as soon thereafter as  | 
practical, the State Comptroller shall direct and the State  | 
Treasurer shall transfer the sum of $3,500,000 from the Health  | 
and Human Services Medicaid Trust Fund to the Human Services  | 
Priority Capital Program Fund. 
 | 
 (d) In addition to any other transfers that may be  | 
provided for by law, on July 1, 2008, or as soon thereafter as  | 
practical, the State Comptroller shall direct and the State  | 
Treasurer shall transfer the sum of $3,500,000 from the Health  | 
and Human Services Medicaid Trust Fund to the Human Services  | 
Priority Capital Program Fund.  | 
(Source: P.A. 95-707, eff. 1-11-08; 95-744, eff. 7-18-08.)
 | 
 Section 20-65. The Energy Assistance Act is amended by  | 
changing Section 10 as follows:
 | 
 (305 ILCS 20/10) (from Ch. 111 2/3, par. 1410)
 | 
 Sec. 10. Energy Assistance Funds. 
 | 
 (a) The AFDC Energy Assistance Fund is hereby created as a  | 
special fund
in the State Treasury.
 | 
 The AFDC Energy Assistance Fund is authorized to receive  | 
whether by
appropriation, transfer, statutory deposit or fund  | 
transfer, all amounts
appropriated from State funds to the  | 
Department of Human Services (acting as
successor to the  | 
 | 
Illinois Department of Public Aid
under the Department of  | 
Human Services Act) specifically for energy
assistance  | 
payments for persons and families
receiving assistance  | 
pursuant to Section 4-1 of the Illinois Public Aid
Code and  | 
subsection (c) of Section 6 of this Act, and any  | 
administrative
expense related thereto.
 | 
 (b) Subject to appropriation by the General Assembly, the  | 
Department is
authorized to expend monies from the AFDC Energy  | 
Assistance Fund for the
following purposes:
 | 
  (1) for energy assistance payments to or on behalf of  | 
 individuals or
families who receive assistance pursuant to  | 
 Section 4-1 of The Illinois
Public Aid Code in accordance  | 
 with the provisions of Section 6 of this Act; and
 | 
  (2) for the necessary and contingent expenses of the  | 
 Department
incurred in the administration of that portion  | 
 of the Act described in
paragraph (1) of this subsection.
 | 
 (c) The AFDC Energy Assistance Fund shall be inoperative  | 
after
September 30, 1991.
 | 
 (d) Subject to appropriations made by the General  | 
Assembly, the Department
is authorized to expend monies from  | 
the Low Income Home Energy Assistance Block
Grant Fund for the  | 
purpose of providing assistance pursuant to Section 6 of
this  | 
Act.
 | 
(Source: P.A. 89-507, eff. 7-1-97.)
 | 
 Section 20-70. The Environmental Protection Act is amended  | 
 | 
by changing Sections 4, 9.9, and 22.8 as follows:
 | 
 (415 ILCS 5/4) (from Ch. 111 1/2, par. 1004)
 | 
 Sec. 4. Environmental Protection Agency; establishment;  | 
duties. 
 | 
 (a) There is established in the Executive Branch of the  | 
State Government an
agency to be known as the Environmental  | 
Protection Agency. This Agency shall
be under the supervision  | 
and direction of a Director who shall be appointed by
the  | 
Governor with the advice and consent of the Senate. The term of  | 
office
of the Director shall expire on the third Monday of  | 
January in odd numbered
years, provided that he or she shall  | 
hold office until a successor is appointed
and has qualified.  | 
For terms ending before December 31, 2019, the Director shall
 | 
receive an annual salary as set by
the Compensation Review  | 
Board. For terms beginning after January 18, 2019 (the  | 
effective date of Public Act 100-1179) this amendatory Act of  | 
the 100th General Assembly, the Director's annual salary shall  | 
be an amount equal to 15% more than the Director's annual  | 
salary as of December 31, 2018. The calculation of the 2018  | 
salary base for this adjustment shall not include any cost of  | 
living adjustments, as authorized by Senate Joint Resolution  | 
192 of the 86th General Assembly, for the period beginning  | 
July 1, 2009 to June 30, 2019. Beginning July 1, 2019 and each  | 
July 1 thereafter, the Director shall receive an increase in  | 
salary based on a cost of living adjustment as authorized by  | 
 | 
Senate Joint Resolution 192 of the 86th General Assembly. The  | 
Director, in accord with the Personnel Code, shall employ and
 | 
direct such personnel, and shall provide for such laboratory  | 
and other
facilities, as may be necessary to carry out the  | 
purposes of this Act. In
addition, the Director may by  | 
agreement secure such services as he or she
may deem necessary  | 
from any other department, agency, or unit of the State
 | 
Government, and may employ and compensate such consultants and  | 
technical
assistants as may be required.
 | 
 (b) The Agency shall have the duty to collect and  | 
disseminate such
information, acquire such technical data, and  | 
conduct such experiments
as may be required to carry out the  | 
purposes of this Act, including
ascertainment of the quantity  | 
and nature of discharges from any
contaminant source and data  | 
on those sources, and to operate and arrange
for the operation  | 
of devices for the monitoring of environmental quality.
 | 
 (c) The Agency shall have authority to conduct a program  | 
of
continuing surveillance and of regular or periodic  | 
inspection of actual
or potential contaminant or noise  | 
sources, of public water supplies, and
of refuse disposal  | 
sites.
 | 
 (d) In accordance with constitutional limitations,
the  | 
Agency shall have authority to enter at all reasonable times
 | 
upon any private or public property for the purpose of:
 | 
  (1) Inspecting and investigating to ascertain possible  | 
 violations of
this Act, any rule or regulation adopted  | 
 | 
 under this Act, any permit or
term or condition of a  | 
 permit, or any Board order; or
 | 
  (2) In accordance with the provisions of this Act,  | 
 taking whatever
preventive or corrective action, including  | 
 but not limited to removal or
remedial action, that is  | 
 necessary or appropriate whenever there is a
release or a  | 
 substantial threat of a release of (A) a hazardous
 | 
 substance or pesticide or (B) petroleum from an  | 
 underground storage tank.
 | 
 (e) The Agency shall have the duty to investigate  | 
violations of this
Act, any rule or regulation adopted under  | 
this Act, any permit or
term or condition of a permit, or any  | 
Board order;
to issue administrative citations as provided in  | 
Section 31.1 of this
Act; and to take such summary enforcement  | 
action as is provided
for by Section 34 of this Act.
 | 
 (f) The Agency shall appear before the Board in any  | 
hearing upon a
petition for variance or time-limited water  | 
quality standard, the denial of a permit, or the validity or  | 
effect
of a rule or regulation of the Board, and shall have the  | 
authority to
appear before the Board in any hearing under the  | 
Act.
 | 
 (g) The Agency shall have the duty to administer, in  | 
accord with
Title X of this Act, such permit and certification  | 
systems as may be
established by this Act or by regulations  | 
adopted thereunder.
The Agency may enter into written  | 
delegation agreements with any department,
agency, or unit of  | 
 | 
State or local government under which all or portions
of this  | 
duty may be delegated for public water supply storage and  | 
transport
systems, sewage collection and transport systems,  | 
air pollution control
sources with uncontrolled emissions of  | 
100 tons per year or less and
application of algicides to  | 
waters of the State. Such delegation
agreements will require  | 
that the work to be performed thereunder will be
in accordance  | 
with Agency criteria, subject to Agency review, and shall
 | 
include such financial and program auditing by the Agency as  | 
may be required.
 | 
 (h) The Agency shall have authority to require the  | 
submission of
complete plans and specifications from any  | 
applicant for a permit
required by this Act or by regulations  | 
thereunder, and to require the
submission of such reports  | 
regarding actual or potential violations of
this Act, any rule  | 
or regulation adopted under this Act, any permit or
term or  | 
condition of a permit, or any Board order, as may be necessary  | 
for the purposes of
this Act.
 | 
 (i) The Agency shall have authority to make  | 
recommendations to the
Board for the adoption of regulations  | 
under Title VII of the Act.
 | 
 (j) The Agency shall have the duty to represent the State  | 
of
Illinois in any and all matters pertaining to plans,  | 
procedures, or
negotiations for interstate compacts or other  | 
governmental arrangements
relating to environmental  | 
protection.
 | 
 | 
 (k) The Agency shall have the authority to accept,  | 
receive, and
administer on behalf of the State any grants,  | 
gifts, loans, indirect cost
reimbursements, or other funds  | 
made available to the State from any source
for purposes of  | 
this Act or for air or water pollution control, public water
 | 
supply, solid waste disposal, noise abatement, or other  | 
environmental
protection activities, surveys, or programs. Any  | 
federal funds received by the
Agency pursuant to this  | 
subsection shall be deposited in a trust fund with the
State  | 
Treasurer and held and disbursed by him in accordance with  | 
Treasurer as
Custodian of Funds Act, provided that such monies  | 
shall be used only for the
purposes for which they are  | 
contributed and any balance remaining shall be
returned to the  | 
contributor.
 | 
 The Agency is authorized to promulgate such regulations  | 
and enter
into such contracts as it may deem necessary for  | 
carrying out the
provisions of this subsection.
 | 
 (l) The Agency is hereby designated as water pollution  | 
agency for
the state for all purposes of the Federal Water  | 
Pollution Control Act, as
amended; as implementing agency for  | 
the State for all purposes of the Safe
Drinking Water Act,  | 
Public Law 93-523, as now or hereafter amended, except
Section  | 
1425 of that Act; as air pollution agency for the state for all
 | 
purposes of the Clean Air Act of 1970, Public Law 91-604,  | 
approved December 31,
1970, as amended; and as solid waste  | 
agency for the state for all purposes of
the Solid Waste  | 
 | 
Disposal Act, Public Law 89-272, approved October 20, 1965,
 | 
and amended by the Resource Recovery Act of 1970, Public Law  | 
91-512, approved
October 26, 1970, as amended, and amended by  | 
the Resource Conservation and
Recovery Act of 1976, (P.L.  | 
94-580) approved October 21, 1976, as amended; as
noise  | 
control agency for the state for all purposes of the Noise  | 
Control Act of
1972, Public Law 92-574, approved October 27,  | 
1972, as amended; and as
implementing agency for the State for  | 
all purposes of the Comprehensive
Environmental Response,  | 
Compensation, and Liability Act of 1980 (P.L. 96-510),
as  | 
amended; and otherwise as pollution control agency for the  | 
State pursuant
to federal laws integrated with the foregoing  | 
laws, for financing purposes or
otherwise. The Agency is  | 
hereby authorized to take all action necessary or
appropriate  | 
to secure to the State the benefits of such federal Acts,  | 
provided
that the Agency shall transmit to the United States  | 
without change any
standards adopted by the Pollution Control  | 
Board pursuant to Section 5(c) of
this Act. This subsection  | 
(l) of Section 4 shall not be construed to bar or
prohibit the  | 
Environmental Protection Trust Fund Commission from accepting,
 | 
receiving, and administering on behalf of the State any  | 
grants, gifts,
loans or other funds for which the Commission  | 
is eligible pursuant to the
Environmental Protection Trust  | 
Fund Act. The Agency is hereby designated as
the State agency  | 
for all purposes of administering the requirements of Section
 | 
313 of the federal Emergency Planning and Community  | 
 | 
Right-to-Know Act of 1986.
 | 
 Any municipality, sanitary district, or other political  | 
subdivision,
or any Agency of the State or interstate Agency,  | 
which makes application
for loans or grants under such federal  | 
Acts shall notify the Agency of
such application; the Agency  | 
may participate in proceedings under such
federal Acts.
 | 
 (m) The Agency shall have authority, consistent with  | 
Section 5(c)
and other provisions of this Act, and for  | 
purposes of Section 303(e) of
the Federal Water Pollution  | 
Control Act, as now or hereafter amended,
to engage in  | 
planning processes and activities and to develop
plans in  | 
cooperation with units of local government, state agencies and
 | 
officers, and other appropriate persons in connection with the
 | 
jurisdiction or duties of each such unit, agency, officer or  | 
person.
