| 
| Public Act 102-1030
 | 
| SB3865 Enrolled | LRB102 24242 RJF 33473 b |  
  | 
 | 
 AN ACT concerning State government.
 | 
 Be it enacted by the People of the State of Illinois,
 | 
represented in the General Assembly:
 | 
 Section 1. Legislative intent. It is the intent of the  | 
General Assembly in enacting this amendatory Act of the 102nd  | 
General Assembly to make only nonsubstantive changes that  | 
remove the dehumanizing term "alien" from all Illinois  | 
statutory provisions. No change made by this amendatory Act of  | 
the 102nd General Assembly shall be interpreted so as to make  | 
any substantive change to existing law, including, but not  | 
limited to, eligibility for federal programs or benefits that  | 
are available to a person who meets the definition of "alien"  | 
under State or federal law.
 | 
 Section 5. The Illinois Notary Public Act is amended by  | 
changing Section 2-102 as follows:
 | 
 (5 ILCS 312/2-102) (from Ch. 102, par. 202-102)
 | 
 (Text of Section before amendment by P.A. 102-160)
 | 
 Sec. 2-102. Application. Every applicant for appointment  | 
and commission as a notary shall complete
an application in a  | 
format prescribed by the Secretary of State to be filed with
 | 
the Secretary of State, stating:
 | 
  (a) the applicant's official name, as it appears on  | 
 | 
 his or her current driver's license or state-issued  | 
 identification card;
 | 
  (b) the county in which the applicant resides
or, if  | 
 the applicant is a resident of a state bordering Illinois,  | 
 the county
in Illinois in which that person's principal  | 
 place of work or principal place
of business is located;
 | 
  (c) the applicant's residence address, as it appears  | 
 on his or her current driver's license or state-issued  | 
 identification card;
 | 
  (c-5) the applicant's business address if different  | 
 than the applicant's residence address, if performing  | 
 notarial acts constitutes any portion of the applicant's  | 
 job duties;  | 
  (d) that the applicant has resided in the State of  | 
 Illinois for 30 days
preceding the application
or that the  | 
 applicant who is a resident of a state bordering Illinois  | 
 has
worked or maintained a business in Illinois for 30  | 
 days preceding the
application;
 | 
  (e) that the applicant is a citizen of the United  | 
 States or a person an alien
lawfully admitted for  | 
 permanent residence in the United States;
 | 
  (f) the applicant's date of birth;
 | 
  (g) that the applicant is able to read and write the  | 
 English language;
 | 
  (h) that the applicant has never been the holder of a  | 
 notary public appointment that was revoked or suspended
 | 
 | 
 during the past 10 years;
 | 
  (i) that the applicant has not been convicted of a  | 
 felony;
 | 
  (i-5) that the applicant's signature authorizes the  | 
 Office of the Secretary of State to conduct a verification  | 
 to confirm the information provided in the application,  | 
 including a criminal background check of the applicant, if  | 
 necessary; and  | 
  (j) any other information the Secretary of State deems  | 
 necessary.
 | 
(Source: P.A. 99-112, eff. 1-1-16; 100-809, eff. 1-1-19.)
 | 
 (Text of Section after amendment by P.A. 102-160) | 
 Sec. 2-102. Application.  | 
 (a) Application for notary public commission. Every  | 
applicant for appointment and commission as a notary shall  | 
complete
an application in a format prescribed by the  | 
Secretary of State to be filed with
the Secretary of State,  | 
stating:
 | 
  (1) the applicant's official name, as it appears on  | 
 his or her current driver's license or state-issued  | 
 identification card;
 | 
  (2) the county in which the applicant resides
or, if  | 
 the applicant is a resident of a state bordering Illinois,  | 
 the county
in Illinois in which that person's principal  | 
 place of work or principal place
of business is located;
 | 
 | 
  (3) the applicant's residence address, as it appears  | 
 on his or her current driver's license or state-issued  | 
 identification card;
 | 
  (4) the applicant's e-mail address;  | 
  (5) the applicant's business address if different than  | 
 the applicant's residence address, if performing notarial  | 
 acts constitutes any portion of the applicant's job  | 
 duties;  | 
  (6) that the applicant has resided in the State of  | 
 Illinois for 30 days
preceding the application
or that the  | 
 applicant who is a resident of a state bordering Illinois  | 
 has
worked or maintained a business in Illinois for 30  | 
 days preceding the
application;
 | 
  (7) that the applicant is a citizen of the United  | 
 States or
lawfully admitted for permanent residence in the  | 
 United States;
 | 
  (8) the applicant's date of birth;
 | 
  (9) that the applicant is proficient in the the  | 
 English language;
 | 
  (10) that the applicant has not had a prior  | 
 application or commission revoked due to a finding or  | 
 decision by the Secretary of State;
 | 
  (11) that the applicant has not been convicted of a  | 
 felony;
 | 
  (12) that the applicant's signature authorizes the  | 
 Office of the Secretary of State to conduct a verification  | 
 | 
 to confirm the information provided in the application,  | 
 including a criminal background check of the applicant, if  | 
 necessary;  | 
  (13) that the applicant has provided satisfactory  | 
 proof to the Secretary of State that the applicant has  | 
 successfully completed any required course of study on  | 
 notarization; and  | 
  (14) any other information the Secretary of State  | 
 deems necessary.
 | 
 (b) Any notary appointed under subsection (a) shall have  | 
the authority to conduct remote notarizations.  | 
 (c) Application for electronic notary public commission.  | 
An application for an electronic notary public commission must  | 
be filed with the Secretary of State in a manner prescribed by  | 
the Secretary of State. Every applicant for appointment and  | 
commission as an electronic notary public shall complete an  | 
application to be filed with the Secretary of State, stating: | 
  (1) all information required to be included in an  | 
 application for appointment as an electronic notary  | 
 public, as provided under subsection (a); | 
  (2) that the applicant is commissioned as a notary  | 
 public under this Act; | 
  (3) the applicant's email address; | 
  (4) that the applicant has provided satisfactory proof  | 
 to the Secretary of State that the applicant has  | 
 successfully completed any required course of study on  | 
 | 
 electronic notarization and passed a qualifying  | 
 examination; | 
  (5) a description of the technology or device that the  | 
 applicant intends to use to create his or her electronic  | 
 signature in performing electronic notarial acts; | 
  (6) the electronic signature of the applicant; and | 
  (7) any other information the Secretary of State deems  | 
 necessary. | 
 (d) Electronic notarial acts. Before an electronic notary  | 
public performs an electronic notarial act using audio-video  | 
communication, he or she must be granted an electronic notary  | 
public commission by the Secretary of State under this  | 
Section, and identify the technology that the electronic  | 
notary public intends to use, which must be approved by the  | 
Secretary of State. | 
 (e) Approval of commission. Upon the applicant's  | 
fulfillment of the requirements for a notarial commission or  | 
an electronic notary public commission, the Secretary of State  | 
shall approve the commission and issue to the applicant a  | 
unique commission number. | 
 (f) Rejection of application. The Secretary of State may  | 
reject an application for a notarial commission or an  | 
electronic notary public commission if the applicant fails to  | 
comply with any Section of this Act.  | 
(Source: P.A. 102-160 (See Section 99 of P.A. 102-160 for  | 
effective date of P.A. 102-160).)
 | 
 | 
 Section 15. The Department of Commerce and Economic  | 
Opportunity Law of the
Civil Administrative Code of Illinois  | 
is amended by changing Section 605-800 as follows:
 | 
 (20 ILCS 605/605-800) (was 20 ILCS 605/46.19a in part)
 | 
 Sec. 605-800. Training grants for skills in critical  | 
demand. 
 | 
 (a) Grants to provide training in fields affected by  | 
critical
demands for certain skills may be made as provided in  | 
this Section.
 | 
 (b) The Director may make grants to eligible employers or  | 
to other eligible
entities on behalf of employers as  | 
authorized in subsection (c) to provide
training for employees  | 
in fields for which there are critical demands for
certain  | 
skills. No participating employee may be a person without  | 
employment authorization under federal law an unauthorized  | 
alien, as defined in 8 U.S.C. 1324a. 
 | 
 (c) The Director may accept applications for training  | 
grant funds and grant
requests from: (i) entities sponsoring  | 
multi-company eligible employee
training projects as defined  | 
in subsection (d), including business
associations, strategic  | 
business partnerships, institutions of secondary or
higher  | 
education, large manufacturers for supplier network companies,  | 
federal
Job Training Partnership Act administrative entities  | 
or grant recipients, and
labor organizations when those  | 
 | 
projects will address common training needs
identified by  | 
participating companies; and (ii) individual employers that  | 
are
undertaking eligible employee training projects as defined  | 
in subsection
(d), including intermediaries and training  | 
agents.
 | 
 (d) The Director may make grants to eligible applicants as
 | 
defined in subsection (c) for employee training projects that
 | 
include, but need not be limited to, one or more of the  | 
following:
 | 
  (1) Training programs in response to new or changing
 | 
 technology being introduced in the workplace.
 | 
  (2) Job-linked training that offers special skills for  | 
 career
advancement or that is preparatory for, and leads  | 
 directly to, jobs with
definite career potential and  | 
 long-term job security.
 | 
  (3) Training necessary to implement total quality  | 
 management
or improvement or both management and  | 
 improvement systems within the
workplace.