Public hearings shall be held on the planning process,  | 
at which any
person shall be permitted to appear and be heard,  | 
pursuant to procedural
regulations promulgated by the Agency.
 | 
 (n) In accordance with the powers conferred upon the  | 
Agency by
Sections 10(g), 13(b), 19, 22(d) and 25 of this Act,  | 
the Agency shall
have authority to establish and enforce  | 
minimum standards for the
operation of laboratories relating  | 
to analyses and laboratory tests for
air pollution, water  | 
pollution, noise emissions, contaminant discharges
onto land  | 
and sanitary, chemical, and mineral quality of water
 | 
distributed by a public water supply. The Agency may enter  | 
into formal
working agreements with other departments or  | 
 | 
agencies of state
government under which all or portions of  | 
this authority may be
delegated to the cooperating department  | 
or agency.
 | 
 (o) The Agency shall have the authority to issue  | 
certificates of
competency to persons and laboratories meeting  | 
the minimum standards
established by the Agency in accordance  | 
with Section 4(n) of this Act
and to promulgate and enforce  | 
regulations relevant to the issuance and
use of such  | 
certificates. The Agency may enter into formal working
 | 
agreements with other departments or agencies of state  | 
government under
which all or portions of this authority may  | 
be delegated to the
cooperating department or agency.
 | 
 (p) Except as provided in Section 17.7, the Agency shall  | 
have the
duty to analyze samples as required
from each public  | 
water supply to determine compliance with the
contaminant  | 
levels specified by the Pollution Control Board. The maximum
 | 
number of samples which the Agency shall be required to  | 
analyze for
microbiological quality shall be 6 per month, but  | 
the Agency may, at its
option, analyze a larger number each  | 
month for any supply. Results of
sample analyses for  | 
additional required bacteriological testing,
turbidity,  | 
residual chlorine and radionuclides are to be provided to the
 | 
Agency in accordance with Section 19. Owners of water supplies  | 
may enter
into agreements with the Agency to provide for  | 
reduced Agency
participation in sample analyses.
 | 
 (q) The Agency shall have the authority to provide notice  | 
 | 
to any
person who may be liable pursuant to Section 22.2(f) of  | 
this Act for a
release or a substantial threat of a release of  | 
a hazardous substance or
pesticide. Such notice shall include  | 
the identified response action and an
opportunity for such  | 
person to perform the response action.
 | 
 (r) The Agency may enter into written delegation  | 
agreements with any
unit of local government under which it  | 
may delegate all or portions of its
inspecting, investigating  | 
and enforcement functions. Such delegation
agreements shall  | 
require that work performed thereunder be in accordance
with  | 
Agency criteria and subject to Agency review.
Notwithstanding  | 
any other provision of law to the contrary, no unit of
local  | 
government shall be liable for any injury resulting from the  | 
exercise
of its authority pursuant to such a delegation  | 
agreement unless the injury
is proximately caused by the  | 
willful and wanton negligence of an agent or
employee of the  | 
unit of local government, and any policy of insurance
coverage  | 
issued to a unit of local government may provide for the denial  | 
of
liability and the nonpayment of claims based upon injuries  | 
for which the unit
of local government is not liable pursuant  | 
to this subsection (r).
 | 
 (s) The Agency shall have authority to take whatever  | 
preventive or
corrective action is necessary or appropriate,  | 
including but not limited to
expenditure of monies  | 
appropriated from the Build Illinois Bond Fund and
the Build  | 
Illinois Purposes Fund for removal or remedial action,  | 
 | 
whenever
any hazardous substance or pesticide is released or
 | 
there is a substantial threat of such a release into the  | 
environment. The
State, the Director, and any State employee  | 
shall be indemnified for any
damages or injury arising out of  | 
or resulting from any action taken under
this subsection. The  | 
Director of the Agency is authorized to enter into
such  | 
contracts and agreements as are necessary
to carry out the  | 
Agency's duties under this subsection.
 | 
 (t) The Agency shall have authority to distribute grants,  | 
subject to
appropriation by the General Assembly, to units of  | 
local government for financing and construction of
wastewater  | 
facilities in both incorporated and unincorporated areas. With  | 
respect to all monies appropriated
from the Build Illinois  | 
Bond Fund and the Build Illinois Purposes
Fund for wastewater  | 
facility grants, the Agency shall make
distributions in  | 
conformity with the rules and regulations established
pursuant  | 
to the Anti-Pollution Bond Act, as now or hereafter amended.
 | 
 (u) Pursuant to the Illinois Administrative Procedure Act,  | 
the
Agency shall have the authority to adopt such rules as are  | 
necessary or
appropriate for the Agency to implement Section  | 
31.1 of this Act.
 | 
 (v) (Blank.)
 | 
 (w) Neither the State, nor the Director, nor the Board,  | 
nor any State
employee shall be liable for any damages or  | 
injury arising out of or
resulting from any action taken under  | 
subsection (s).
 | 
 | 
 (x)(1) The Agency shall have authority to distribute  | 
grants, subject to
appropriation by the General Assembly, to  | 
units of local government for
financing and construction of  | 
public water supply facilities. With respect
to all monies  | 
appropriated from the Build Illinois Bond Fund or the Build
 | 
Illinois Purposes Fund for public water supply grants, such  | 
grants shall be
made in accordance with rules promulgated by  | 
the Agency.
Such rules shall include a requirement for a local  | 
match of 30% of the
total project cost for projects funded  | 
through such grants.
 | 
 (2) The Agency shall not terminate a grant to a unit of  | 
local government
for the financing and construction of public  | 
water supply facilities unless
and until the Agency adopts  | 
rules that set forth precise and complete
standards, pursuant  | 
to Section 5-20 of the Illinois Administrative
Procedure Act,  | 
for the termination of such grants. The Agency shall not
make  | 
determinations on whether specific grant conditions are  | 
necessary to
ensure the integrity of a project or on whether  | 
subagreements shall be
awarded, with respect to grants for the  | 
financing and construction of
public water supply facilities,  | 
unless and until the Agency adopts rules
that set forth  | 
precise and complete standards, pursuant to Section 5-20
of  | 
the Illinois Administrative Procedure Act, for making such
 | 
determinations. The Agency shall not issue a stop-work order  | 
in relation to
such grants unless and until the Agency adopts  | 
precise and complete standards,
pursuant to Section 5-20 of  | 
 | 
the Illinois Administrative Procedure Act, for
determining  | 
whether to issue a stop-work order.
 | 
 (y) The Agency shall have authority to release any person  | 
from further
responsibility for preventive or corrective  | 
action under this Act following
successful completion of  | 
preventive or corrective action undertaken by such
person upon  | 
written request by the person.
 | 
 (z) To the extent permitted by any applicable federal law  | 
or regulation, for all work performed for State construction  | 
projects which are funded in whole or in part by a capital  | 
infrastructure bill enacted by the 96th General Assembly by  | 
sums appropriated to the Environmental Protection Agency, at  | 
least 50% of the total labor hours must be performed by actual  | 
residents of the State of Illinois. For purposes of this  | 
subsection, "actual residents of the State of Illinois" means  | 
persons domiciled in the State of Illinois. The Department of  | 
Labor shall promulgate rules providing for the enforcement of  | 
this subsection. | 
 (aa) The Agency may adopt rules requiring the electronic  | 
submission of any information required to be submitted to the  | 
Agency pursuant to any State or federal law or regulation or  | 
any court or Board order. Any rules adopted under this  | 
subsection (aa) must include, but are not limited to,  | 
identification of the information to be submitted  | 
electronically.  | 
(Source: P.A. 99-937, eff. 2-24-17; 100-1179, eff. 1-18-19.)
 | 
 | 
 (415 ILCS 5/9.9)
 | 
 Sec. 9.9. Nitrogen oxides trading system. 
 | 
 (a) The General Assembly finds:
 | 
  (1) That USEPA has issued a Final Rule published in  | 
 the Federal
Register on October 27, 1998, entitled  | 
 "Finding of Significant Contribution and
Rulemaking for  | 
 Certain States in the Ozone Transport Assessment Group  | 
 Region
for Purposes of Reducing Regional Transport of  | 
 Ozone", hereinafter referred to
as the "NOx SIP Call",  | 
 compliance with which will require reducing emissions of
 | 
 nitrogen oxides ("NOx");
 | 
  (2) That reducing emissions of NOx in the State helps  | 
 the State to meet
the national ambient air quality  | 
 standard for ozone;
 | 
  (3) That emissions trading is a cost-effective means  | 
 of obtaining
reductions of NOx emissions.
 | 
 (b) The Agency shall propose and the Board shall adopt
 | 
regulations to implement an interstate NOx trading program  | 
(hereinafter
referred to as the "NOx Trading Program") as  | 
provided for in 40 CFR
Part 96, including
incorporation by  | 
reference of appropriate provisions of 40 CFR Part 96 and
 | 
regulations to address 40 CFR Section 96.4(b), Section  | 
96.55(c), Subpart E, and
Subpart I. In addition, the Agency  | 
shall propose and the Board shall adopt
regulations to  | 
implement NOx emission reduction programs for cement kilns and
 | 
 | 
stationary
internal combustion engines.
 | 
 (c) Allocations of NOx allowances to large electric  | 
generating units
("EGUs") and large non-electric generating  | 
units ("non-EGUs"), as defined by 40
CFR Part 96.4(a), shall  | 
not exceed the State's trading budget for those source
 | 
categories to be included in
the State Implementation Plan for  | 
NOx.
 | 
 (d) In adopting regulations to implement the NOx Trading  | 
Program, the Board
shall:
 | 
  (1) assure that the economic impact and technical  | 
 feasibility of NOx
emissions reductions under the NOx  | 
 Trading Program are considered relative to
the traditional  | 
 regulatory control requirements in the State for EGUs and
 | 
 non-EGUs;
 | 
  (2) provide that emission units, as defined in Section  | 
 39.5(1) of this
Act, may opt into the NOx Trading Program;
 | 
  (3) provide for voluntary reductions of NOx emissions  | 
 from emission units,
as defined in Section 39.5(1) of this  | 
 Act, not otherwise included under
paragraph (c) or (d)(2)  | 
 of this Section to provide additional allowances to
EGUs  | 
 and non-EGUs to be allocated by the Agency. The  | 
 regulations shall further
provide that such voluntary  | 
 reductions are verifiable, quantifiable, permanent,
and  | 
 federally enforceable;
 | 
  (4) provide that the Agency allocate to non-EGUs  | 
 allowances that are
designated in the rule, unless the  | 
 | 
 Agency has been directed to transfer the
allocations to  | 
 another unit subject to the requirements of the NOx  | 
 Trading
Program, and that upon shutdown of a non-EGU, the  | 
 unit may transfer or sell the
NOx allowances that are  | 
 allocated to such unit;
 | 
  (5) provide that the Agency shall set aside annually a  | 
 number of
allowances, not to exceed 5% of the total EGU  | 
 trading budget, to be made
available to new EGUs; and
 | 
  (6)
provide that those EGUs that commence commercial
 | 
 operation, as defined
in 40
CFR Section 96.2, at a time  | 
 that is more than half way through the control
period in  | 
 2003 shall return to the Agency any allowances that were  | 
 issued to
it by the Agency and were not used for compliance  | 
 in 2004.
 | 
 (d-5) The Agency may sell NOx allowances to sources in  | 
Illinois that are
subject
to 35 Ill. Adm. Code 217, either  | 
Subpart U or W, as follows:
 | 
  (1) any unearned Early Reduction Credits set aside for  | 
 non-EGUs under 35
Ill. Adm. Code 217, Subpart U, but only  | 
 to those sources that make qualifying
early reductions of  | 
 NOx in 2003 pursuant to 35 Ill. Adm. Code 217 for which
the  | 
 source did not receive an allocation thereunder. If the  | 
 Agency receives
requests to purchase more ERCs than are  | 
 available for sale, allowances shall
be offered for sale  | 
 to qualifying sources on a pro-rata basis;
 | 
  (2) any remaining Early Reduction Credits allocated  | 
 | 
 under 35 Ill. Adm.
Code 217, Subpart U or W, that could not  | 
 be allocated on a pro-rata, whole
allowance basis, but  | 
 only to those sources that made qualifying early
 | 
 reductions of NOx in 2003 pursuant to 35 Ill. Adm. Code 217  | 
 for which the
source did not receive an allocation;
 | 
  (3) any allowances under 35 Ill. Adm. Code 217,  | 
 Subpart W, that remain
after each 3-year allocation period  | 
 that could not be allocated on a
pro-rata, whole allowance  | 
 basis pursuant to the provisions of Subpart W; and
 | 
  (4) any allowances requested from the New Source Set  | 
 Aside for those
sources that commenced operation, as  | 
 defined in 40 CFR Section 96.2, on or
after
January 1,  | 
 2004.
 | 
 (d-10) The selling price for ERC allowances shall be 70%  | 
of the market
price index for 2005 NOx allowances, determined  | 
by the Agency as follows:
 | 
  (1) using the mean of 2 or more published market price  | 
 indexes for the
2005 NOx allowances as of October 6, 2003;  | 
 or
 | 
  (2) if there are not 2 published market price indexes  | 
 for 2005 NOx
allowances as of October 6, 2003, the Agency  | 
 may use any reasonable indication
of market price.
 | 
 (e) The Agency may adopt procedural rules, as necessary,  | 
to implement the
regulations promulgated by the Board pursuant  | 
to subsections (b) and (d) and
to implement subsections (d-5),  | 
(d-10), (i), and (j) of
this Section.
 | 
 | 
 (f) Notwithstanding any provisions in subparts T, U, and W  | 
of Section 217
of Title 35 of the Illinois Administrative Code  | 
to the contrary, compliance
with the regulations promulgated  | 
by the Board pursuant to subsections (b) and
(d) of this  | 
Section is required by May 31, 2004.
 | 
 (g) To the extent that a court of competent jurisdiction  | 
finds a provision
of 40 CFR Part 96 invalid, the corresponding  | 
Illinois provision shall
be stayed until such provision of 40  | 
CFR Part 96 is found to be valid or is
re-promulgated. To the  | 
extent that USEPA or any court of competent
jurisdiction stays  | 
the applicability of any provision of the NOx SIP Call to
any  | 
person or circumstance relating to Illinois, during the period  | 
of that
stay, the effectiveness of the corresponding Illinois  | 
provision shall be
stayed. To the extent that the invalidity  | 
of the particular requirement or
application does not affect
 | 
other provisions or applications of the NOx SIP Call pursuant  | 
to 40 CFR 51.121
or the NOx trading program pursuant to 40 CFR  | 
Part 96 or 40 CFR Part 97, this
Section, and rules or  | 
regulations promulgated hereunder, will be given
effect  | 
without the invalid provisions or applications.
 | 
 (h) Notwithstanding any other provision of this Act, any  | 
source or other
authorized person that participates in the NOx  | 
Trading Program shall be
eligible to exchange NOx allowances  | 
with other sources in accordance with
this Section and with  | 
regulations promulgated by the Board or the Agency.
 | 
 (i) (Blank). There is hereby created within the State  | 
 | 
Treasury an interest-bearing
special fund to be known as the  | 
NOx Trading System Fund. Moneys generated
from the sale of NOx  | 
allowances from the New Source Set Aside or the sale of
 | 
allowances pursuant to subsection (d-5) of this Section shall  | 
be deposited into
the Fund. This Fund shall be used
and  | 
administered by the Agency for the purposes stated below:
 | 
  (1) To accept funds from persons who purchase NOx  | 
 allowances from the
New Source Set Aside from the
Agency;
 | 
  (2) To disburse the proceeds of the sale of the NOx
 | 
 allowances from the New Source Set Aside, to the extent  | 
 that proceeds remain
after the Agency has recouped the  | 
 reasonable costs incurred by the Agency in
the  | 
 administration of the NOx SIP Call Program, pro-rata to  | 
 the
owners or operators of the EGUs that received
 | 
 allowances from the Agency but not from the Agency's New  | 
 Source Set Aside, in accordance
with regulations that may  | 
 be promulgated by the Agency; and
 | 
  (3) To finance the reasonable costs incurred by the  | 
 Agency in the
administration of the NOx SIP Call Program.
 | 
 (j) Moneys generated from the sale of early reduction  | 
credits
shall be deposited into the Clean Air Act Permit Fund  | 
created pursuant to
Section 39.5(18)(d) of this Act, and the  | 
proceeds
shall be used and administered by the Agency to  | 
finance the costs associated
with the Clean Air Act Permit  | 
Program.
 | 
(Source: P.A. 92-12, eff. 7-1-01; 92-279, eff. 8-7-01; 93-669,  | 
 | 
eff. 3-19-04.)
 | 
 (415 ILCS 5/22.8) (from Ch. 111 1/2, par. 1022.8)
 | 
 Sec. 22.8. Environmental Protection Permit and Inspection  | 
Fund. 
 | 
 (a) There is hereby created in the State Treasury a  | 
special fund to be known
as the Environmental Protection  | 
Permit and Inspection Fund. All fees collected
by the Agency  | 
pursuant to this Section, Section 9.6, 12.2, 16.1, 56.4, 56.5,  | 
56.6, and subsection (f) of Section 5 of this
Act, or pursuant  | 
to Section 22 of the Public Water Supply Operations Act or  | 
Section 1011 of the Solid Waste Site Operator Certification  | 
Law, as well as
funds collected under subsection (b.5) of  | 
Section 42 of this Act,
shall be deposited into the Fund. In  | 
addition to any monies appropriated
from the General Revenue  | 
Fund, monies in the Fund shall be appropriated
by the General  | 
Assembly to the Agency in amounts deemed necessary for
 | 
manifest, permit, and inspection activities and for performing  | 
its functions, powers, and duties under the Solid Waste Site  | 
Operator Certification Law.
 | 
 The General Assembly may appropriate monies in the Fund  | 
deemed necessary
for Board regulatory and adjudicatory  | 
proceedings.
 | 
 (a-5) (Blank). As soon as practicable after the effective  | 
date of this amendatory Act of the 98th General Assembly, but  | 
no later than January 1, 2014, the State Comptroller shall  | 
 | 
direct and the State Treasurer shall transfer all monies in  | 
the Industrial Hygiene Regulatory and Enforcement Fund to the  | 
Environmental Protection Permit and Inspection Fund to be used  | 
in accordance with the terms of the Environmental Protection  | 
Permit and Inspection Fund.  | 
 (a-6) (Blank). As soon as practicable after the effective  | 
date of this amendatory Act of the 98th General Assembly, but  | 
no later than December 31, 2014, the State Comptroller shall  | 
order the transfer of, and the State Treasurer shall transfer,  | 
all moneys in the Hazardous Waste Occupational Licensing Fund  | 
into the Environmental Protection Permit and Inspection Fund  | 
to be used in accordance with the terms of the Environmental  | 
Protection Permit and Inspection Fund.  | 
 (b) The Agency shall collect from the
owner or operator of  | 
any of the following types of hazardous waste disposal
sites  | 
or management facilities which require a RCRA permit under  | 
subsection
(f) of Section 21 of this Act, or a UIC permit under  | 
subsection (g) of Section
12 of this Act, an annual fee in the  | 
amount of:
 | 
  (1) $35,000 ($70,000 beginning in 2004)
for a  | 
 hazardous waste disposal site receiving hazardous
waste if  | 
 the hazardous waste disposal site is located off the site  | 
 where
such waste was produced;
 | 
  (2) $9,000 ($18,000 beginning in 2004)
for a hazardous  | 
 waste disposal site receiving hazardous waste
if the  | 
 hazardous waste disposal site is located on the site where  | 
 | 
 such
waste was produced;
 | 
  (3) $7,000 ($14,000 beginning in 2004)
for a hazardous  | 
 waste disposal site receiving hazardous waste
if the  | 
 hazardous waste disposal site is an underground injection  | 
 well;
 | 
  (4) $2,000 ($4,000 beginning in 2004)
for a hazardous  | 
 waste management facility treating
hazardous waste by  | 
 incineration;
 | 
  (5) $1,000 ($2,000 beginning in 2004)
for a hazardous  | 
 waste management facility treating hazardous
waste by a  | 
 method, technique or process other than incineration;
 | 
  (6) $1,000 ($2,000 beginning in 2004)
for a hazardous  | 
 waste management facility storing hazardous
waste in a  | 
 surface impoundment or pile;
 | 
  (7) $250 ($500 beginning in 2004)
for a hazardous  | 
 waste management facility storing hazardous
waste other  | 
 than in a surface impoundment or pile; and
 | 
  (8) Beginning in 2004, $500 for a large quantity  | 
 hazardous waste
generator required to submit an annual or  | 
 biennial report for hazardous waste
generation.
 | 
 (c) Where two or more operational units are located within  | 
a single
hazardous waste disposal site, the Agency shall  | 
collect from the owner or
operator of such site an annual fee  | 
equal to the highest fee imposed by
subsection (b) of this  | 
Section upon any single operational unit within the
site.
 | 
 (d) The fee imposed upon a hazardous waste disposal site  | 
 | 
under this
Section shall be the exclusive permit and  | 
inspection fee applicable to
hazardous waste disposal at such  | 
site, provided that nothing in this
Section shall be construed  | 
to diminish or otherwise affect any fee imposed
upon the owner  | 
or operator of a hazardous waste disposal site by Section  | 
22.2.
 | 
 (e) The Agency shall establish procedures, no later than  | 
December 1,
1984, relating to the collection of the hazardous  | 
waste disposal site
fees authorized by this Section. Such  | 
procedures shall include, but not be
limited to the time and  | 
manner of payment of fees to the Agency, which
shall be  | 
quarterly, payable at the beginning of each quarter for  | 
hazardous
waste disposal site fees. Annual fees required under  | 
paragraph (7) of
subsection (b) of this Section shall  | 
accompany the annual report required
by Board regulations for  | 
the calendar year for which the report applies.
 | 
 (f) For purposes of this Section, a hazardous waste  | 
disposal site
consists of one or more of the following  | 
operational units:
 | 
  (1) a landfill receiving hazardous waste for disposal;
 | 
  (2) a waste pile or surface impoundment, receiving  | 
 hazardous waste, in
which residues which exhibit any of  | 
 the characteristics of hazardous waste
pursuant to Board  | 
 regulations are reasonably expected to remain after  | 
 closure;
 | 
  (3) a land treatment facility receiving hazardous  | 
 | 
 waste; or
 | 
  (4) a well injecting hazardous waste.
 | 
 (g) The Agency shall assess a fee for each manifest  | 
provided by the
Agency. For manifests provided on or after  | 
January 1, 1989 but before July 1,
2003, the fee shall be $1  | 
per manifest. For manifests provided on or after
July 1, 2003,  | 
the fee shall be $3 per manifest.
 | 
(Source: P.A. 98-78, eff. 7-15-13; 98-692, eff. 7-1-14;  | 
98-822, eff. 8-1-14.)
 | 
 Section 20-75. The Toxic Pollution Prevention Act is  | 
amended by changing Section 5 as follows:
 | 
 (415 ILCS 85/5) (from Ch. 111 1/2, par. 7955)
 | 
 Sec. 5. Toxic Pollution Prevention Assistance Program.  | 
There is
hereby established a Toxic Pollution Prevention  | 
Assistance Program at the Illinois Sustainable Technology
 | 
Center. The Center may establish
cooperative programs with  | 
public and private colleges and universities
designed to  | 
augment the implementation of this Section. The Center may
 | 
establish fees, tuition, or other financial charges for  | 
participation in
the Assistance Program. These monies shall be  | 
deposited in the Toxic
Pollution Prevention Fund established  | 
in Section 7 of this Act. Through the
Assistance Program, the  | 
Center:
 | 
  (1) Shall provide general information about and  | 
 | 
 actively publicize the
advantages of and developments in  | 
 toxic pollution prevention and sustainability practices.
 | 
  (2) May establish courses, seminars, conferences and  | 
 other events, and
reports, updates, guides and other  | 
 publications and other means of
providing technical  | 
 information for industries, local governments and
citizens  | 
 concerning toxic pollution prevention strategies, and may,  | 
 as
appropriate, work in cooperation with the Agency.
 | 
  (3) Shall engage in research on toxic pollution  | 
 prevention
methods. Such research shall include  | 
 assessments of the impact
of adopting toxic pollution  | 
 prevention methods on the environment, the
public health,  | 
 and worker exposure, and assessments of the impact on
 | 
 profitability and employment within affected industries.
 | 
  (4) Shall provide on-site technical
consulting, to the  | 
 extent practicable, to help facilities to
identify  | 
 opportunities for toxic pollution prevention, and to  | 
 develop
comprehensive toxic pollution prevention plans  | 
 that would include water, energy, and solid waste. To be  | 
 eligible for such
consulting, the owner or operator of a  | 
 facility must agree to allow
information regarding the  | 
 results of such consulting to be shared with the
public,  | 
 provided that the identity of the facility shall be made  | 
 available only
with its consent, and trade secret  | 
 information shall remain protected.
 | 
  (5) May sponsor pilot projects in cooperation with the
 | 
 | 
 Agency, or an institute of higher education to develop
and  | 
 demonstrate innovative technologies and methods for toxic  | 
 pollution
prevention and sustainable development. The  | 
 results of all such projects shall be available for use by
 | 
 the public, but trade secret information shall remain  | 
 protected.
 | 
  (6) May award grants for activities that further the  | 
 purposes of this
Act, including but not limited to the  | 
 following:
 | 
   (A) grants to not-for-profit organizations to  | 
 establish free or
low-cost technical assistance or  | 
 educational programs to supplement the
toxic pollution  | 
 prevention activities of the Center;
 | 
   (B) grants to assist trade associations, business  | 
 organizations, labor
organizations and educational  | 
 institutions in developing training materials
to  | 
 foster toxic pollution prevention; and
 | 
   (C) grants to assist industry, business  | 
 organizations, labor
organizations, education  | 
 institutions and industrial hygienists to
identify,  | 
 evaluate and implement toxic pollution prevention  | 
 measures and
alternatives through audits, plans and  | 
 programs.
 | 
  The Center may establish criteria and terms for such  | 
 grants, including a
requirement that a grantee provide  | 
 matching funds. Grant money awarded
under this Section may  | 
 | 
 not be spent for capital improvements or equipment.
 | 
  In determining whether to award a grant, the Center  | 
 shall
consider at least the following:
 | 
   (i) the potential of the project to prevent  | 
 pollution;
 | 
   (ii) the likelihood that the project will develop  | 
 techniques or
processes that will minimize the  | 
 transfer of pollution from one
environmental medium to  | 
 another;
 | 
   (iii) the extent to which information to be  | 
 developed through the
project will be applicable to  | 
 other persons in the State; and
 | 
   (iv) the willingness of the grant applicant to  | 
 assist the Center in
disseminating information about  | 
 the pollution prevention methods to be
developed  | 
 through the project.
 | 
  (7) Shall establish and operate a State information  | 
 clearinghouse
that
assembles, catalogues and disseminates  | 
 information about toxic pollution
prevention and available  | 
 consultant services. Such clearinghouse shall
include a  | 
 computer database containing information on managerial,  | 
 technical
and operational approaches to achieving toxic  | 
 pollution prevention. The
computer database must be  | 
 maintained on a system designed to enable
businesses,  | 
 governmental agencies and the general public readily to  | 
 obtain
information specific to production technologies,  | 
 | 
 materials, operations and
products. A business shall not  | 
 be required to submit to the clearinghouse
any information  | 
 that is a trade secret.
 | 
  (8) May contract with an established institution of  | 
 higher education
to assist the Center in carrying out the  | 
 provisions of this Section. The
assistance provided by  | 
 such an institution may include, but need not be
limited  | 
 to:
 | 
   (A) engineering field internships to assist  | 
 industries in
identifying
toxic pollution prevention  | 
 opportunities;
 | 
   (B) development of a toxic pollution prevention  | 
 curriculum for
students and faculty; and
 | 
   (C) applied toxic pollution prevention and  | 
 recycling research.
 | 
  (9) Shall emphasize assistance to businesses that have  | 
 inadequate
technical and financial resources to obtain  | 
 information and to assess and
implement toxic pollution  | 
 prevention methods.
 | 
  (10) Shall publish a biannual report on its toxic  | 
 pollution
prevention and sustainable development  | 
 activities, achievements, identified problems and future  | 
 goals.
 | 
(Source: P.A. 98-346, eff. 8-14-13.)
 | 
 Section 20-80. The Illinois Endangered Species Protection  | 
 | 
Act is amended by changing Section 10 as follows:
 | 
 (520 ILCS 10/10) (from Ch. 8, par. 340)
 | 
 Sec. 10. 