 | 
  (4) Training related to new machinery or equipment.
 | 
  (5) Training of employees of companies that are  | 
 expanding into
new markets or expanding exports from  | 
 Illinois.
 | 
  (6) Basic, remedial, or both basic and remedial  | 
 training of employees
as a prerequisite for other  | 
 vocational or technical skills training or as a
condition  | 
 for sustained employment.
 | 
 | 
  (7) Self-employment training of the unemployed and  | 
 underemployed with
comprehensive, competency-based  | 
 instructional programs and services,
entrepreneurial  | 
 education and training initiatives for youth and adult
 | 
 learners in cooperation with the Illinois Institute for  | 
 Entrepreneurial
Education, training and education,  | 
 conferences, workshops, and best practice
information for  | 
 local program operators of entrepreneurial education and
 | 
 self-employment training programs.
 | 
  (8) Other training activities or projects, or both  | 
 training activities and
projects, related to the support,  | 
 development, or evaluation of job training
programs,  | 
 activities, and delivery systems, including training needs  | 
 assessment
and design.
 | 
 (e) Grants shall be made on the terms and conditions that  | 
the Department
shall determine. No grant made under subsection  | 
(d), however, shall exceed 50%
of the direct costs of all  | 
approved training programs provided by the employer
or the  | 
employer's training agent or other entity as defined in  | 
subsection
(c). Under this Section, allowable costs include,  | 
but are not limited to:
 | 
  (1) Administrative costs of tracking, documenting,  | 
 reporting, and
processing training funds or project costs.
 | 
  (2) Curriculum development.
 | 
  (3) Wages and fringe benefits of employees.
 | 
  (4) Training materials, including scrap product costs.
 | 
 | 
  (5) Trainee travel expenses.
 | 
  (6) Instructor costs, including wages, fringe  | 
 benefits,
tuition, and travel expenses.
 | 
  (7) Rent, purchase, or lease of training equipment.
 | 
  (8) Other usual and customary training costs.
 | 
 (f) The Department may conduct on-site grant
monitoring  | 
visits to verify trainee employment dates and wages and to  | 
ensure that the grantee's financial management system is
 | 
structured to provide for accurate, current, and complete  | 
disclosure of the
financial results of the grant program in  | 
accordance with all provisions,
terms, and conditions  | 
contained in the grant contract. Each applicant must, on  | 
request by the Department, provide to the Department a  | 
notarized certification signed and dated by a duly authorized  | 
representative of the applicant, or that representative's  | 
authorized designee, certifying that all participating  | 
employees are employed at an Illinois facility and, for each  | 
participating employee, stating the employee's name and  | 
providing either (i) the employee's social security number or  | 
(ii) a statement that the applicant has adequate written  | 
verification that the employee is employed at an Illinois  | 
facility. The Department may audit the accuracy of  | 
submissions. Applicants sponsoring multi-company training  | 
grant programs shall obtain information meeting the  | 
requirement of this subsection from each participating company  | 
and provide it to the Department upon request. 
 | 
 | 
 (g) The Director may establish and collect a schedule of
 | 
charges from subgrantee entities and other system users under  | 
federal
job-training programs for participating in and  | 
utilizing the Department's
automated job-training program  | 
information systems if the systems and the
necessary  | 
participation and utilization are requirements of the federal
 | 
job-training programs. All monies collected pursuant to this  | 
subsection
shall be deposited into the Federal Workforce  | 
Training Fund and may be used, subject to appropriation by the  | 
General Assembly, only for the purpose of financing the  | 
maintenance and operation of the automated federal  | 
job-training information systems.
 | 
(Source: P.A. 99-933, eff. 1-27-17.)
 | 
 Section 20. The Illinois Guaranteed Job Opportunity Act is  | 
amended by changing Section 25 as follows:
 | 
 (20 ILCS 1510/25)
 | 
 Sec. 25. Program eligibility. 
 | 
 (a) General Rule. An individual is eligible to participate  | 
in the job
projects assisted under this Act if the individual:
 | 
  (1) is at least 16 years of age;
 | 
  (2) has resided in the eligible area for at least 30  | 
 days;
 | 
  (3) has been unemployed for 35 days prior to the  | 
 determination of
employment for job projects assisted  | 
 | 
 under this Act;
 | 
  (4) is a citizen of the United States, is a national of  | 
 the United
States, is a lawfully admitted permanent  | 
 resident alien, is a lawfully
admitted refugee or parolee,  | 
 or is otherwise authorized by the United States
Attorney  | 
 General to work in the United States; and
 | 
  (5) is a recipient of assistance
under Article IV of  | 
 the Illinois Public Aid Code.
 | 
 (b) Limitations.
 | 
  (1) (Blank). 
 | 
  (2) (Blank). 
 | 
  (3) No individual participating in the job opportunity  | 
 project
assisted under this Act may work in any  | 
 compensated job other than the
job assisted under this Act  | 
 for more than 20 hours per week.
 | 
  (4) Individuals participating
under this Act shall  | 
 seek employment during the period of employment
assisted  | 
 under this Act.
 | 
  (5) Any individual eligible for retirement benefits  | 
 under the Social
Security Act, under any retirement system  | 
 for Federal Government employees,
under the railroad  | 
 retirement system, under the military retirement system,
 | 
 under a State or local government pension plan or  | 
 retirement system,
or any private pension program is not  | 
 eligible to receive a job under a job
project assisted  | 
 under this Act.
 | 
 | 
(Source: P.A. 93-46, eff. 7-1-03.)
 | 
 Section 25. The Illinois Income Tax Act is amended by  | 
changing Section 1501 as follows:
 | 
 (35 ILCS 5/1501) (from Ch. 120, par. 15-1501)
 | 
 Sec. 1501. Definitions. 
 | 
 (a) In general. When used in this Act, where not
otherwise  | 
distinctly expressed or manifestly incompatible with the  | 
intent
thereof:
 | 
  (1) Business income. The term "business income" means  | 
 all income that may be treated as apportionable business  | 
 income under the Constitution of the United States.  | 
 Business income is net of the deductions allocable  | 
 thereto. Such term does not include compensation
or the  | 
 deductions allocable thereto.
For each taxable year  | 
 beginning on or after January 1, 2003, a taxpayer may
 | 
 elect to treat all income other than compensation as  | 
 business income. This
election shall be made in accordance  | 
 with rules adopted by the Department and,
once made, shall  | 
 be irrevocable.
 | 
  (1.5) Captive real estate investment trust:
 | 
   (A) The term "captive real estate investment  | 
 trust" means a corporation, trust, or association:
 | 
    (i) that is considered a real estate  | 
 investment trust for the taxable year under  | 
 | 
 Section 856 of the Internal Revenue Code;
 | 
    (ii) the certificates of beneficial interest  | 
 or shares of which are not regularly traded on an  | 
 established securities market; and | 
    (iii) of which more than 50% of the voting  | 
 power or value of the beneficial interest or  | 
 shares, at any time during the last half of the  | 
 taxable year, is owned or controlled, directly,  | 
 indirectly, or constructively, by a single  | 
 corporation. | 
   (B) The term "captive real estate investment  | 
 trust" does not include: | 
    (i) a real estate investment trust of which  | 
 more than 50% of the voting power or value of the  | 
 beneficial interest or shares is owned or  | 
 controlled, directly, indirectly, or  | 
 constructively, by: | 
     (a) a real estate investment trust, other  | 
 than a captive real estate investment trust; | 
     (b) a person who is exempt from taxation  | 
 under Section 501 of the Internal Revenue  | 
 Code, and who is not required to treat income  | 
 received from the real estate investment trust  | 
 as unrelated business taxable income under  | 
 Section 512 of the Internal Revenue Code; | 
     (c) a listed Australian property trust, if  | 
 | 
 no more than 50% of the voting power or value  | 
 of the beneficial interest or shares of that  | 
 trust, at any time during the last half of the  | 
 taxable year, is owned or controlled, directly  | 
 or indirectly, by a single person; | 
     (d) an entity organized as a trust,  | 
 provided a listed Australian property trust  | 
 described in subparagraph (c) owns or  | 
 controls, directly or indirectly, or  | 
 constructively, 75% or more of the voting  | 
 power or value of the beneficial interests or  | 
 shares of such entity; or | 
     (e) an entity that is organized outside of  | 
 the laws of the United States and that  | 
 satisfies all of the following criteria: | 
      (1) at least 75% of the entity's total  | 
 asset value at the close of its taxable  | 
 year is represented by real estate assets  | 
 (as defined in Section 856(c)(5)(B) of the  | 
 Internal Revenue Code, thereby including  | 
 shares or certificates of beneficial  | 
 interest in any real estate investment  | 
 trust), cash and cash equivalents, and  | 
 U.S. Government securities; | 
      (2) the entity is not subject to tax  | 
 on amounts that are distributed to its  | 
 | 
 beneficial owners or is exempt from  | 
 entity-level taxation; | 
      (3) the entity distributes at least  | 
 85% of its taxable income (as computed in  | 
 the jurisdiction in which it is organized)  | 
 to the holders of its shares or  | 
 certificates of beneficial interest on an  | 
 annual basis; | 
      (4) either (i) the shares or  | 
 beneficial interests of the entity are  | 
 regularly traded on an established  | 
 securities market or (ii) not more than  | 
 10% of the voting power or value in the  | 
 entity is held, directly, indirectly, or  | 
 constructively, by a single entity or  | 
 individual; and | 
      (5) the entity is organized in a  | 
 country that has entered into a tax treaty  | 
 with the United States; or  | 
    (ii) during its first taxable year for which  | 
 it elects to be treated as a real estate  | 
 investment trust under Section 856(c)(1) of the  | 
 Internal Revenue Code, a real estate investment  | 
 trust the certificates of beneficial interest or  | 
 shares of which are not regularly traded on an  | 
 established securities market, but only if the  | 
 | 
 certificates of beneficial interest or shares of  | 
 the real estate investment trust are regularly  | 
 traded on an established securities market prior  | 
 to the earlier of the due date (including  | 
 extensions) for filing its return under this Act  | 
 for that first taxable year or the date it  | 
 actually files that return. | 
   (C) For the purposes of this subsection (1.5), the  | 
 constructive ownership rules prescribed under Section  | 
 318(a) of the Internal Revenue Code, as modified by  | 
 Section 856(d)(5) of the Internal Revenue Code, apply  | 
 in determining the ownership of stock, assets, or net  | 
 profits of any person.