The Endangered and Threatened Species Program  | 
shall be
located within the Department of Conservation. All  | 
fines collected under
this Act shall be paid to the State
 | 
Treasurer and deposited in the Illinois Wildlife Preservation  | 
Nongame Wildlife Conservation Fund.
 | 
(Source: P.A. 84-1065.)
 | 
 Section 20-85. The Illinois Vehicle Code is amended by  | 
changing Section 11-1429 as follows:
 | 
 (625 ILCS 5/11-1429) | 
 Sec. 11-1429. Excessive idling. | 
 (a) The purpose of this law is to protect public health and  | 
the environment by reducing emissions while conserving fuel  | 
and maintaining adequate rest and safety of all drivers of  | 
diesel vehicles. | 
 (b) As used in this Section, "affected areas" means the  | 
counties of Cook, DuPage, Lake, Kane, McHenry, Will, Madison,  | 
St. Clair, and Monroe and the townships of Aux Sable and Goose  | 
Lake in Grundy County and the township of Oswego in Kendall  | 
County. | 
 (c) A person that operates a motor
vehicle operating on  | 
diesel fuel in an affected area may not cause or allow the
 | 
 | 
motor vehicle, when it is not in motion, to idle for more than
 | 
a total of 10 minutes within any 60 minute period, except under  | 
the following circumstances:
 | 
  (1) the motor vehicle has a Gross Vehicle Weight  | 
 Rating
of less than 8,000 pounds;
 | 
  (2) the motor vehicle idles while forced to remain  | 
 motionless because of on-highway traffic, an official  | 
 traffic control device or signal, or at the direction of a  | 
 law enforcement official;
 | 
  (3) the motor vehicle idles when operating defrosters,  | 
 heaters, air conditioners, or other equipment solely to  | 
 prevent a safety or health emergency;
 | 
  (4) a police, fire, ambulance, public safety, other  | 
 emergency or law enforcement motor vehicle, or any motor  | 
 vehicle used in an emergency capacity, idles while in an  | 
 emergency or training mode and not for the convenience of  | 
 the vehicle operator;
 | 
  (5) the primary propulsion engine idles for  | 
 maintenance, servicing, repairing, or diagnostic purposes  | 
 if idling is necessary for such activity;
 | 
  (6) a motor vehicle idles as part of a government  | 
 inspection to verify that all equipment is in good working  | 
 order, provided idling is required as part of the  | 
 inspection;
 | 
  (7) when idling of the motor vehicle is required to  | 
 operate auxiliary equipment to accomplish the intended use  | 
 | 
 of the vehicle (such as loading, unloading, mixing, or  | 
 processing cargo; controlling cargo temperature;  | 
 construction operations; lumbering operations; oil or gas  | 
 well servicing; or farming operations), provided that this  | 
 exemption does not apply when the vehicle is idling solely  | 
 for cabin comfort or to operate non-essential equipment  | 
 such as air conditioning, heating, microwave ovens, or  | 
 televisions;
 | 
  (8) an armored motor vehicle idles when a person  | 
 remains inside the vehicle to guard the contents, or while  | 
 the vehicle is being loaded or unloaded;
 | 
  (9) a bus idles a maximum of 15 minutes in any 60  | 
 minute period to maintain passenger comfort while  | 
 non-driver passengers are on board;
 | 
  (10) if the motor vehicle has a sleeping berth, when  | 
 the operator is occupying the vehicle during a rest or  | 
 sleep period and idling of the vehicle is required to  | 
 operate air conditioning or heating;
 | 
  (11) when the motor vehicle idles due to mechanical  | 
 difficulties over which the operator has no control;
 | 
  (12) the motor vehicle is used as airport ground  | 
 support
equipment, including, but not limited to, motor  | 
 vehicles
operated on the air side of the airport terminal  | 
 to service
or supply aircraft;
 | 
  (13) the motor vehicle is (i) a bus owned by a public
 | 
 transit authority and (ii) being operated on a designated
 | 
 | 
 bus route or on a street or highway between designated bus
 | 
 routes for the provision of public transportation;
 | 
  (14) the motor vehicle is an implement of husbandry
 | 
 exempt from registration under subdivision A(2) of Section
 | 
 3-402 of this Code;
 | 
  (15) the motor vehicle is owned by an electric utility  | 
 and is operated for electricity generation or hydraulic  | 
 pressure to power equipment necessary in the restoration,  | 
 repair, modification or installation of electric utility  | 
 service; | 
  (16) the outdoor temperature is less than 32 degrees  | 
 Fahrenheit or greater than 80 degrees Fahrenheit; or | 
  (17) the motor vehicle idles while being operated by a  | 
 remote starter system.  | 
 (d) When the outdoor temperature is 32 degrees Fahrenheit  | 
or higher and 80 degrees Fahrenheit or lower, a person who  | 
operates a motor vehicle operating on diesel fuel in an  | 
affected area may not cause or allow the motor vehicle to idle  | 
for a period greater than 30 minutes in any 60 minute period  | 
while waiting to weigh, load, or unload cargo or freight,  | 
unless the vehicle is in a line of vehicles that regularly and  | 
periodically moves forward.
 | 
 (e) This Section does not prohibit the operation of an  | 
auxiliary power unit or generator set as an alternative to  | 
idling the main engine of a motor vehicle operating on diesel  | 
fuel.
 | 
 | 
 (f) This Section does not apply to the owner of a motor  | 
vehicle rented or leased to another entity or person operating  | 
the vehicle. | 
 (g) Any person convicted of any violation of this Section  | 
is guilty of
a petty offense and shall be fined $90 for the  | 
first
conviction and $500 for a second or subsequent  | 
conviction
within any 12 month period.
 | 
 (h) Fines; distribution. All fines and all penalties  | 
collected under this Section shall be deposited in the State  | 
Treasury and shall be distributed as follows: (i) $50 for the  | 
first conviction and $150 for a second or subsequent  | 
conviction within any 12 month period under this Section shall  | 
be deposited into the State's General Revenue Fund; (ii) $20  | 
for the first conviction and $262.50 for a second or  | 
subsequent conviction within any 12 month period under this  | 
Section shall be distributed to the law enforcement agency  | 
that issued the citation; and (iii) $20 for the first  | 
conviction and $87.50 for a second or subsequent conviction  | 
within any 12 month period under this Section shall be  | 
deposited into the Vehicle Inspection Trucking Environmental  | 
and Education Fund. | 
 (i) (Blank). The Trucking Environmental and Education Fund  | 
is created as a special fund in the State Treasury. All money  | 
deposited into the Trucking Environmental and Education Fund  | 
shall be paid, subject to appropriation by the General  | 
Assembly, to the Illinois Environmental Protection Agency for  | 
 | 
the purpose of educating the trucking industry on air  | 
pollution and preventative measures specifically related to  | 
idling. Any interest earned on deposits into the Fund shall  | 
remain in the Fund and be used for the purposes set forth in  | 
this subsection. Notwithstanding any other law to the  | 
contrary, the Fund is not subject to administrative charges or  | 
charge-backs that would in any way transfer moneys from the  | 
Fund into any other fund of the State.  | 
 (j) Notwithstanding any other provision of this Section, a  | 
person who operates a motor vehicle with a gross vehicle  | 
weight rating of 8,000 pounds or more operating on diesel fuel  | 
on property that (i) offers paid parking services to vehicle  | 
owners, (ii) does not involve fuel dispensing, and (iii) is  | 
located in an affected area within a county of over 3 million  | 
residents but outside of a municipality of over 2 million  | 
residents may not cause or allow the motor vehicle, when it is  | 
not in motion, to idle for more than a total of 10 minutes  | 
within any 60-minute period under any circumstances if the  | 
vehicle is within 200 feet of a residential area. This Section  | 
may be enforced by either the law enforcement agency having  | 
jurisdiction over the residential area or the law enforcement  | 
agency having jurisdiction over the property on which the  | 
violation took place. This subsection does not apply to: | 
  (1) school buses; | 
  (2) waste hauling vehicles; | 
  (3) facilities operated by the Department of  | 
 | 
 Transportation; | 
  (4) vehicles owned by a public utility and operated to  | 
 power equipment necessary in the restoration, repair,  | 
 modification, or installation of a utility service; or | 
  (5) ambulances. | 
(Source: P.A. 100-435, eff. 8-25-17; 101-319, eff. 1-1-20.)
 | 
 Section 20-90. The Unified Code of Corrections is amended  | 
by changing Section 5-9-1.8 as follows:
 | 
 (730 ILCS 5/5-9-1.8)
 | 
 Sec. 5-9-1.8. Child pornography fines. Beginning July 1,  | 
2006, 100% of the fines in
excess of $10,000 collected for  | 
violations of Section 11-20.1 of the Criminal
Code of 1961 or  | 
the Criminal Code of 2012 shall be deposited into the Child  | 
Abuse Prevention Fund that is
created in the State Treasury.  | 
Moneys in the Fund resulting from the fines
shall be for the  | 
use of the
Department of Children and Family Services for  | 
grants to private entities
giving treatment and counseling to  | 
victims of child sexual abuse. | 
 Notwithstanding any other provision of law, in addition to  | 
any other transfers that may be provided by law, on July 1,  | 
2006, or as soon thereafter as practical, the State  | 
Comptroller shall direct and the State Treasurer shall  | 
transfer the remaining balance from the Child Sexual Abuse  | 
Fund into the Child Abuse Prevention Fund. Upon completion of  | 
 | 
the transfer, the Child Sexual Abuse Fund is dissolved, and  | 
any future deposits due to that Fund and any outstanding  | 
obligations or liabilities of the Fund pass to the Child Abuse  | 
Prevention Fund.
 | 
(Source: P.A. 97-1150, eff. 1-25-13.)
 | 
 Section 20-95. The Franchise Tax and License Fee Amnesty  | 
Act of 2007 is amended by changing Section 5-10 as follows:
 | 
 (805 ILCS 8/5-10)
 | 
 Sec. 5-10. Amnesty program. The Secretary shall establish  | 
an amnesty program for all taxpayers owing any franchise tax  | 
or license fee imposed by Article XV of the Business  | 
Corporation Act of 1983. The amnesty program shall be for a  | 
period from February 1, 2008 through March 15, 2008. The  | 
amnesty program shall also be for a period between October 1,  | 
2019 and November 15, 2019, and shall apply to franchise tax or  | 
license fee liabilities for any tax period ending after March  | 
15, 2008 and on or before June 30, 2019. The amnesty program  | 
shall provide that, upon payment by a taxpayer of all  | 
franchise taxes and license fees due from that taxpayer to the  | 
State of Illinois for any taxable period, the Secretary shall  | 
abate and not seek to collect any interest or penalties that  | 
may be applicable, and the Secretary shall not seek civil or  | 
criminal prosecution for any taxpayer for the period of time  | 
for which amnesty has been granted to the taxpayer. Failure to  | 
 | 
pay all taxes due to the State for a taxable period shall not  | 
invalidate any amnesty granted under this Act with respect to  | 
the taxes paid pursuant to the amnesty program. Amnesty shall  | 
be granted only if all amnesty conditions are satisfied by the  | 
taxpayer. Amnesty shall not be granted to taxpayers who are a  | 
party to any criminal investigation or to any civil or  | 
criminal litigation that is pending in any circuit court or  | 
appellate court or the Supreme Court of this State for  | 
nonpayment, delinquency, or fraud in relation to any franchise  | 
tax or license fee imposed by Article XV of the Business  | 
Corporation Act of 1983. Voluntary payments made under this  | 
Act shall be made by check, guaranteed remittance, or ACH  | 
debit. The Secretary shall adopt rules as necessary to  | 
implement the provisions of this Act. Except as otherwise  | 
provided in this Section, all money collected under this Act  | 
that would otherwise be deposited into the General Revenue  | 
Fund shall be deposited into the General Revenue Fund. Two  | 
percent of all money collected under this Act shall be  | 
deposited by the State Treasurer into the Department of  | 
Business Services Special Operations Fund and, subject to  | 
appropriation, shall be used by the Secretary to cover costs  | 
associated with the administration of this Act.