 | 
   (D) For the purposes of this item (1.5), for  | 
 taxable years ending on or after August 16, 2007, the  | 
 voting power or value of the beneficial interest or  | 
 shares of a real estate investment trust does not  | 
 include any voting power or value of beneficial  | 
 interest or shares in a real estate investment trust  | 
 held directly or indirectly in a segregated asset  | 
 account by a life insurance company (as described in  | 
 Section 817 of the Internal Revenue Code) to the  | 
 extent such voting power or value is for the benefit of  | 
 entities or persons who are either immune from  | 
 taxation or exempt from taxation under subtitle A of  | 
 the Internal Revenue Code.  | 
 | 
  (2) Commercial domicile. The term "commercial  | 
 domicile" means the
principal
place from which the trade  | 
 or business of the taxpayer is directed or managed.
 | 
  (3) Compensation. The term "compensation" means wages,  | 
 salaries,
commissions
and any other form of remuneration  | 
 paid to employees for personal services.
 | 
  (4) Corporation. The term "corporation" includes  | 
 associations, joint-stock
companies, insurance companies  | 
 and cooperatives. Any entity, including a
limited  | 
 liability company formed under the Illinois Limited  | 
 Liability Company
Act, shall be treated as a corporation  | 
 if it is so classified for federal
income tax purposes.
 | 
  (5) Department. The term "Department" means the  | 
 Department of Revenue of
this State.
 | 
  (6) Director. The term "Director" means the Director  | 
 of Revenue of this
State.
 | 
  (7) Fiduciary. The term "fiduciary" means a guardian,  | 
 trustee, executor,
administrator, receiver, or any person  | 
 acting in any fiduciary capacity for any
person.
 | 
  (8) Financial organization.
 | 
   (A) The term "financial organization" means
any
 | 
 bank, bank holding company, trust company, savings  | 
 bank, industrial bank,
land bank, safe deposit  | 
 company, private banker, savings and loan association,
 | 
 building and loan association, credit union, currency  | 
 exchange, cooperative
bank, small loan company, sales  | 
 | 
 finance company, investment company, or any
person  | 
 which is owned by a bank or bank holding company. For  | 
 the purpose of
this Section a "person" will include  | 
 only those persons which a bank holding
company may  | 
 acquire and hold an interest in, directly or  | 
 indirectly, under the
provisions of the Bank Holding  | 
 Company Act of 1956 (12 U.S.C. 1841, et seq.),
except  | 
 where interests in any person must be disposed of  | 
 within certain
required time limits under the Bank  | 
 Holding Company Act of 1956.
 | 
   (B) For purposes of subparagraph (A) of this  | 
 paragraph, the term
"bank" includes (i) any entity  | 
 that is regulated by the Comptroller of the
Currency  | 
 under the National Bank Act, or by the Federal Reserve  | 
 Board, or by
the
Federal Deposit Insurance Corporation  | 
 and (ii) any federally or State chartered
bank
 | 
 operating as a credit card bank.
 | 
   (C) For purposes of subparagraph (A) of this  | 
 paragraph, the term
"sales finance company" has the  | 
 meaning provided in the following item (i) or
(ii):
 | 
    (i) A person primarily engaged in one or more  | 
 of the following
businesses: the business of  | 
 purchasing customer receivables, the business
of  | 
 making loans upon the security of customer  | 
 receivables, the
business of making loans for the  | 
 express purpose of funding purchases of
tangible  | 
 | 
 personal property or services by the borrower, or  | 
 the business of
finance leasing. For purposes of  | 
 this item (i), "customer receivable"
means:
 | 
     (a) a retail installment contract or  | 
 retail charge agreement within
the
meaning
of  | 
 the Sales Finance Agency Act, the Retail  | 
 Installment Sales Act, or the
Motor Vehicle  | 
 Retail Installment Sales Act;
 | 
     (b) an installment, charge, credit, or  | 
 similar contract or agreement
arising from
the  | 
 sale of tangible personal property or services  | 
 in a transaction involving
a deferred payment  | 
 price payable in one or more installments  | 
 subsequent
to the sale; or
 | 
     (c) the outstanding balance of a contract  | 
 or agreement described in
provisions
(a) or  | 
 (b) of this item (i).
 | 
    A customer receivable need not provide for  | 
 payment of interest on
deferred
payments. A sales  | 
 finance company may purchase a customer receivable  | 
 from, or
make a loan secured by a customer  | 
 receivable to, the seller in the original
 | 
 transaction or to a person who purchased the  | 
 customer receivable directly or
indirectly from  | 
 that seller.
 | 
    (ii) A corporation meeting each of the  | 
 | 
 following criteria:
 | 
     (a) the corporation must be a member of an  | 
 "affiliated group" within
the
meaning of  | 
 Section 1504(a) of the Internal Revenue Code,  | 
 determined
without regard to Section 1504(b)  | 
 of the Internal Revenue Code;
 | 
     (b) more than 50% of the gross income of  | 
 the corporation for the
taxable
year
must be  | 
 interest income derived from qualifying loans.  | 
 A "qualifying
loan" is a loan made to a member  | 
 of the corporation's affiliated group that
 | 
 originates customer receivables (within the  | 
 meaning of item (i)) or to whom
customer  | 
 receivables originated by a member of the  | 
 affiliated group have been
transferred, to
the  | 
 extent the average outstanding balance of  | 
 loans from that corporation
to members of its  | 
 affiliated group during the taxable year do  | 
 not exceed
the limitation amount for that  | 
 corporation. The "limitation amount" for a
 | 
 corporation is the average outstanding  | 
 balances during the taxable year of
customer  | 
 receivables (within the meaning of item (i))  | 
 originated by
all members of the affiliated  | 
 group.
If the average outstanding balances of  | 
 the
loans made by a corporation to members of  | 
 | 
 its affiliated group exceed the
limitation  | 
 amount, the interest income of that  | 
 corporation from qualifying
loans shall be  | 
 equal to its interest income from loans to  | 
 members of its
affiliated groups times a  | 
 fraction equal to the limitation amount  | 
 divided by
the average outstanding balances of  | 
 the loans made by that corporation to
members  | 
 of its affiliated group;
 | 
     (c) the total of all shareholder's equity  | 
 (including, without
limitation,
paid-in
 | 
 capital on common and preferred stock and  | 
 retained earnings) of the
corporation plus the  | 
 total of all of its loans, advances, and other
 | 
 obligations payable or owed to members of its  | 
 affiliated group may not
exceed 20% of the  | 
 total assets of the corporation at any time  | 
 during the tax
year; and
 | 
     (d) more than 50% of all interest-bearing  | 
 obligations of the
affiliated group payable to  | 
 persons outside the group determined in  | 
 accordance
with generally accepted accounting  | 
 principles must be obligations of the
 | 
 corporation.
 | 
   This amendatory Act of the 91st General Assembly  | 
 is declaratory of
existing
law.
 | 
 | 
   (D) Subparagraphs
(B) and (C) of this paragraph  | 
 are declaratory of
existing law and apply  | 
 retroactively, for all tax years beginning on or  | 
 before
December 31, 1996,
to all original returns, to  | 
 all amended returns filed no later than 30
days after  | 
 the effective date of this amendatory Act of 1996, and  | 
 to all
notices issued on or before the effective date  | 
 of this amendatory Act of 1996
under subsection (a) of  | 
 Section 903, subsection (a) of Section 904,
subsection  | 
 (e) of Section 909, or Section 912.
A taxpayer that is  | 
 a "financial organization" that engages in any  | 
 transaction
with an affiliate shall be a "financial  | 
 organization" for all purposes of this
Act.
 | 
   (E) For all tax years beginning on or
before  | 
 December 31, 1996, a taxpayer that falls within the  | 
 definition
of a
"financial organization" under  | 
 subparagraphs (B) or (C) of this paragraph, but
who  | 
 does
not fall within the definition of a "financial  | 
 organization" under the Proposed
Regulations issued by  | 
 the Department of Revenue on July 19, 1996, may
 | 
 irrevocably elect to apply the Proposed Regulations  | 
 for all of those years as
though the Proposed  | 
 Regulations had been lawfully promulgated, adopted,  | 
 and in
effect for all of those years. For purposes of  | 
 applying subparagraphs (B) or
(C) of
this
paragraph to  | 
 all of those years, the election allowed by this  | 
 | 
 subparagraph
applies only to the taxpayer making the  | 
 election and to those members of the
taxpayer's  | 
 unitary business group who are ordinarily required to  | 
 apportion
business income under the same subsection of  | 
 Section 304 of this Act as the
taxpayer making the  | 
 election. No election allowed by this subparagraph  | 
 shall
be made under a claim
filed under subsection (d)  | 
 of Section 909 more than 30 days after the
effective  | 
 date of this amendatory Act of 1996.
 | 
   (F) Finance Leases. For purposes of this  | 
 subsection, a finance lease
shall be treated as a loan  | 
 or other extension of credit, rather than as a
lease,
 | 
 regardless of how the transaction is characterized for  | 
 any other purpose,
including the purposes of any  | 
 regulatory agency to which the lessor is subject.
A  | 
 finance lease is any transaction in the form of a lease  | 
 in which the lessee
is treated as the owner of the  | 
 leased asset entitled to any deduction for
 | 
 depreciation allowed under Section 167 of the Internal  | 
 Revenue Code.
 | 
  (9) Fiscal year. The term "fiscal year" means an  | 
 accounting period of
12 months ending on the last day of  | 
 any month other than December.
 | 
  (9.5) Fixed place of business. The term "fixed place  | 
 of business" has the same meaning as that term is given in  | 
 Section 864 of the Internal Revenue Code and the related  | 
 | 
 Treasury regulations.  | 
  (10) Includes and including. The terms "includes" and  | 
 "including" when
used in a definition contained in this  | 
 Act shall not be deemed to exclude
other things otherwise  | 
 within the meaning of the term defined.
 | 
  (11) Internal Revenue Code. The term "Internal Revenue  | 
 Code" means the
United States Internal Revenue Code of  | 
 1954 or any successor law or laws
relating to federal  | 
 income taxes in effect for the taxable year.
 | 
  (11.5) Investment partnership. | 
   (A) The term "investment partnership" means any  | 
 entity that is treated as a partnership for federal  | 
 income tax purposes that meets the following  | 
 requirements: | 
    (i) no less than 90% of the partnership's cost  | 
 of its total assets consists of qualifying  | 
 investment securities, deposits at banks or other  | 
 financial institutions, and office space and  | 
 equipment reasonably necessary to carry on its  | 
 activities as an investment partnership; | 
    (ii) no less than 90% of its gross income  | 
 consists of interest, dividends, and gains from  | 
 the sale or exchange of qualifying investment  | 
 securities; and
 | 
    (iii) the partnership is not a dealer in  | 
 qualifying investment securities. | 
 | 
   (B) For purposes of this paragraph (11.5), the  | 
 term "qualifying investment securities" includes all  | 
 of the following:
 | 
    (i) common stock, including preferred or debt  | 
 securities convertible into common stock, and  | 
 preferred stock; | 
    (ii) bonds, debentures, and other debt  | 
 securities; | 
    (iii) foreign and domestic currency deposits  | 
 secured by federal, state, or local governmental  | 
 agencies; | 
    (iv) mortgage or asset-backed securities  | 
 secured by federal, state, or local governmental  | 
 agencies; | 
    (v) repurchase agreements and loan  | 
 participations; | 
    (vi) foreign currency exchange contracts and  | 
 forward and futures contracts on foreign  | 
 currencies; | 
    (vii) stock and bond index securities and  | 
 futures contracts and other similar financial  | 
 securities and futures contracts on those  | 
 securities;
 | 
    (viii) options for the purchase or sale of any  | 
 of the securities, currencies, contracts, or  | 
 financial instruments described in items (i) to  | 
 | 
 (vii), inclusive;
 | 
    (ix) regulated futures contracts;
 | 
    (x) commodities (not described in Section  | 
 1221(a)(1) of the Internal Revenue Code) or  | 
 futures, forwards, and options with respect to  | 
 such commodities, provided, however, that any item  | 
 of a physical commodity to which title is actually  | 
 acquired in the partnership's capacity as a dealer  | 
 in such commodity shall not be a qualifying  | 
 investment security;
 | 
    (xi) derivatives; and
 | 
    (xii) a partnership interest in another  | 
 partnership that is an investment partnership.
 | 
  (12) Mathematical error. The term "mathematical error"  | 
 includes the
following types of errors, omissions, or  | 
 defects in a return filed by a
taxpayer which prevents  | 
 acceptance of the return as filed for processing:
 | 
   (A) arithmetic errors or incorrect computations on  | 
 the return or
supporting schedules;
 | 
   (B) entries on the wrong lines;
 | 
   (C) omission of required supporting forms or  | 
 schedules or the omission
of the information in whole  | 
 or in part called for thereon; and
 | 
   (D) an attempt to claim, exclude, deduct, or  | 
 improperly report, in a
manner
directly contrary to  | 
 the provisions of the Act and regulations thereunder
 | 
 | 
 any item of income, exemption, deduction, or credit.
 | 
  (13) Nonbusiness income. The term "nonbusiness income"  | 
 means all income
other than business income or  | 
 compensation.
 | 
  (14) Nonresident. The term "nonresident" means a  | 
 person who is not a
resident.
 | 
  (15) Paid, incurred and accrued. The terms "paid",  | 
 "incurred" and
"accrued"
shall be construed according to  | 
 the method of accounting upon the basis
of which the  | 
 person's base income is computed under this Act.
 | 
  (16) Partnership and partner. The term "partnership"  | 
 includes a syndicate,
group, pool, joint venture or other  | 
 unincorporated organization, through
or by means of which  | 
 any business, financial operation, or venture is carried
 | 
 on, and which is not, within the meaning of this Act, a  | 
 trust or estate
or a corporation; and the term "partner"  | 
 includes a member in such syndicate,
group, pool, joint  | 
 venture or organization.
 | 
  The term "partnership" includes any entity, including  | 
 a limited
liability company formed under the Illinois
 | 
 Limited Liability Company Act, classified as a partnership  | 
 for federal income tax purposes.
 | 
  The term "partnership" does not include a syndicate,  | 
 group, pool,
joint venture, or other unincorporated  | 
 organization established for the
sole purpose of playing  | 
 the Illinois State Lottery.
 | 
 | 
  (17) Part-year resident. The term "part-year resident"  | 
 means an individual
who became a resident during the  | 
 taxable year or ceased to be a resident
during the taxable  | 
 year. Under Section 1501(a)(20)(A)(i) residence
commences  | 
 with presence in this State for other than a temporary or  | 
 transitory
purpose and ceases with absence from this State  | 
 for other than a temporary or
transitory purpose. Under  | 
 Section 1501(a)(20)(A)(ii) residence commences
with the  | 
 establishment of domicile in this State and ceases with  | 
 the
establishment of domicile in another State.
 | 
  (18) Person. The term "person" shall be construed to  | 
 mean and include
an individual, a trust, estate,  | 
 partnership, association, firm, company,
corporation,  | 
 limited liability company, or fiduciary. For purposes of  | 
 Section
1301 and 1302 of this Act, a "person" means (i) an  | 
 individual, (ii) a
corporation, (iii) an officer, agent,  | 
 or employee of a
corporation, (iv) a member, agent or  | 
 employee of a partnership, or (v)
a member,
manager,  | 
 employee, officer, director, or agent of a limited  | 
 liability company
who in such capacity commits an offense  | 
 specified in Section 1301 and 1302.
 | 
  (18A) Records. The term "records" includes all data  | 
 maintained by the
taxpayer, whether on paper, microfilm,  | 
 microfiche, or any type of
machine-sensible data  | 
 compilation.
 | 
  (19) Regulations. The term "regulations" includes  | 
 | 
 rules promulgated and
forms prescribed by the Department.
 | 
  (20) Resident. The term "resident" means:
 | 
   (A) an individual (i) who is
in this State for  | 
 other than a temporary or transitory purpose during  | 
 the
taxable year; or (ii) who is domiciled in this  | 
 State but is absent from
the State for a temporary or  | 
 transitory purpose during the taxable year;
 | 
   (B) The estate of a decedent who at his or her  | 
 death was domiciled in
this
State;
 | 
   (C) A trust created by a will of a decedent who at  | 
 his death was
domiciled
in this State; and
 | 
   (D) An irrevocable trust, the grantor of which was  | 
 domiciled in this
State
at the time such trust became  | 
 irrevocable. For purpose of this subparagraph,
a trust  | 
 shall be considered irrevocable to the extent that the  | 
 grantor is
not treated as the owner thereof under  | 
 Sections 671 through 678 of the Internal
Revenue Code.
 | 
  (21) Sales. The term "sales" means all gross receipts  | 
 of the taxpayer
not allocated under Sections 301, 302 and  | 
 303.