 | 
(Source: P.A. 101-9, eff. 6-5-19; 101-604, eff. 12-13-19.)
 | 
 Section 20-100. The Consumer Fraud and Deceptive Business  | 
Practices Act is amended by changing Section 7 as follows:
 | 
 | 
 (815 ILCS 505/7) (from Ch. 121 1/2, par. 267)
 | 
 Sec. 7. Injunctive relief; restitution; and civil  | 
penalties. 
 | 
 (a) Whenever the Attorney General or a State's Attorney  | 
has reason to
believe that any person is using, has used, or is  | 
about to use any method,
act or practice declared by this Act  | 
to be
unlawful, and that proceedings would be in the public  | 
interest, he or she
may bring an action in the name of the  | 
People of the State against
such person to restrain by  | 
preliminary or permanent injunction the use of
such method,  | 
act or practice. The Court, in its discretion, may exercise
 | 
all powers necessary, including but not limited to:  | 
injunction;
revocation, forfeiture or suspension of any  | 
license, charter, franchise,
certificate or other evidence of  | 
authority of any person to do business in
this State;  | 
appointment of a receiver; dissolution of domestic  | 
corporations
or association suspension or termination of the  | 
right of foreign
corporations or associations to do business  | 
in this State; and restitution.
 | 
 (b) In addition to the remedies provided herein, the  | 
Attorney General or
State's Attorney may request and the Court  | 
may impose a civil penalty in a sum
not to exceed $50,000  | 
against any person found by the Court to have engaged in
any  | 
method, act or practice declared unlawful under this Act.
In  | 
the event the court finds the method, act or practice to have  | 
 | 
been entered
into with the intent to defraud, the court has the  | 
authority to impose a
civil penalty in a sum not to exceed  | 
$50,000 per violation.
 | 
 (c) In addition to any other civil penalty provided in  | 
this Section, if a
person is found by the court to have engaged  | 
in any method, act, or practice
declared unlawful under this  | 
Act, and the violation was committed against a
person 65 years  | 
of age or older, the court may impose an additional civil
 | 
penalty not to exceed $10,000 for each violation.
 | 
 A civil penalty imposed under this subsection (c) shall be  | 
paid to the
State Treasurer
who shall deposit the money in the  | 
State treasury in a special fund designated
the Department on  | 
Aging State Projects Elderly Victim Fund. The Treasurer shall  | 
deposit such moneys into the
Fund monthly. All of the moneys  | 
deposited into the Fund shall be appropriated
to the  | 
Department on Aging for grants to senior centers in Illinois. 
 | 
 An award of restitution under subsection (a) has priority  | 
over a civil
penalty
imposed by the court under this  | 
subsection.
 | 
 In determining whether to impose a civil penalty under  | 
this subsection
and the amount of any penalty, the court shall  | 
consider the following:
 | 
  (1) Whether the defendant's conduct was in willful  | 
 disregard of the rights
of the person 65 years of age or  | 
 older.
 | 
  (2) Whether the defendant knew or should have known  | 
 | 
 that the defendant's
conduct was directed to a person 65  | 
 years of age or older.
 | 
  (3) Whether the person 65 years of age or older was  | 
 substantially more
vulnerable to the defendant's conduct  | 
 because of age, poor health, infirmity,
impaired  | 
 understanding, restricted mobility, or disability, than  | 
 other persons.
 | 
  (4) Any other factors the court deems appropriate.
 | 
 (d) This Section applies if: (i) a court orders a party to  | 
make payments
to the Attorney General and the payments are to  | 
be used for the operations of
the Office of the Attorney  | 
General or (ii) a party agrees, in an Assurance of
Voluntary  | 
Compliance under this Act, to make payments to the Attorney  | 
General
for the operations of the Office of the Attorney  | 
General.
 | 
 (e) Moneys paid under any of the conditions described in  | 
subsection (d)
shall be deposited into the Attorney General  | 
Court Ordered and Voluntary
Compliance Payment Projects Fund,  | 
which is created as a special fund in the
State Treasury.  | 
Moneys in the Fund shall be used, subject to appropriation,
 | 
for the performance of any function pertaining to the exercise  | 
of the duties of
the Attorney General including but not  | 
limited to enforcement of any law of
this State and conducting  | 
public education programs; however, any moneys in the
Fund  | 
that are required by the court or by an agreement to be used  | 
for a
particular purpose shall be used for that purpose.
 | 
 | 
(Source: P.A. 93-246, eff. 7-22-03.)
 | 
ARTICLE 25.  FINANCE-SPECIAL FUNDS REPEAL
 | 
 (20 ILCS 690/Act rep.)
 | 
 Section 25-5. The Rural Diversification Act is repealed.
 | 
 (20 ILCS 1305/10-20 rep.)
 | 
 Section 25-10. The Department of Human Services Act is  | 
amended by repealing Section 10-20.
 | 
 (20 ILCS 2310/2310-370 rep.)
 | 
 Section 25-15. The Department of Public Health Powers and  | 
Duties Law of the
Civil Administrative Code of Illinois is  | 
amended by repealing Section 2310-370.
 | 
 (20 ILCS 2705/2705-610 rep.) | 
 Section 25-20. The Department of Transportation Law of the
 | 
Civil Administrative Code of Illinois is amended by repealing  | 
Section 2705-610.
 | 
 (20 ILCS 3930/9.2 rep.)
 | 
 Section 25-25. The Illinois Criminal Justice Information  | 
Act is amended by repealing Section 9.2.
 | 
 (30 ILCS 105/5.216 rep.)
 | 
 | 
 (30 ILCS 105/8.47 rep.) | 
 (30 ILCS 105/8.48 rep.) | 
 (30 ILCS 105/8.49 rep.) | 
 (30 ILCS 105/8.50 rep.) | 
 (30 ILCS 105/8.52 rep.) | 
 (30 ILCS 105/8.55 rep.)
 | 
 (30 ILCS 105/8d rep.)
 | 
 (30 ILCS 105/8e rep.)
 | 
 (30 ILCS 105/8h rep.)
 | 
 (30 ILCS 105/8i rep.)
 | 
 (30 ILCS 105/8m rep.) | 
 (30 ILCS 105/8n rep.) | 
 (30 ILCS 105/8o rep.) | 
 (30 ILCS 105/9.07 rep.) | 
 (30 ILCS 105/8r rep.) | 
 (30 ILCS 105/14.2 rep.) | 
 (30 ILCS 105/24.12 rep.) | 
 (30 ILCS 105/24.13 rep.) | 
 (30 ILCS 105/25.2 rep.) | 
 (30 ILCS 105/25.5 rep.) | 
 Section 25-30. The State Finance Act is amended by  | 
repealing Sections 5.216, 5.480, 5.502, 5.524, 5.578, 5.638,  | 
5.655, 5.662, 5.718, 5.732, 5.838, 5.917, 5.923, 5.925, 6y,  | 
6z-68, 6z-71, 8.8b, 8.23, 8.25b, 8.25d, 8.41, 8.42, 8.43,  | 
8.44, 8.45, 8.46, 8.47, 8.48, 8.49, 8.50, 8.52, 8.55, 8d, 8e,  | 
8h, 8i, 8m, 8n, 8o, 9.07, 8r, 14.2, 24.12, 24.13, 25.2, and  | 
 | 
25.5.
 | 
 (30 ILCS 605/8.2 rep.) | 
 Section 25-35. The State Property Control Act is amended  | 
by repealing Section 8.2.
 | 
 (30 ILCS 750/Art. 3 rep.) | 
 Section 25-40. The Build Illinois Act is amended by  | 
repealing Article 3.
 | 
 (415 ILCS 85/7 rep.)
 | 
 Section 25-45. The Toxic Pollution Prevention Act is  | 
amended by repealing Section 7.
 | 
 (430 ILCS 65/5.1 rep.) | 
 Section 25-50. The Firearm Owners Identification Card Act  | 
is amended by repealing Section 5.1.
 | 
ARTICLE 30.  COMMUNITY CARE PROGRAM
 | 
 Section 30-5. The Illinois Act on the Aging is amended by  | 
changing Section 4.02 as follows:
 | 
 (20 ILCS 105/4.02) (from Ch. 23, par. 6104.02)
 | 
 Sec. 4.02. Community Care Program. The Department shall  | 
establish a program of services to
prevent unnecessary  | 
 | 
institutionalization of persons age 60 and older in
need of  | 
long term care or who are established as persons who suffer  | 
from
Alzheimer's disease or a related disorder under the  | 
Alzheimer's Disease
Assistance Act, thereby enabling them
to  | 
remain in their own homes or in other living arrangements.  | 
Such
preventive services, which may be coordinated with other  | 
programs for the
aged and monitored by area agencies on aging  | 
in cooperation with the
Department, may include, but are not  | 
limited to, any or all of the following:
 | 
  (a) (blank);
 | 
  (b) (blank);
 | 
  (c) home care aide services;
 | 
  (d) personal assistant services;
 | 
  (e) adult day services;
 | 
  (f) home-delivered meals;
 | 
  (g) education in self-care;
 | 
  (h) personal care services;
 | 
  (i) adult day health services;
 | 
  (j) habilitation services;
 | 
  (k) respite care;
 | 
  (k-5) community reintegration services;
 | 
  (k-6) flexible senior services; | 
  (k-7) medication management; | 
  (k-8) emergency home response;
 | 
  (l) other nonmedical social services that may enable  | 
 the person
to become self-supporting; or
 | 
 | 
  (m) clearinghouse for information provided by senior  | 
 citizen home owners
who want to rent rooms to or share  | 
 living space with other senior citizens.
 | 
 The Department shall establish eligibility standards for  | 
such
services. In determining the amount and nature of  | 
services
for which a person may qualify, consideration shall  | 
not be given to the
value of cash, property or other assets  | 
held in the name of the person's
spouse pursuant to a written  | 
agreement dividing marital property into equal
but separate  | 
shares or pursuant to a transfer of the person's interest in a
 | 
home to his spouse, provided that the spouse's share of the  | 
marital
property is not made available to the person seeking  | 
such services.
 | 
 Beginning January 1, 2008, the Department shall require as  | 
a condition of eligibility that all new financially eligible  | 
applicants apply for and enroll in medical assistance under  | 
Article V of the Illinois Public Aid Code in accordance with  | 
rules promulgated by the Department.
 | 
 The Department shall, in conjunction with the Department  | 
of Public Aid (now Department of Healthcare and Family  | 
Services),
seek appropriate amendments under Sections 1915 and  | 
1924 of the Social
Security Act. The purpose of the amendments  | 
shall be to extend eligibility
for home and community based  | 
services under Sections 1915 and 1924 of the
Social Security  | 
Act to persons who transfer to or for the benefit of a
spouse  | 
those amounts of income and resources allowed under Section  | 
 | 
1924 of
the Social Security Act. Subject to the approval of  | 
such amendments, the
Department shall extend the provisions of  | 
Section 5-4 of the Illinois
Public Aid Code to persons who, but  | 
for the provision of home or
community-based services, would  | 
require the level of care provided in an
institution, as is  | 
provided for in federal law. Those persons no longer
found to  | 
be eligible for receiving noninstitutional services due to  | 
changes
in the eligibility criteria shall be given 45 days  | 
notice prior to actual
termination. Those persons receiving  | 
notice of termination may contact the
Department and request  | 
the determination be appealed at any time during the
45 day  | 
notice period. The target
population identified for the  | 
purposes of this Section are persons age 60
and older with an  | 
identified service need. Priority shall be given to those
who  | 
are at imminent risk of institutionalization. The services  | 
shall be
provided to eligible persons age 60 and older to the  | 
extent that the cost
of the services together with the other  | 
personal maintenance
expenses of the persons are reasonably  | 
related to the standards
established for care in a group  | 
facility appropriate to the person's
condition. These  | 
non-institutional services, pilot projects or
experimental  | 
facilities may be provided as part of or in addition to
those  | 
authorized by federal law or those funded and administered by  | 
the
Department of Human Services. The Departments of Human  | 
Services, Healthcare and Family Services,
Public Health,  | 
Veterans' Affairs, and Commerce and Economic Opportunity and
 | 
 | 
other appropriate agencies of State, federal and local  | 
governments shall
cooperate with the Department on Aging in  | 
the establishment and development
of the non-institutional  | 
services. The Department shall require an annual
audit from  | 
all personal assistant
and home care aide vendors contracting  | 
with
the Department under this Section. The annual audit shall  | 
assure that each
audited vendor's procedures are in compliance  | 
with Department's financial
reporting guidelines requiring an  | 
administrative and employee wage and benefits cost split as  | 
defined in administrative rules. The audit is a public record  | 
under
the Freedom of Information Act. The Department shall  | 
execute, relative to
the nursing home prescreening project,  | 
written inter-agency
agreements with the Department of Human  | 
Services and the Department
of Healthcare and Family Services,  | 
to effect the following: (1) intake procedures and common
 | 
eligibility criteria for those persons who are receiving  | 
non-institutional
services; and (2) the establishment and  | 
development of non-institutional
services in areas of the  | 
State where they are not currently available or are
 | 
undeveloped. On and after July 1, 1996, all nursing home  | 
prescreenings for
individuals 60 years of age or older shall  | 
be conducted by the Department.