 | 
  (22) State. The term "state" when applied to a  | 
 jurisdiction other than
this State means any state of the  | 
 United States, the District of Columbia,
the Commonwealth  | 
 of Puerto Rico, any Territory or Possession of the United
 | 
 States, and any foreign country, or any political  | 
 subdivision of any of the
foregoing. For purposes of the  | 
 | 
 foreign tax credit under Section 601, the
term "state"  | 
 means any state of the United States, the District of  | 
 Columbia,
the Commonwealth of Puerto Rico, and any  | 
 territory or possession of the
United States, or any  | 
 political subdivision of any of the foregoing,
effective  | 
 for tax years ending on or after December 31, 1989.
 | 
  (23) Taxable year. The term "taxable year" means the  | 
 calendar year, or
the fiscal year ending during such  | 
 calendar year, upon the basis of which
the base income is  | 
 computed under this Act. "Taxable year" means, in the
case  | 
 of a return made for a fractional part of a year under the  | 
 provisions
of this Act, the period for which such return  | 
 is made.
 | 
  (24) Taxpayer. The term "taxpayer" means any person  | 
 subject to the tax
imposed by this Act.
 | 
  (25) International banking facility. The term  | 
 international banking
facility shall have the same meaning  | 
 as is set forth in the Illinois Banking
Act or as is set  | 
 forth in the laws of the United States or regulations of
 | 
 the Board of Governors of the Federal Reserve System.
 | 
  (26) Income Tax Return Preparer.
 | 
   (A) The term "income tax return preparer"
means  | 
 any person who prepares for compensation, or who  | 
 employs one or more
persons to prepare for  | 
 compensation, any return of tax imposed by this Act
or  | 
 any claim for refund of tax imposed by this Act. The  | 
 | 
 preparation of a
substantial portion of a return or  | 
 claim for refund shall be treated as
the preparation  | 
 of that return or claim for refund.
 | 
   (B) A person is not an income tax return preparer  | 
 if all he or she does
is
 | 
    (i) furnish typing, reproducing, or other  | 
 mechanical assistance;
 | 
    (ii) prepare returns or claims for refunds for  | 
 the employer by whom he
or she is regularly and  | 
 continuously employed;
 | 
    (iii) prepare as a fiduciary returns or claims  | 
 for refunds for any
person; or
 | 
    (iv) prepare claims for refunds for a taxpayer  | 
 in response to any
notice
of deficiency issued to  | 
 that taxpayer or in response to any waiver of
 | 
 restriction after the commencement of an audit of  | 
 that taxpayer or of another
taxpayer if a  | 
 determination in the audit of the other taxpayer  | 
 directly or
indirectly affects the tax liability  | 
 of the taxpayer whose claims he or she is
 | 
 preparing.
 | 
  (27) Unitary business group.  | 
   (A) The term "unitary business group" means
a  | 
 group of persons related through common ownership  | 
 whose business activities
are integrated with,  | 
 dependent upon and contribute to each other. The group
 | 
 | 
 will not include those members whose business activity  | 
 outside the United
States is 80% or more of any such  | 
 member's total business activity; for
purposes of this  | 
 paragraph and clause (a)(3)(B)(ii) of Section 304,
 | 
 business
activity within the United States shall be  | 
 measured by means of the factors
ordinarily applicable  | 
 under subsections (a), (b), (c), (d), or (h)
of  | 
 Section
304 except that, in the case of members  | 
 ordinarily required to apportion
business income by  | 
 means of the 3 factor formula of property, payroll and  | 
 sales
specified in subsection (a) of Section 304,  | 
 including the
formula as weighted in subsection (h) of  | 
 Section 304, such members shall
not use the sales  | 
 factor in the computation and the results of the  | 
 property
and payroll factor computations of subsection  | 
 (a) of Section 304 shall be
divided by 2 (by one if  | 
 either
the property or payroll factor has a  | 
 denominator of zero). The computation
required by the  | 
 preceding sentence shall, in each case, involve the  | 
 division of
the member's property, payroll, or revenue  | 
 miles in the United States,
insurance premiums on  | 
 property or risk in the United States, or financial
 | 
 organization business income from sources within the  | 
 United States, as the
case may be, by the respective  | 
 worldwide figures for such items. Common
ownership in  | 
 the case of corporations is the direct or indirect  | 
 | 
 control or
ownership of more than 50% of the  | 
 outstanding voting stock of the persons
carrying on  | 
 unitary business activity. Unitary business activity  | 
 can
ordinarily be illustrated where the activities of  | 
 the members are: (1) in the
same general line (such as  | 
 manufacturing, wholesaling, retailing of tangible
 | 
 personal property, insurance, transportation or  | 
 finance); or (2) are steps in a
vertically structured  | 
 enterprise or process (such as the steps involved in  | 
 the
production of natural resources, which might  | 
 include exploration, mining,
refining, and marketing);  | 
 and, in either instance, the members are functionally
 | 
 integrated through the exercise of strong centralized  | 
 management (where, for
example, authority over such  | 
 matters as purchasing, financing, tax compliance,
 | 
 product line, personnel, marketing and capital  | 
 investment is not left to each
member).
 | 
   (B) In no event, for taxable years ending prior to  | 
 December 31, 2017, shall any
unitary business group  | 
 include members
which are ordinarily required to  | 
 apportion business income under different
subsections  | 
 of Section 304 except that for tax years ending on or  | 
 after
December 31, 1987 this prohibition shall not  | 
 apply to a holding company that would otherwise be a  | 
 member of a unitary business group with taxpayers that  | 
 apportion business income under any of subsections  | 
 | 
 (b), (c), (c-1), or (d) of Section 304. If a unitary  | 
 business
group would, but for the preceding sentence,  | 
 include members that are
ordinarily required to  | 
 apportion business income under different subsections  | 
 of
Section 304, then for each subsection of Section  | 
 304 for which there are two or
more members, there  | 
 shall be a separate unitary business group composed of  | 
 such
members. For purposes of the preceding two  | 
 sentences, a member is "ordinarily
required to  | 
 apportion business income" under a particular  | 
 subsection of Section
304 if it would be required to  | 
 use the apportionment method prescribed by such
 | 
 subsection except for the fact that it derives  | 
 business income solely from
Illinois. As used in this  | 
 paragraph, for taxable years ending before December  | 
 31, 2017, the phrase "United States" means only the 50  | 
 states and the District of Columbia, but does not  | 
 include any territory or possession of the United  | 
 States or any area over which the United States has  | 
 asserted jurisdiction or claimed exclusive rights with  | 
 respect to the exploration for or exploitation of  | 
 natural resources.
For taxable years ending on or  | 
 after December 31, 2017, the phrase "United States",  | 
 as used in this paragraph, means only the 50 states,  | 
 the District of Columbia, and any area over which the  | 
 United States has asserted jurisdiction or claimed  | 
 | 
 exclusive rights with respect to the exploration for  | 
 or exploitation of natural resources, but does not  | 
 include any territory or possession of the United  | 
 States.  | 
   (C) Holding companies. | 
    (i) For purposes of this subparagraph, a  | 
 "holding company" is a corporation (other than a  | 
 corporation that is a financial organization under  | 
 paragraph (8) of this subsection (a) of Section  | 
 1501 because it is a bank holding company under  | 
 the provisions of the Bank Holding Company Act of  | 
 1956 (12 U.S.C. 1841, et seq.) or because it is  | 
 owned by a bank or a bank holding company) that  | 
 owns a controlling interest in one or more other  | 
 taxpayers ("controlled taxpayers"); that, during  | 
 the period that includes the taxable year and the  | 
 2 immediately preceding taxable years or, if the  | 
 corporation was formed during the current or  | 
 immediately preceding taxable year, the taxable  | 
 years in which the corporation has been in  | 
 existence, derived substantially all its gross  | 
 income from dividends, interest, rents, royalties,  | 
 fees or other charges received from controlled  | 
 taxpayers for the provision of services, and gains  | 
 on the sale or other disposition of interests in  | 
 controlled taxpayers or in property leased or  | 
 | 
 licensed to controlled taxpayers or used by the  | 
 taxpayer in providing services to controlled  | 
 taxpayers; and that incurs no substantial expenses  | 
 other than expenses (including interest and other  | 
 costs of borrowing) incurred in connection with  | 
 the acquisition and holding of interests in  | 
 controlled taxpayers and in the provision of  | 
 services to controlled taxpayers or in the leasing  | 
 or licensing of property to controlled taxpayers. | 
    (ii) The income of a holding company which is  | 
 a member of more than one unitary business group  | 
 shall be included in each unitary business group  | 
 of which it is a member on a pro rata basis, by  | 
 including in each unitary business group that  | 
 portion of the base income of the holding company  | 
 that bears the same proportion to the total base  | 
 income of the holding company as the gross  | 
 receipts of the unitary business group bears to  | 
 the combined gross receipts of all unitary  | 
 business groups (in both cases without regard to  | 
 the holding company) or on any other reasonable  | 
 basis, consistently applied. | 
    (iii) A holding company shall apportion its  | 
 business income under the subsection of Section  | 
 304 used by the other members of its unitary  | 
 business group. The apportionment factors of a  | 
 | 
 holding company which would be a member of more  | 
 than one unitary business group shall be included  | 
 with the apportionment factors of each unitary  | 
 business group of which it is a member on a pro  | 
 rata basis using the same method used in clause  | 
 (ii). | 
    (iv) The provisions of this subparagraph (C)  | 
 are intended to clarify existing law. | 
   (D) If including the base income and factors of a  | 
 holding company in more than one unitary business  | 
 group under subparagraph (C) does not fairly reflect  | 
 the degree of integration between the holding company  | 
 and one or more of the unitary business groups, the  | 
 dependence of the holding company and one or more of  | 
 the unitary business groups upon each other, or the  | 
 contributions between the holding company and one or  | 
 more of the unitary business groups, the holding  | 
 company may petition the Director, under the  | 
 procedures provided under Section 304(f), for  | 
 permission to include all base income and factors of  | 
 the holding company only with members of a unitary  | 
 business group apportioning their business income  | 
 under one subsection of subsections (a), (b), (c), or  | 
 (d) of Section 304. If the petition is granted, the  | 
 holding company shall be included in a unitary  | 
 business group only with persons apportioning their  | 
 | 
 business income under the selected subsection of  | 
 Section 304 until the Director grants a petition of  | 
 the holding company either to be included in more than  | 
 one unitary business group under subparagraph (C) or  | 
 to include its base income and factors only with  | 
 members of a unitary business group apportioning their  | 
 business income under a different subsection of  | 
 Section 304.  | 
   (E) If the unitary business group members'  | 
 accounting periods differ,
the common parent's  | 
 accounting period or, if there is no common parent,  | 
 the
accounting period of the member that is expected  | 
 to have, on a recurring basis,
the greatest Illinois  | 
 income tax liability must be used to determine whether  | 
 to
use the apportionment method provided in subsection  | 
 (a) or subsection (h) of
Section 304. The
prohibition  | 
 against membership in a unitary business group for  | 
 taxpayers
ordinarily required to apportion income  | 
 under different subsections of Section
304 does not  | 
 apply to taxpayers required to apportion income under  | 
 subsection
(a) and subsection (h) of Section
304. The  | 
 provisions of this amendatory Act of 1998 apply to tax
 | 
 years ending on or after December 31, 1998.