 | 
 As part of the Department on Aging's routine training of  | 
case managers and case manager supervisors, the Department may  | 
include information on family futures planning for persons who  | 
are age 60 or older and who are caregivers of their adult  | 
 | 
children with developmental disabilities. The content of the  | 
training shall be at the Department's discretion. | 
 The Department is authorized to establish a system of  | 
recipient copayment
for services provided under this Section,  | 
such copayment to be based upon
the recipient's ability to pay  | 
but in no case to exceed the actual cost of
the services  | 
provided. Additionally, any portion of a person's income which
 | 
is equal to or less than the federal poverty standard shall not  | 
be
considered by the Department in determining the copayment.  | 
The level of
such copayment shall be adjusted whenever  | 
necessary to reflect any change
in the officially designated  | 
federal poverty standard.
 | 
 The Department, or the Department's authorized  | 
representative, may
recover the amount of moneys expended for  | 
services provided to or in
behalf of a person under this  | 
Section by a claim against the person's
estate or against the  | 
estate of the person's surviving spouse, but no
recovery may  | 
be had until after the death of the surviving spouse, if
any,  | 
and then only at such time when there is no surviving child who
 | 
is under age 21 or blind or who has a permanent and total  | 
disability. This
paragraph, however, shall not bar recovery,  | 
at the death of the person, of
moneys for services provided to  | 
the person or in behalf of the person under
this Section to  | 
which the person was not entitled;
provided that such recovery  | 
shall not be enforced against any real estate while
it is  | 
occupied as a homestead by the surviving spouse or other  | 
 | 
dependent, if no
claims by other creditors have been filed  | 
against the estate, or, if such
claims have been filed, they  | 
remain dormant for failure of prosecution or
failure of the  | 
claimant to compel administration of the estate for the  | 
purpose
of payment. This paragraph shall not bar recovery from  | 
the estate of a spouse,
under Sections 1915 and 1924 of the  | 
Social Security Act and Section 5-4 of the
Illinois Public Aid  | 
Code, who precedes a person receiving services under this
 | 
Section in death. All moneys for services
paid to or in behalf  | 
of the person under this Section shall be claimed for
recovery  | 
from the deceased spouse's estate. "Homestead", as used
in  | 
this paragraph, means the dwelling house and
contiguous real  | 
estate occupied by a surviving spouse
or relative, as defined  | 
by the rules and regulations of the Department of Healthcare  | 
and Family Services, regardless of the value of the property.
 | 
 The Department shall increase the effectiveness of the  | 
existing Community Care Program by: | 
  (1) ensuring that in-home services included in the  | 
 care plan are available on evenings and weekends; | 
  (2) ensuring that care plans contain the services that  | 
 eligible participants
need based on the number of days in  | 
 a month, not limited to specific blocks of time, as  | 
 identified by the comprehensive assessment tool selected  | 
 by the Department for use statewide, not to exceed the  | 
 total monthly service cost maximum allowed for each  | 
 service; the Department shall develop administrative rules  | 
 | 
 to implement this item (2); | 
  (3) ensuring that the participants have the right to  | 
 choose the services contained in their care plan and to  | 
 direct how those services are provided, based on  | 
 administrative rules established by the Department; | 
  (4) ensuring that the determination of need tool is  | 
 accurate in determining the participants' level of need;  | 
 to achieve this, the Department, in conjunction with the  | 
 Older Adult Services Advisory Committee, shall institute a  | 
 study of the relationship between the Determination of  | 
 Need scores, level of need, service cost maximums, and the  | 
 development and utilization of service plans no later than  | 
 May 1, 2008; findings and recommendations shall be  | 
 presented to the Governor and the General Assembly no  | 
 later than January 1, 2009; recommendations shall include  | 
 all needed changes to the service cost maximums schedule  | 
 and additional covered services; | 
  (5) ensuring that homemakers can provide personal care  | 
 services that may or may not involve contact with clients,  | 
 including but not limited to: | 
   (A) bathing; | 
   (B) grooming; | 
   (C) toileting; | 
   (D) nail care; | 
   (E) transferring; | 
   (F) respiratory services; | 
 | 
   (G) exercise; or | 
   (H) positioning; | 
  (6) ensuring that homemaker program vendors are not  | 
 restricted from hiring homemakers who are family members  | 
 of clients or recommended by clients; the Department may  | 
 not, by rule or policy, require homemakers who are family  | 
 members of clients or recommended by clients to accept  | 
 assignments in homes other than the client; | 
  (7) ensuring that the State may access maximum federal  | 
 matching funds by seeking approval for the Centers for  | 
 Medicare and Medicaid Services for modifications to the  | 
 State's home and community based services waiver and  | 
 additional waiver opportunities, including applying for  | 
 enrollment in the Balance Incentive Payment Program by May  | 
 1, 2013, in order to maximize federal matching funds; this  | 
 shall include, but not be limited to, modification that  | 
 reflects all changes in the Community Care Program  | 
 services and all increases in the services cost maximum; | 
  (8) ensuring that the determination of need tool  | 
 accurately reflects the service needs of individuals with  | 
 Alzheimer's disease and related dementia disorders;  | 
  (9) ensuring that services are authorized accurately  | 
 and consistently for the Community Care Program (CCP); the  | 
 Department shall implement a Service Authorization policy  | 
 directive; the purpose shall be to ensure that eligibility  | 
 and services are authorized accurately and consistently in  | 
 | 
 the CCP program; the policy directive shall clarify  | 
 service authorization guidelines to Care Coordination  | 
 Units and Community Care Program providers no later than  | 
 May 1, 2013; | 
  (10) working in conjunction with Care Coordination  | 
 Units, the Department of Healthcare and Family Services,  | 
 the Department of Human Services, Community Care Program  | 
 providers, and other stakeholders to make improvements to  | 
 the Medicaid claiming processes and the Medicaid  | 
 enrollment procedures or requirements as needed,  | 
 including, but not limited to, specific policy changes or  | 
 rules to improve the up-front enrollment of participants  | 
 in the Medicaid program and specific policy changes or  | 
 rules to insure more prompt submission of bills to the  | 
 federal government to secure maximum federal matching  | 
 dollars as promptly as possible; the Department on Aging  | 
 shall have at least 3 meetings with stakeholders by  | 
 January 1, 2014 in order to address these improvements; | 
  (11) requiring home care service providers to comply  | 
 with the rounding of hours worked provisions under the  | 
 federal Fair Labor Standards Act (FLSA) and as set forth  | 
 in 29 CFR 785.48(b) by May 1, 2013; | 
  (12) implementing any necessary policy changes or  | 
 promulgating any rules, no later than January 1, 2014, to  | 
 assist the Department of Healthcare and Family Services in  | 
 moving as many participants as possible, consistent with  | 
 | 
 federal regulations, into coordinated care plans if a care  | 
 coordination plan that covers long term care is available  | 
 in the recipient's area; and  | 
  (13) maintaining fiscal year 2014 rates at the same  | 
 level established on January 1, 2013.  | 
 By January 1, 2009 or as soon after the end of the Cash and  | 
Counseling Demonstration Project as is practicable, the  | 
Department may, based on its evaluation of the demonstration  | 
project, promulgate rules concerning personal assistant  | 
services, to include, but need not be limited to,  | 
qualifications, employment screening, rights under fair labor  | 
standards, training, fiduciary agent, and supervision  | 
requirements. All applicants shall be subject to the  | 
provisions of the Health Care Worker Background Check Act.
 | 
 The Department shall develop procedures to enhance  | 
availability of
services on evenings, weekends, and on an  | 
emergency basis to meet the
respite needs of caregivers.  | 
Procedures shall be developed to permit the
utilization of  | 
services in successive blocks of 24 hours up to the monthly
 | 
maximum established by the Department. Workers providing these  | 
services
shall be appropriately trained.
 | 
 Beginning on the effective date of this amendatory Act of  | 
1991, no person
may perform chore/housekeeping and home care  | 
aide services under a program
authorized by this Section  | 
unless that person has been issued a certificate
of  | 
pre-service to do so by his or her employing agency.  | 
 | 
Information
gathered to effect such certification shall  | 
include (i) the person's name,
(ii) the date the person was  | 
hired by his or her current employer, and
(iii) the training,  | 
including dates and levels. Persons engaged in the
program  | 
authorized by this Section before the effective date of this
 | 
amendatory Act of 1991 shall be issued a certificate of all  | 
pre- and
in-service training from his or her employer upon  | 
submitting the necessary
information. The employing agency  | 
shall be required to retain records of
all staff pre- and  | 
in-service training, and shall provide such records to
the  | 
Department upon request and upon termination of the employer's  | 
contract
with the Department. In addition, the employing  | 
agency is responsible for
the issuance of certifications of  | 
in-service training completed to their
employees.
 | 
 The Department is required to develop a system to ensure  | 
that persons
working as home care aides and personal  | 
assistants
receive increases in their
wages when the federal  | 
minimum wage is increased by requiring vendors to
certify that  | 
they are meeting the federal minimum wage statute for home  | 
care aides
and personal assistants. An employer that cannot  | 
ensure that the minimum
wage increase is being given to home  | 
care aides and personal assistants
shall be denied any  | 
increase in reimbursement costs.
 | 
 The Community Care Program Advisory Committee is created  | 
in the Department on Aging. The Director shall appoint  | 
individuals to serve in the Committee, who shall serve at  | 
 | 
their own expense. Members of the Committee must abide by all  | 
applicable ethics laws. The Committee shall advise the  | 
Department on issues related to the Department's program of  | 
services to prevent unnecessary institutionalization. The  | 
Committee shall meet on a bi-monthly basis and shall serve to  | 
identify and advise the Department on present and potential  | 
issues affecting the service delivery network, the program's  | 
clients, and the Department and to recommend solution  | 
strategies. Persons appointed to the Committee shall be  | 
appointed on, but not limited to, their own and their agency's  | 
experience with the program, geographic representation, and  | 
willingness to serve. The Director shall appoint members to  | 
the Committee to represent provider, advocacy, policy  | 
research, and other constituencies committed to the delivery  | 
of high quality home and community-based services to older  | 
adults. Representatives shall be appointed to ensure  | 
representation from community care providers including, but  | 
not limited to, adult day service providers, homemaker  | 
providers, case coordination and case management units,  | 
emergency home response providers, statewide trade or labor  | 
unions that represent home care
aides and direct care staff,  | 
area agencies on aging, adults over age 60, membership  | 
organizations representing older adults, and other  | 
organizational entities, providers of care, or individuals  | 
with demonstrated interest and expertise in the field of home  | 
and community care as determined by the Director. | 
 | 
 Nominations may be presented from any agency or State  | 
association with interest in the program. The Director, or his  | 
or her designee, shall serve as the permanent co-chair of the  | 
advisory committee. One other co-chair shall be nominated and  | 
approved by the members of the committee on an annual basis.  | 
Committee members' terms of appointment shall be for 4 years  | 
with one-quarter of the appointees' terms expiring each year.  | 
A member shall continue to serve until his or her replacement  | 
is named. The Department shall fill vacancies that have a  | 
remaining term of over one year, and this replacement shall  | 
occur through the annual replacement of expiring terms. The  | 
Director shall designate Department staff to provide technical  | 
assistance and staff support to the committee. Department  | 
representation shall not constitute membership of the  | 
committee. All Committee papers, issues, recommendations,  | 
reports, and meeting memoranda are advisory only. The  | 
Director, or his or her designee, shall make a written report,  | 
as requested by the Committee, regarding issues before the  | 
Committee.
 | 
 The Department on Aging and the Department of Human  | 
Services
shall cooperate in the development and submission of  | 
an annual report on
programs and services provided under this  | 
Section. Such joint report
shall be filed with the Governor  | 
and the General Assembly on or before
September 30 each year.
 | 
 The requirement for reporting to the General Assembly  | 
shall be satisfied
by filing copies of the report
as required  | 
 | 
by Section 3.1 of the General Assembly Organization Act and
 | 
filing such additional copies with the State Government Report  | 
Distribution
Center for the General Assembly as is required  | 
under paragraph (t) of
Section 7 of the State Library Act.