 | 
  (28) Subchapter S corporation. The term "Subchapter S  | 
 corporation"
means a corporation for which there is in  | 
 effect an election under Section
1362 of the Internal  | 
 | 
 Revenue Code, or for which there is a federal election
to  | 
 opt out of the provisions of the Subchapter S Revision Act  | 
 of 1982 and
have applied instead the prior federal  | 
 Subchapter S rules as in effect on July
1, 1982.
 | 
  (30) Foreign person. The term "foreign person" means  | 
 any person who is a nonresident individual who is a  | 
 national or citizen of a country other than the United  | 
 States alien individual and any nonindividual entity,  | 
 regardless of where created or organized, whose business  | 
 activity outside the United States is 80% or more of the  | 
 entity's total business activity.
 | 
 (b) Other definitions.
 | 
  (1) Words denoting number, gender, and so forth,
when  | 
 used in this Act, where not otherwise distinctly expressed  | 
 or manifestly
incompatible with the intent thereof:
 | 
   (A) Words importing the singular include and apply  | 
 to several persons,
parties or things;
 | 
   (B) Words importing the plural include the  | 
 singular; and
 | 
   (C) Words importing the masculine gender include  | 
 the feminine as well.
 | 
  (2) "Company" or "association" as including successors  | 
 and assigns. The
word "company" or "association", when  | 
 used in reference to a corporation,
shall be deemed to  | 
 embrace the words "successors and assigns of such company
 | 
 or association", and in like manner as if these last-named  | 
 | 
 words, or words
of similar import, were expressed.
 | 
  (3) Other terms. Any term used in any Section of this  | 
 Act with respect
to the application of, or in connection  | 
 with, the provisions of any other
Section of this Act  | 
 shall have the same meaning as in such other Section.
 | 
(Source: P.A. 99-213, eff. 7-31-15; 100-22, eff. 7-6-17.)
 | 
 Section 30. The Counties Code is amended by changing  | 
Section 3-12007 as follows:
 | 
 (55 ILCS 5/3-12007) (from Ch. 34, par. 3-12007)
 | 
 Sec. 3-12007. Proposed rules for classified service. (a)  | 
The
Director of Personnel shall prepare and submit to the  | 
commission proposed
rules for the classified service. The  | 
director shall give at least 10
days' notice to the heads of  | 
all departments or agencies affected and they
shall be given  | 
an opportunity, upon their request, to appear before the
 | 
commission to express their views thereon before action is  | 
taken by the
commission.
 | 
 (b) The rules, as adopted pursuant to subsection (a) of  | 
Section
3-12005 shall provide for:
 | 
 (1) preparation, maintenance and revision of a position
 | 
classification plan for all positions in the classified  | 
service, based
upon the similarity of duties performed and  | 
responsibilities assumed, so
that the same qualifications may  | 
reasonably be required and the same
schedule of pay may be  | 
 | 
applied to all positions in the same class. Each
position  | 
authorized by the Board shall be allocated by the director to
 | 
the proper class and assigned to the appropriate pay range for  | 
that class.
 | 
 (2) promotion which shall give appropriate consideration  | 
to the
applicant's qualifications, record of performance,  | 
seniority, and
conduct. Vacancies shall be filled by promotion  | 
whenever practicable
and in the best interest of the county  | 
service, and preference may be
given to employees within the  | 
department in which the vacancy occurs.
 | 
 (3) open competitive examinations to determine the  | 
relative fitness
of applicants for the respective competitive  | 
positions.
 | 
 (4) competitive selection of employees for all classes in  | 
the
classified service.
 | 
 (5) establishment of lists of eligibles for appointment  | 
and
promotion, upon which lists shall be placed the names of  | 
successful
candidates in the order of their relative  | 
excellence in the respective
examinations. The duration of  | 
eligible lists for initial appointment
shall be for no more  | 
than one year unless extended by the director for
not more than  | 
one additional year; lists of eligibles for promotion
shall be  | 
maintained for as long as the tests on which they are based are
 | 
considered valid by the director.
 | 
 (6) certification by the director to the appointing  | 
authorities of
not more than the top 5 names from the list of  | 
 | 
eligibles for a single vacancy.
 | 
 (7) rejection of candidates who do not comply with  | 
reasonable job
requirements in regard to such factors as age,  | 
physical condition,
training and experience, or who are  | 
addicted to alcohol or narcotics or
have been guilty of  | 
infamous or disgraceful conduct or are undocumented immigrants  | 
illegal aliens.
 | 
 (8) periods of probationary employment. During the initial
 | 
probation period following appointment any employee may be  | 
discharged or
demoted without charges or hearing except that  | 
any applicant or
employee, regardless of status, who has  | 
reason to believe that he/she
has been discriminated against  | 
because of religious opinions or
affiliation, or race, sex, or  | 
national origin in any personnel action
may appeal to the  | 
commission in accordance with the provisions of this
Division  | 
or in appropriate rules established by the commission
pursuant  | 
to subsection (a) of Section 3-12005.
 | 
 (9) provisional employment without competitive  | 
examinations when
there is no appropriate eligible list  | 
available. No person hired as a
provisional employee shall  | 
continue on the county payroll longer than 6
months per  | 
calendar year nor shall successive provisional appointments
be  | 
allowed.
 | 
 (10) transfer from a position in one department to a  | 
position in
another department involving similar  | 
qualifications, duties,
responsibilities and salary.
 | 
 | 
 (11) procedures for authorized reinstatement within one  | 
year of
persons who resign in good standing.
 | 
 (12) layoff by reason of lack of funds or work or abolition  | 
of the
position, or material changes in duties or  | 
organization, and for the
layoff of nontenured employees  | 
first, and for the reemployment of
permanent employees so laid  | 
off, giving consideration in
both layoff and reemployment to  | 
performance record and seniority in service.
 | 
 (13) keeping records of performance of all employees in  | 
the
classified service.
 | 
 (14) suspension, demotion or dismissal of an employee for
 | 
misconduct, inefficiency, incompetence, insubordination,  | 
malfeasance or
other unfitness to render effective service and  | 
for the investigation
and hearing of appeals of any employee  | 
recommended for suspension,
demotion or dismissal by a  | 
department head for any of the foregoing reasons.
 | 
 (15) establishment of a plan for resolving employee  | 
grievances and
complaints, including an appeals procedure.
 | 
 (16) hours of work, holidays and attendance regulations,  | 
and for
annual, sick and special leaves of absence, with or  | 
without pay, or at
reduced pay.
 | 
 (17) development of employee morale, safety and training  | 
programs.
 | 
 (18) establishment of a period of probation, the length of  | 
which
shall be determined by the complexity of the work  | 
involved, but which
shall not exceed one year without special  | 
 | 
written approval from the
commission.
 | 
 (19) such other rules, not inconsistent with this  | 
Division,
as may be proper and necessary for its enforcement.
 | 
(Source: P.A. 86-962.)
 | 
 Section 35. The Metropolitan Water Reclamation District  | 
Act is amended by changing Section 11.15 as follows:
 | 
 (70 ILCS 2605/11.15) (from Ch. 42, par. 331.15)
 | 
 Sec. 11.15. 