 | 
 Those persons previously found eligible for receiving  | 
non-institutional
services whose services were discontinued  | 
under the Emergency Budget Act of
Fiscal Year 1992, and who do  | 
not meet the eligibility standards in effect
on or after July  | 
1, 1992, shall remain ineligible on and after July 1,
1992.  | 
Those persons previously not required to cost-share and who  | 
were
required to cost-share effective March 1, 1992, shall  | 
continue to meet
cost-share requirements on and after July 1,  | 
1992. Beginning July 1, 1992,
all clients will be required to  | 
meet
eligibility, cost-share, and other requirements and will  | 
have services
discontinued or altered when they fail to meet  | 
these requirements. | 
 For the purposes of this Section, "flexible senior  | 
services" refers to services that require one-time or periodic  | 
expenditures including, but not limited to, respite care, home  | 
modification, assistive technology, housing assistance, and  | 
transportation.
 | 
 The Department shall implement an electronic service  | 
verification based on global positioning systems or other  | 
cost-effective technology for the Community Care Program no  | 
later than January 1, 2014.  | 
 The Department shall require, as a condition of  | 
 | 
eligibility, enrollment in the medical assistance program  | 
under Article V of the Illinois Public Aid Code (i) beginning  | 
August 1, 2013, if the Auditor General has reported that the  | 
Department has failed
to comply with the reporting  | 
requirements of Section 2-27 of
the Illinois State Auditing  | 
Act; or (ii) beginning June 1, 2014, if the Auditor General has  | 
reported that the
Department has not undertaken the required  | 
actions listed in
the report required by subsection (a) of  | 
Section 2-27 of the
Illinois State Auditing Act.  | 
 The Department shall delay Community Care Program services  | 
until an applicant is determined eligible for medical  | 
assistance under Article V of the Illinois Public Aid Code (i)  | 
beginning August 1, 2013, if the Auditor General has reported  | 
that the Department has failed
to comply with the reporting  | 
requirements of Section 2-27 of
the Illinois State Auditing  | 
Act; or (ii) beginning June 1, 2014, if the Auditor General has  | 
reported that the
Department has not undertaken the required  | 
actions listed in
the report required by subsection (a) of  | 
Section 2-27 of the
Illinois State Auditing Act.  | 
 The Department shall implement co-payments for the  | 
Community Care Program at the federally allowable maximum  | 
level (i) beginning August 1, 2013, if the Auditor General has  | 
reported that the Department has failed
to comply with the  | 
reporting requirements of Section 2-27 of
the Illinois State  | 
Auditing Act; or (ii) beginning June 1, 2014, if the Auditor  | 
General has reported that the
Department has not undertaken  | 
 | 
the required actions listed in
the report required by  | 
subsection (a) of Section 2-27 of the
Illinois State Auditing  | 
Act.  | 
 The Department shall continue to provide other Community  | 
Care Program reports as required by statute.  | 
 The Department shall provide a bi-monthly report on the  | 
progress of the Community Care Program reforms set forth in  | 
this amendatory Act of the 98th General Assembly to the  | 
Governor, the Speaker of the House of Representatives, the  | 
Minority Leader of the House of Representatives, the
President  | 
of the
Senate, and the Minority Leader of the Senate.  | 
 The Department shall conduct a quarterly review of Care  | 
Coordination Unit performance and adherence to service  | 
guidelines. The quarterly review shall be reported to the  | 
Speaker of the House of Representatives, the Minority Leader  | 
of the House of Representatives, the
President of the
Senate,  | 
and the Minority Leader of the Senate. The Department shall  | 
collect and report longitudinal data on the performance of  | 
each care coordination unit. Nothing in this paragraph shall  | 
be construed to require the Department to identify specific  | 
care coordination units.  | 
 In regard to community care providers, failure to comply  | 
with Department on Aging policies shall be cause for  | 
disciplinary action, including, but not limited to,  | 
disqualification from serving Community Care Program clients.  | 
Each provider, upon submission of any bill or invoice to the  | 
 | 
Department for payment for services rendered, shall include a  | 
notarized statement, under penalty of perjury pursuant to  | 
Section 1-109 of the Code of Civil Procedure, that the  | 
provider has complied with all Department policies.  | 
 The Director of the Department on Aging shall make  | 
information available to the State Board of Elections as may  | 
be required by an agreement the State Board of Elections has  | 
entered into with a multi-state voter registration list  | 
maintenance system.  | 
 Within 30 days after July 6, 2017 (the effective date of  | 
Public Act 100-23), rates shall be increased to $18.29 per  | 
hour, for the purpose of increasing, by at least $.72 per hour,  | 
the wages paid by those vendors to their employees who provide  | 
homemaker services. The Department shall pay an enhanced rate  | 
under the Community Care Program to those in-home service  | 
provider agencies that offer health insurance coverage as a  | 
benefit to their direct service worker employees consistent  | 
with the mandates of Public Act 95-713. For State fiscal years  | 
2018 and 2019, the enhanced rate shall be $1.77 per hour. The  | 
rate shall be adjusted using actuarial analysis based on the  | 
cost of care, but shall not be set below $1.77 per hour. The  | 
Department shall adopt rules, including emergency rules under  | 
subsections (y) and (bb) of Section 5-45 of the Illinois  | 
Administrative Procedure Act, to implement the provisions of  | 
this paragraph.  | 
 The General Assembly finds it necessary to authorize an  | 
 | 
aggressive Medicaid enrollment initiative designed to maximize  | 
federal Medicaid funding for the Community Care Program which  | 
produces significant savings for the State of Illinois. The  | 
Department on Aging shall establish and implement a Community  | 
Care Program Medicaid Initiative. Under the Initiative, the
 | 
Department on Aging shall, at a minimum: (i) provide an  | 
enhanced rate to adequately compensate care coordination units  | 
to enroll eligible Community Care Program clients into  | 
Medicaid; (ii) use recommendations from a stakeholder  | 
committee on how best to implement the Initiative; and (iii)  | 
establish requirements for State agencies to make enrollment  | 
in the State's Medical Assistance program easier for seniors.  | 
 The Community Care Program Medicaid Enrollment Oversight  | 
Subcommittee is created as a subcommittee of the Older Adult  | 
Services Advisory Committee established in Section 35 of the  | 
Older Adult Services Act to make recommendations on how best  | 
to increase the number of medical assistance recipients who  | 
are enrolled in the Community Care Program. The Subcommittee  | 
shall consist of all of the following persons who must be  | 
appointed within 30 days after the effective date of this  | 
amendatory Act of the 100th General Assembly:  | 
  (1) The Director of Aging, or his or her designee, who  | 
 shall serve as the chairperson of the Subcommittee.  | 
  (2) One representative of the Department of Healthcare  | 
 and Family Services, appointed by the Director of  | 
 Healthcare and Family Services.  | 
 | 
  (3) One representative of the Department of Human  | 
 Services, appointed by the Secretary of Human Services.  | 
  (4) One individual representing a care coordination  | 
 unit, appointed by the Director of Aging.  | 
  (5) One individual from a non-governmental statewide  | 
 organization that advocates for seniors, appointed by the  | 
 Director of Aging.  | 
  (6) One individual representing Area Agencies on  | 
 Aging, appointed by the Director of Aging.  | 
  (7) One individual from a statewide association  | 
 dedicated to Alzheimer's care, support, and research,  | 
 appointed by the Director of Aging.  | 
  (8) One individual from an organization that employs  | 
 persons who provide services under the Community Care  | 
 Program, appointed by the Director of Aging.  | 
  (9) One member of a trade or labor union representing  | 
 persons who provide services under the Community Care  | 
 Program, appointed by the Director of Aging.  | 
  (10) One member of the Senate, who shall serve as  | 
 co-chairperson, appointed by the President of the Senate.  | 
  (11) One member of the Senate, who shall serve as  | 
 co-chairperson, appointed by the Minority Leader of the  | 
 Senate.  | 
  (12) One member of the House of
Representatives, who  | 
 shall serve as co-chairperson, appointed by the Speaker of  | 
 the House of Representatives.  | 
 | 
  (13) One member of the House of Representatives, who  | 
 shall serve as co-chairperson, appointed by the Minority  | 
 Leader of the House of Representatives.  | 
  (14) One individual appointed by a labor organization  | 
 representing frontline employees at the Department of  | 
 Human Services.  | 
 The Subcommittee shall provide oversight to the Community  | 
Care Program Medicaid Initiative and shall meet quarterly. At  | 
each Subcommittee meeting the Department on Aging shall  | 
provide the following data sets to the Subcommittee: (A) the  | 
number of Illinois residents, categorized by planning and  | 
service area, who are receiving services under the Community  | 
Care Program and are enrolled in the State's Medical  | 
Assistance Program; (B) the number of Illinois residents,  | 
categorized by planning and service area, who are receiving  | 
services under the Community Care Program, but are not  | 
enrolled in the State's Medical Assistance Program; and (C)  | 
the number of Illinois residents, categorized by planning and  | 
service area, who are receiving services under the Community  | 
Care Program and are eligible for benefits under the State's  | 
Medical Assistance Program, but are not enrolled in the  | 
State's Medical Assistance Program. In addition to this data,  | 
the Department on Aging shall provide the Subcommittee with  | 
plans on how the Department on Aging will reduce the number of  | 
Illinois residents who are not enrolled in the State's Medical  | 
Assistance Program but who are eligible for medical assistance  | 
 | 
benefits. The Department on Aging shall enroll in the State's  | 
Medical Assistance Program those Illinois residents who  | 
receive services under the Community Care Program and are  | 
eligible for medical assistance benefits but are not enrolled  | 
in the State's Medicaid Assistance Program. The data provided  | 
to the Subcommittee shall be made available to the public via  | 
the Department on Aging's website.  | 
 The Department on Aging, with the involvement of the  | 
Subcommittee, shall collaborate with the Department of Human  | 
Services and the Department of Healthcare and Family Services  | 
on how best to achieve the responsibilities of the Community  | 
Care Program Medicaid Initiative.  | 
 The Department on Aging, the Department of Human Services,  | 
and the Department of Healthcare and Family Services shall  | 
coordinate and implement a streamlined process for seniors to  | 
access benefits under the State's Medical Assistance Program.  | 
 The Subcommittee shall collaborate with the Department of  | 
Human Services on the adoption of a uniform application  | 
submission process. The Department of Human Services and any  | 
other State agency involved with processing the medical  | 
assistance application of any person enrolled in the Community  | 
Care Program shall include the appropriate care coordination  | 
unit in all communications related to the determination or  | 
status of the application.  | 
 The Community Care Program Medicaid Initiative shall  | 
provide targeted funding to care coordination units to help  | 
 | 
seniors complete their applications for medical assistance  | 
benefits. On and after July 1, 2019, care coordination units  | 
shall receive no less than $200 per completed application,  | 
which rate may be included in a bundled rate for initial intake  | 
services when Medicaid application assistance is provided in  | 
conjunction with the initial intake process for new program  | 
participants. | 
 The Community Care Program Medicaid Initiative shall cease  | 
operation 5 years after the effective date of this amendatory  | 
Act of the 100th General Assembly, after which the  | 
Subcommittee shall dissolve.  | 
(Source: P.A. 100-23, eff. 7-6-17; 100-587, eff. 6-4-18;  | 
100-1148, eff. 12-10-18; 101-10, eff. 6-5-19.)
 | 
ARTICLE 35.  OCCUPATIONAL STANDARDS
 | 
 Section 35-5. The Employee Washroom Act is amended by  | 
adding Section 0.05 as follows:
 | 
 (820 ILCS 230/0.05 new) | 
 Sec. 0.05. Federal regulations; operation of Act. | 
 (a) Except as provided in subsection (b), Sections 1  | 
through 5 of this Act are inoperative on and after the  | 
effective date of this amendatory Act of the 102nd General  | 
Assembly. | 
 (b) If at any time the Occupational Safety and Health  | 
 | 
standard at 29 CFR 1910.141 is repealed or revoked, the  | 
Director of Labor shall adopt a rule setting forth a  | 
determination that this Act should be reviewed and reinstated  | 
in order to protect the health and safety of Illinois'  | 
workers. On the date such a rule is adopted, this Act shall  | 
again become operative.
 | 
 Section 35-10. The Work Under Compressed Air Act is  | 
amended by adding Section 1.5 as follows:
 | 
 (820 ILCS 245/1.5 new) | 
 Sec. 1.5. Federal regulations; operation of Act. | 
 (a) Except as provided in subsection (b), Sections 1  | 
through 6 of this Act are inoperative on and after the  | 
effective date of this amendatory Act of the 102nd General  | 
Assembly. | 
 (b) If at any time the Safety and Health Regulations for  | 
Construction standards at 29 CFR 1926.800 through 29 CFR  | 
1926.804 are repealed or revoked, the Director of Labor shall  | 
adopt a rule setting forth a determination that this Act  | 
should be reviewed and reinstated, in whole or in part, in  | 
order to protect the health and safety of Illinois' workers.  | 
On the date such a rule is adopted, this Act shall again become  | 
operative.
 | 
 Section 35-15. The Underground Sewer Employee Safety Act  | 
 | 
is amended by changing Section 1 and by adding Section 0.05 as  | 
follows:
 | 
 (820 ILCS 250/0.05 new) | 
 Sec. 0.05. Federal regulations; operation of Act. | 
 (a) Except as provided in subsection (b), Sections 1  | 
through 6 of this Act are inoperative on and after the  | 
effective date of this amendatory Act of the 102nd General  | 
Assembly. | 
 (b) If at any time the Occupational Safety and Health  | 
standards at 29 CFR 1910.120, 29 CFR 1910.146 or the Safety and  | 
Health Regulations for Construction standards 29 CFR 1926.1201  | 
through 29 CFR 1926.1213 are repealed or revoked, the Director  | 
of Labor shall adopt a rule setting forth a determination that  | 
this Act should be reviewed and reinstated, in whole or in  | 
part, in order to protect the health and safety of Illinois'  | 
workers. On the date such a rule is adopted, this Act shall  | 
again become operative.
 | 
 (820 ILCS 250/1) (from Ch. 48, par. 1101)
 | 
 Sec. 1. 