No person shall be employed upon contracts for  | 
work to be done
by any such sanitary district unless he or she  | 
is a citizen of the United States, a national of the United  | 
States under Section 1401 of Title 8 of the United States Code,  | 
a person an alien lawfully admitted for permanent residence  | 
under Section 1101 of Title 8 of the United States Code, an  | 
individual who has been granted asylum under Section 1158 of  | 
Title 8 of the United States Code, or an individual who is  | 
otherwise legally authorized to work in the United States.
 | 
(Source: P.A. 98-280, eff. 8-9-13; 99-231, eff. 8-3-15.)
 | 
 Section 40. The Board of Higher Education Act is amended  | 
by changing Section 9.16 as follows:
 | 
 (110 ILCS 205/9.16) (from Ch. 144, par. 189.16)
 | 
 Sec. 9.16. Underrepresentation of certain groups in higher  | 
education. 
To require public institutions of higher education  | 
 | 
to develop and implement
methods and strategies to increase  | 
the participation of minorities, women
and individuals with  | 
disabilities who are traditionally underrepresented in
 | 
education programs and activities. For the purpose of this  | 
Section,
minorities shall mean persons who are citizens of the  | 
United States or
lawful permanent residents resident aliens of  | 
the United States and who are any of the following: | 
  (1) American Indian or Alaska Native (a person having  | 
 origins in any of the original peoples of North and South  | 
 America, including Central America, and who maintains  | 
 tribal affiliation or community attachment). | 
  (2) Asian (a person having origins in any of the  | 
 original peoples of the Far East, Southeast Asia, or the  | 
 Indian subcontinent, including, but not limited to,  | 
 Cambodia, China, India, Japan, Korea, Malaysia, Pakistan,  | 
 the Philippine Islands, Thailand, and Vietnam). | 
  (3) Black or African American (a person having origins  | 
 in any of the black racial groups of Africa). | 
  (4) Hispanic or Latino (a person of Cuban, Mexican,  | 
 Puerto Rican, South or Central American, or other Spanish  | 
 culture or origin, regardless of race). | 
  (5) Native Hawaiian or Other Pacific Islander (a  | 
 person having origins in any of the original peoples of  | 
 Hawaii, Guam, Samoa, or other Pacific Islands).
 | 
 The Board shall adopt any rules necessary to administer  | 
this Section.
The Board shall also do the following:
 | 
 | 
 (a) require all public institutions of higher education to  | 
develop and
submit plans for the implementation of this  | 
Section;
 | 
 (b) conduct periodic review of public institutions of  | 
higher education to
determine compliance with this Section;  | 
and if the Board finds that a public
institution of higher  | 
education is not in compliance with this Section,
it shall  | 
notify the institution of steps to take to attain compliance;
 | 
 (c) provide advice and counsel pursuant to this Section;
 | 
 (d) conduct studies of the effectiveness of methods and  | 
strategies
designed to increase participation of students in  | 
education programs and
activities in which minorities, women  | 
and individuals with disabilities are
traditionally  | 
underrepresented, and monitor the success of students in such
 | 
education programs and activities;
 | 
 (e) encourage minority student recruitment and retention  | 
in colleges
and universities. In implementing this paragraph,  | 
the Board shall undertake
but need not be limited to the  | 
following: the establishment of guidelines
and plans for  | 
public institutions of higher education for minority student
 | 
recruitment and retention, the review and monitoring of  | 
minority student
programs implemented at public institutions  | 
of higher education to
determine their compliance with any  | 
guidelines and plans so established,
the determination of the  | 
effectiveness and funding requirements of minority
student  | 
programs at public institutions of higher education, the
 | 
 | 
dissemination of successful programs as models, and the  | 
encouragement of
cooperative partnerships between community  | 
colleges and local school
attendance centers which are  | 
experiencing difficulties in enrolling
minority students in  | 
four-year colleges and universities;
 | 
 (f) mandate all public institutions of higher education to  | 
submit data
and information essential to determine compliance  | 
with this Section. The
Board shall prescribe the format and  | 
the date for submission of this data
and any other education  | 
equity data; and
 | 
 (g) report to the General Assembly and the Governor  | 
annually with a
description of the plans submitted by each  | 
public institution of higher
education for implementation of  | 
this Section, including financial data
relating to the most  | 
recent fiscal year expenditures for specific minority
 | 
programs, the effectiveness of such
plans and programs and the  | 
effectiveness of the methods and strategies developed by the
 | 
Board in meeting the purposes of this Section, the degree of  | 
compliance
with this Section by each public institution of  | 
higher education as
determined by the Board pursuant to its  | 
periodic review responsibilities,
and the findings made by the  | 
Board in conducting its studies and monitoring
student success  | 
as required by paragraph d) of this Section. With
respect to  | 
each public institution of higher education such report also  | 
shall
include, but need not be limited to, information with  | 
respect to each
institution's minority program budget  | 
 | 
allocations; minority student
admission, retention and  | 
graduation statistics; admission, retention, and graduation  | 
statistics of all students who are the first in their  | 
immediate family to attend an institution of higher education;  | 
number of financial
assistance awards to undergraduate and  | 
graduate minority students; and
minority faculty  | 
representation. This paragraph shall not be construed to
 | 
prohibit the Board from making, preparing or issuing  | 
additional surveys or
studies with respect to minority  | 
education in Illinois.
 | 
(Source: P.A. 102-465, eff. 1-1-22.)
 | 
 Section 45. The Dental Student Grant Act is amended by  | 
changing Section 3.06 as follows:
 | 
 (110 ILCS 925/3.06) (from Ch. 144, par. 1503.06)
 | 
 Sec. 3.06. 
"Eligible dental student" means a person who  | 
meets all of the
following qualifications:
 | 
 (a) That the individual is a resident of this State and a  | 
citizen or
lawful permanent resident alien of the United  | 
States;
 | 
 (b) That the individual has been accepted in a dental
 | 
school located in Illinois;
 | 
 (c) That the individual exhibits financial need as
 | 
determined by the Department;
 | 
 (d) That the individual has earned an educational diploma  | 
 | 
at an
institution of education located in this State or has  | 
been a resident of the
State for no less than 3 years prior to  | 
applying for the grant;
 | 
 (e) That the individual is a member of a racial minority as  | 
defined in
Section 3.07; and
 | 
 (f) That the individual meets other qualifications which  | 
shall be
established by the Department.
 | 
(Source: P.A. 87-665.)
 | 
 Section 50. The Diversifying Higher Education Faculty in  | 
Illinois Act is amended by changing Sections 2 and 7 as  | 
follows:
 | 
 (110 ILCS 930/2) (from Ch. 144, par. 2302)
 | 
 Sec. 2. Definitions. As used in this Act, unless the  | 
context otherwise requires:
 | 
 "Board" means the Board of Higher Education.
 | 
 "DFI" means the Diversifying Higher Education Faculty in  | 
Illinois Program of financial assistance to minorities who are  | 
traditionally
underrepresented as participants in  | 
postsecondary education. The program
shall assist them in  | 
pursuing a graduate or professional degree and shall also  | 
assist program graduates to find employment at an Illinois  | 
institution of higher education, including a community  | 
college, in a faculty or staff position.
 | 
 "Program Board" means the entity created to administer the  | 
 | 
grant program authorized by this Act.
 | 
 "Qualified institution of higher education" means a  | 
qualifying publicly or privately
operated educational  | 
institution located within Illinois (i) that
offers  | 
instruction leading toward or prerequisite to an academic or
 | 
professional degree beyond the baccalaureate degree, excluding  | 
theological
schools, and (ii) that is authorized to operate in  | 
the State of Illinois.
 | 
 "Racial minority" means a person who is a citizen of the  | 
United
States or a lawful permanent resident alien of the  | 
United States and who is any of the following:
 | 
  (1) American Indian or Alaska Native (a person having  | 
 origins in any of the original peoples of North and South  | 
 America, including Central America, and who maintains  | 
 tribal affiliation or community attachment). | 
  (2) Asian (a person having origins in any of the  | 
 original peoples of the Far East, Southeast Asia, or the  | 
 Indian subcontinent, including, but not limited to,  | 
 Cambodia, China, India, Japan, Korea, Malaysia, Pakistan,  | 
 the Philippine Islands, Thailand, and Vietnam). | 
  (3) Black or African American (a person having origins  | 
 in any of the black racial groups of Africa). | 
  (4) Hispanic or Latino (a person of Cuban, Mexican,  | 
 Puerto Rican, South or Central American, or other Spanish  | 
 culture or origin, regardless of race). | 
  (5) Native Hawaiian or Other Pacific Islander (a  | 
 | 
 person having origins in any of the original peoples of  | 
 Hawaii, Guam, Samoa, or other Pacific Islands).
 | 
(Source: P.A. 102-465, eff. 1-1-22.)
 | 
 (110 ILCS 930/7) (from Ch. 144, par. 2307)
 | 
 Sec. 7. Eligibility for DFI grants. An individual is  | 
eligible for an
award under the provisions of this Act when the  | 
Program Board finds:
 | 
  (a) That the individual is a resident of this State  | 
 and a citizen or
lawful permanent resident alien of the  | 
 United States;
 | 
  (b) That the individual is a member of a racial  | 
 minority as defined
under the terms of this Act;
 | 
  (c) That the individual has earned any educational  | 
 diploma at an
institution of education located in this  | 
 State, or is a resident of the
State for no less than three  | 
 years prior to applying for the grant, and the
individual  | 
 must hold a baccalaureate degree from an institution of  | 
 higher
learning;
 | 
  (d) That the individual's financial resources are such  | 
 that, in the
absence of a DFI grant, the individual will be  | 
 prevented from pursuing
a graduate or professional degree  | 
 at a qualified institution of higher
education of his or  | 
 her choice;
 | 
  (e) That the individual has above average academic  | 
 ability to pursue a
graduate or professional degree; and
 | 
 | 
  (f) That the individual meets other qualifications  | 
 which shall be
established by the Program Board.