This Act shall apply to all employers engaged in  | 
any occupation,
business or enterprise in this State,  | 
including the State of Illinois and
its political  | 
subdivisions, except that in the event of a conflict between
 | 
this Act and any other Federal or State law or regulation  | 
concerning health
and safety of employees, such other law or  | 
 | 
regulation shall control.
 | 
(Source: P.A. 81-772.)
 | 
 Section 35-20. The Toxic Substances Disclosure to  | 
Employees Act is amended by changing Section 1.5 as follows:
 | 
 (820 ILCS 255/1.5) | 
 Sec. 1.5. Federal regulations; operation of Act. | 
 (a) Except as provided in subsection (b), Sections 2  | 
through 17 of this Act are inoperative on and after the  | 
effective date of this amendatory Act of the 102nd 95th  | 
General Assembly, and the Department of Labor shall instead  | 
enforce the Occupational Safety and Health Administration  | 
Hazard Communication standards at 29 CFR 1910.1200, as  | 
amended.
 | 
 (b) If at any time the Occupational Safety and Health  | 
Administration Hazard Communication standard at 29 CFR  | 
1910.1200 is repealed or revoked, the Director of Labor shall  | 
adopt a rule setting forth a determination that this Act  | 
should be reviewed and reinstated in order to protect the  | 
health and safety of Illinois' public sector workers. On the  | 
date such a rule is adopted, this Act shall again become  | 
operative.
 | 
(Source: P.A. 95-623, eff. 9-17-07.)
 | 
ARTICLE 40.  HEALTH CARE
 | 
 | 
 (110 ILCS 330/8a rep.) | 
 Section 40-5. The University of Illinois Hospital Act is  | 
amended by repealing Section 8a.
 | 
 (110 ILCS 340/Act rep.)
 | 
 Section 40-10. The University of Illinois Gerontological  | 
Committee Act is repealed.
 | 
 (110 ILCS 430/Act rep.)  | 
 Section 40-15. The Illinois Health Policy Center Act is  | 
repealed.
 | 
 Section 40-20. The Health in All Policies Act is amended  | 
by changing Section 10 as follows:
 | 
 (410 ILCS 155/10)
 | 
 Sec. 10. Workgroup.  | 
 (a) The University of Illinois at Chicago School of Public  | 
Health, in consultation with the Department of Public Health,  | 
shall convene a workgroup to review legislation and make new  | 
policy recommendations relating to the health of residents of  | 
the State.  | 
 (b) The workgroup shall examine the following: | 
  (1) The health of residents of the State, to the  | 
 extent necessary to carry out the requirements of this  | 
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 Act. | 
  (2) Ways for units of local government and State  | 
 agencies to collaborate in implementing policies that will  | 
 positively impact the health of residents of the State. | 
  (3) The impact of the following on the health of  | 
 residents of the State:  | 
   (A) Access to safe and affordable housing.  | 
   (B) Educational attainment.  | 
   (C) Opportunities for employment.  | 
   (D) Economic stability.  | 
   (E) Inclusion, diversity, and equity in the  | 
 workplace.  | 
   (F) Barriers to career success and promotion in  | 
 the workplace.  | 
   (G) Access to transportation and mobility.  | 
   (H) Social justice.  | 
   (I) Environmental factors.  | 
   (J) Public safety, including the impact of crime,  | 
 citizen unrest, the criminal justice system, and  | 
 governmental policies that affect individuals who are  | 
 in prison or released from prison.  | 
 (c) The workgroup, using a health in all policies  | 
framework, shall perform the following: | 
  (1) Review and make recommendations regarding how  | 
 health considerations may be incorporated into the  | 
 decision-making processes of government agencies and  | 
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 private stakeholders who interact with government  | 
 agencies. | 
  (2) Foster collaboration among units of local  | 
 government and State agencies. | 
  (3) Develop laws and policies to improve health and  | 
 reduce health inequities. | 
  (4) Make recommendations regarding how to implement  | 
 laws and policies to improve health and reduce health  | 
 inequities.  | 
 (d) The workgroup shall consist of the following members:  | 
  (1) The Secretary of Human Services, or the  | 
 Secretary's designee.  | 
  (2) The Secretary of Transportation, or the  | 
 Secretary's designee.  | 
  (3) The Director of the Illinois Environmental  | 
 Protection Agency, or the Director's designee.  | 
  (4) The Director of Agriculture, or the Director's  | 
 designee.  | 
  (5) The Director of Labor, or the Director's designee.  | 
  (6) The Director of Public Health, or the Director's  | 
 designee. | 
  (7) One representative of a statewide public health  | 
 association.  | 
  (8) One administrator of a Federally Qualified Health  | 
 Center.  | 
  (9) One administrator of a public health department  | 
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 local to the University of Illinois at Chicago. | 
  (10) One representative of an association representing  | 
 hospitals and health systems. | 
  (11) The Director of Healthcare and Family Services,  | 
 or the Director's designee. | 
  (12) The State Superintendent of Education, or the  | 
 Superintendent's designee. | 
  (13) The Director of Corrections, or the Director's  | 
 designee. | 
  (14) The Chair of the Criminal Justice Information  | 
 Authority, or the Chair's designee. | 
  (15) The Director of Commerce and Economic  | 
 Opportunity, or the Director's designee. | 
  (16) The Director of Aging, or the Director's  | 
 designee. | 
  (17) One representative of the Office of the Governor  | 
 appointed by the Governor. | 
  (18) One representative of a local health department  | 
 located in a county with a population of less than  | 
 3,000,000. | 
  (19) One representative of a statewide public health  | 
 institute representing multisector public health system  | 
 stakeholders. | 
  (20) Two representatives of organizations that  | 
 represent minority populations in public health. | 
  (21) One representative of a statewide organization  | 
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 representing physicians licensed to practice medicine in  | 
 all its branches. | 
 (e) To the extent practicable, the members of the  | 
workgroup shall reflect the geographic, racial, ethnic,  | 
cultural, and gender diversity of the State.  | 
 (f) Workgroup members shall serve without compensation. | 
 (g) A State agency or entity shall, in a timely manner,  | 
provide information in response to requests for information  | 
submitted by the workgroup, except where that information is  | 
otherwise prohibited from disclosure or dissemination by  | 
federal or State law, rules or regulations implementing  | 
federal or State law, or a court order. | 
 (h) The Department of Public Health shall provide  | 
administrative and other support to the workgroup.
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 (i) The workgroup shall meet at least twice a year and at  | 
other times as it deems appropriate. The workgroup shall  | 
prepare a report that summarizes its work and makes  | 
recommendations resulting from its study. On an annual basis,  | 
the University of Illinois at Chicago School of Public Health,  | 
in consultation with the Department of Public Health and  | 
members of the workgroup, shall determine a focus area for the  | 
report. Focus areas may include, but are not limited to, the  | 
areas designated in subsection (b) of Section 10. The  | 
workgroup shall submit the report of its findings and  | 
recommendations to the General Assembly by December 31, 2022  | 
2020 and by December 31 of each year thereafter. The annual  | 
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report and recommendations shall be shared with the Department  | 
of Public Health and the State Board of Health and shall be  | 
considered in the development of the State Health Improvement  | 
Plan every 5 years.
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(Source: P.A. 101-250, eff. 1-1-20.)
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ARTICLE 45.  ILLINOIS IMMIGRANT IMPACT TASK FORCE REPORT
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 Section 45-5. The Illinois Immigrant Impact Task Force Act  | 
is amended by changing Section 5 as follows:
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 (20 ILCS 5156/5) | 
 (Section scheduled to be repealed on January 1, 2023)
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 Sec. 5. Illinois Immigrant Impact Task Force.
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 (a) There is hereby established the Illinois Immigrant  | 
Impact Task Force.
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 (b) The Task Force shall consist of 27 members appointed  | 
as follows:
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  (1) one member appointed by the President of the  | 
 Senate;
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  (2) one member appointed by the Speaker of the House  | 
 of Representatives;
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  (3) one member appointed by the Minority Leader of the  | 
 Senate;
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  (4) one member appointed by the Minority Leader of the  | 
 House of Representatives;
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  (5) one representative of the Governor's Office;
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  (6) one representative of the Governor's Office of  | 
 Management and Budget;
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  (7) one representative of the Lieutenant Governor's  | 
 Office;
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  (8) the Executive Director of the Illinois Housing  | 
 Development Authority or his or her designee;
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  (9) the Secretary of Human Services or his or her  | 
 designee;
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  (10) the Director on Aging or his or her designee;
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  (11) the Director of Commerce and Economic Opportunity  | 
 or his or her designee;
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  (12) the Director of Children and Family Services or  | 
 his or her designee;
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  (13) the Director of Public Health or his or her  | 
 designee;
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  (14) the Director of Healthcare and Family Services or  | 
 his or her designee;
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  (15) the Director of Human Rights or his or her  | 
 designee;
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  (16) the Director of Employment Security or his or her  | 
 designee; | 
  (17) the Director of Juvenile Justice or his or her  | 
 designee; | 
  (18) the Director of Corrections or his or her  | 
 designee; | 
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  (19) the Executive Director of the Illinois Criminal  | 
 Justice Information Authority or his or her designee; | 
  (20) the Chairman of the State Board of Education or  | 
 his or her designee; | 
  (21) the Chairman of the Board of Higher Education or  | 
 his or her designee; | 
  (22) the Chairman of the Illinois Community College  | 
 Board or his or her designee; and | 
  (23) five representatives from organizations offering  | 
 aid or services to immigrants, appointed by the Governor. | 
 (c) The Task Force shall convene as soon as practicable  | 
after the effective date of this Act, and shall hold at least 6  | 
meetings. Members of the Task Force shall serve without  | 
compensation. The Department of Human Services, in  | 
consultation with any other State agency relevant to the issue  | 
of immigration in this State, shall provide administrative and  | 
other support to the Task Force.
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 (d) The Task Force shall examine the following issues:
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  (1) what the State of Illinois is currently doing to  | 
 proactively help immigrant communities in this State,  | 
 including whether such persons are receiving help to  | 
 become citizens, receiving help to become business owners,  | 
 and receiving aid for educational purposes;
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  (2) what can the State do going forward to improve  | 
 relations between the State and immigrant communities in  | 
 this State;
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  (3) what is the status of immigrant communities from  | 
 urban, suburban, and rural areas of this State, and  | 
 whether adequate support and resources have been provided  | 
 to these communities;
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  (4) the extent to which immigrants in this State are  | 
 being discriminated against;
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  (5) whether the laws specifically intended to benefit  | 
 immigrant populations in this State are actually having a  | 
 beneficial effect; | 
  (6) the practices and procedures of the federal  | 
 Immigration and Customs Enforcement agency within this  | 
 State; | 
  (7) the use and condition of detention centers in this  | 
 State; | 
  (8) all contracts in Illinois entered into with United  | 
 States Immigration and Customs Enforcement, including  | 
 contracts with private detention centers, the Illinois  | 
 State Police, and the Secretary of State's Office,  | 
 Division of Motor Vehicles; | 
  (9) the impact of the COVID-19 pandemic on immigrant  | 
 communities, including health impact rates,
employment  | 
 rates, housing, small businesses, and community  | 
 development; | 
  (10) the disbursement of funds received by different  | 
 agencies that went to immigrant
communities; | 
  (11) language access programs and their impact on  | 
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 helping immigrant communities better
interact with State  | 
 agencies, and whether existing language access programs  | 
 are effective in helping immigrant communities interact  | 
 with the State. The Task Force shall also examine whether  | 
 all
State agencies provide language access for non-English  | 
 speakers, and which agencies and
in what regions of the  | 
 State is there a lack of language access that creates  | 
 barriers for non-English dominant speakers from accessing  | 
 support from the State; | 
  (12) the extent to which disparities in access to  | 
 technology exist in immigrant communities and whether they  | 
 lead to educational, financial, and other disadvantages;  | 
 and | 
  (13) the extent to which State programs intended for  | 
 vulnerable populations such as victims of trafficking,  | 
 crime, and abuse are being implemented or need to be  | 
 implemented. | 
 (e) The Task Force shall report its findings and  | 
recommendations based upon its examination of issues under  | 
subsection (d) to the Governor and the General Assembly on or  | 
before December 31, 2022 May 31, 2022.
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(Source: P.A. 102-236, eff. 8-2-21.)
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ARTICLE 99.  EFFECTIVE DATE
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 Section 99-99. Effective date. This Act takes effect upon  | 
becoming law. 
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