 | 
 Grant funds shall be awarded only to those persons  | 
pursuing a graduate or professional degree program at a  | 
qualified institution of higher education.
 | 
 The
Board shall by rule promulgate, pursuant to the  | 
Illinois
Administrative Procedure Act, precise standards to be  | 
used by the Program Board to
determine whether a program  | 
applicant has above average academic ability to
pursue a  | 
graduate or professional degree.
 | 
(Source: P.A. 93-862, eff. 8-4-04.)
 | 
 Section 55. The Higher Education Student Assistance Act is  | 
amended by changing Sections 65.50 and 65.110 as follows:
 | 
 (110 ILCS 947/65.50)
 | 
 Sec. 65.50. Teacher training full-time undergraduate  | 
scholarships. 
 | 
 (a) Five hundred
new
scholarships shall be provided each  | 
year for qualified high school students
or high school  | 
graduates who desire to pursue full-time undergraduate
studies  | 
in teacher education at public or private universities or  | 
colleges
and community colleges in this State. The Commission,  | 
in
accordance with rules and regulations promulgated for this  | 
program,
shall provide funding and shall designate each year's  | 
new recipients from
among those applicants who qualify for  | 
 | 
consideration by showing:
 | 
  (1) that he or she is a resident of this State and a  | 
 citizen or a
lawful permanent resident alien of the United  | 
 States;
 | 
  (2) that he or she has successfully completed the  | 
 program of
instruction at an approved high school or is a  | 
 student in good standing at
such a school and is engaged in  | 
 a program that will be completed by the
end of the academic  | 
 year, and in either event that his or her cumulative
grade  | 
 average was or is in the upper 1/4 of the high school  | 
 class;
 | 
  (3) that he or she has superior capacity to profit by a  | 
 higher education;
and
 | 
  (4) that he or she agrees to teach in Illinois schools  | 
 in
accordance with subsection (b).
 | 
 No rule or regulation promulgated by the State Board of
 | 
Education prior to the effective date of this amendatory Act  | 
of 1993 pursuant
to the exercise of any right, power, duty,  | 
responsibility or matter of pending
business transferred from  | 
the State Board of Education to the Commission under
this  | 
Section shall be affected thereby, and all such rules and  | 
regulations
shall become the rules and regulations of the  | 
Commission until modified or
changed by the Commission in  | 
accordance with law.
 | 
 If in any year the number of qualified applicants exceeds  | 
the number of
scholarships to be awarded, the Commission shall  | 
 | 
give
priority in awarding scholarships to students in  | 
financial need. The
Commission
shall consider factors such as  | 
the applicant's
family income, the size of the applicant's  | 
family and the number of other
children in the applicant's  | 
family attending college in determining the
financial need of  | 
the individual.
 | 
 Unless otherwise indicated, these scholarships shall be  | 
good for a period
of up to 4 years while the recipient is  | 
enrolled for residence credit at a
public or private  | 
university or college or at a community college. The
 | 
scholarship shall cover tuition, fees and a stipend of $1,500  | 
per year.
For purposes of calculating scholarship awards for  | 
recipients attending
private universities or colleges, tuition  | 
and fees for students at private
colleges and universities  | 
shall not exceed the average tuition and fees for
students at  | 
4-year public colleges and universities for the academic year
 | 
in which the scholarship is made.
 | 
 (b) Upon graduation from or termination of enrollment
in a  | 
teacher education program, any person who accepted a  | 
scholarship under
the undergraduate scholarship program  | 
continued by this Section, including
persons whose graduation  | 
or termination of
enrollment occurred prior to the effective  | 
date of this amendatory Act of
1993, shall teach in any school  | 
in
this State for at least 4 of the 7 years immediately  | 
following his or her
graduation or termination. If the  | 
recipient spends up to 4 years in
military service before or  | 
 | 
after he or she graduates, the period of
military service  | 
shall be excluded from the computation of that 7 year
period. A  | 
recipient who is enrolled full-time in an academic program
 | 
leading to a graduate degree in education shall have the  | 
period of graduate
study excluded from the computation of that  | 
7 year period.
 | 
 Any person who fails to fulfill the teaching requirement  | 
shall pay to the
Commission an amount equal to one-fourth of  | 
the
scholarship received for each unfulfilled year of the  | 
4-year teaching
requirement, together with interest at 8% per  | 
year on that amount.
However, this obligation to repay does  | 
not apply when the failure to
fulfill the teaching requirement  | 
results from involuntarily leaving the
profession due to a  | 
decrease in the number of teachers employed by the
school  | 
board or a discontinuation of a type of teaching service under
 | 
Section 24-12 of the School Code or from the death or  | 
adjudication as
incompetent of the
person holding the  | 
scholarship. No claim for repayment may be filed
against the  | 
estate of such a decedent or incompetent.
 | 
 Each person applying for such a scholarship shall be  | 
provided with
a copy of this subsection at the time he or she  | 
applies for the benefits
of such scholarship.
 | 
 (c) This Section is substantially the same as Sections  | 
30-14.5 and 30-14.6
of the
School Code, which are repealed by  | 
this amendatory Act of 1993, and shall be
construed as a  | 
continuation of the teacher training undergraduate scholarship
 | 
 | 
program
established by that prior law, and not as a new or  | 
different teacher training
undergraduate scholarship program.
 | 
The State Board of Education shall transfer to the Commission,  | 
as the
successor to the State Board of Education for all  | 
purposes of administering
and implementing the provisions of  | 
this Section, all books, accounts, records,
papers, documents,  | 
contracts, agreements, and pending business in any way
 | 
relating to the teacher training undergraduate scholarship  | 
program
continued under this Section,
and all scholarships at  | 
any time awarded under that program
by, and all applications  | 
for any such scholarship
at any
time made to, the State Board  | 
of Education shall be unaffected by the transfer
to the  | 
Commission of all responsibility for the administration and
 | 
implementation of the teacher training undergraduate  | 
scholarship
program continued under this
Section. The State  | 
Board of Education shall furnish to the Commission such
other  | 
information as the Commission may request to assist it in  | 
administering
this Section.
 | 
(Source: P.A. 88-228.)
 | 
 (110 ILCS 947/65.110) | 
 Sec. 65.110. Post-Master of Social Work School Social Work  | 
Professional Educator License scholarship. | 
 (a) Subject to appropriation, beginning with awards for  | 
the 2022-2023 academic year, the Commission shall award  | 
annually up to 250 Post-Master of Social Work School Social  | 
 | 
Work Professional Educator License scholarships to a person  | 
who: | 
  (1) holds a valid Illinois-licensed clinical social  | 
 work license or social work license; | 
  (2) has obtained a master's degree in social work from  | 
 an approved program; | 
  (3) is a United States citizen or eligible noncitizen;  | 
 and | 
  (4) submits an application to the Commission for such  | 
 scholarship and agrees to take courses to obtain an  | 
 Illinois Professional Educator License with an endorsement  | 
 in School Social Work. | 
 (b) If an appropriation for this Section for a given  | 
fiscal year is insufficient to provide scholarships to all  | 
qualified applicants, the Commission shall allocate the  | 
appropriation in accordance with this subsection (b). If funds  | 
are insufficient to provide all qualified applicants with a  | 
scholarship as authorized by this Section, the Commission  | 
shall allocate the available scholarship funds for that fiscal  | 
year to qualified applicants who submit a complete application  | 
on or before a date specified by the Commission, based on the  | 
following order of priority: | 
  (1) firstly, to students who received a scholarship  | 
 under this Section in the prior academic year and who  | 
 remain eligible for a scholarship under this Section; | 
  (2) secondly, to new, qualified applicants who are  | 
 | 
 members of a racial minority, as defined in subsection  | 
 (c); and | 
  (3) finally, to other new, qualified applicants in  | 
 accordance with this Section.  | 
 (c) Scholarships awarded under this Section shall be  | 
issued pursuant to rules adopted by the Commission. In  | 
awarding scholarships, the Commission shall give priority to  | 
those applicants who are members of a racial minority. Racial  | 
minorities are underrepresented as school social workers in  | 
elementary and secondary schools in this State, and the  | 
General Assembly finds that it is in the interest of this State  | 
to provide them with priority consideration for programs that  | 
encourage their participation in this field and thereby foster  | 
a profession that is more reflective of the diversity of  | 
Illinois students and the parents they will serve. A more  | 
reflective workforce in school social work allows improved  | 
outcomes for students and a better utilization of services.  | 
Therefore, the Commission shall give priority to those  | 
applicants who are members of a racial minority. In this  | 
subsection (c), "racial minority" means a person who is a  | 
citizen of the United States or a lawful permanent resident  | 
alien of the United States and who is: | 
  (1) Black (a person having origins in any of the black  | 
 racial groups in Africa); | 
  (2) Hispanic (a person of Spanish or Portuguese  | 
 culture with origins in Mexico, South or Central America,  | 
 | 
 or the Caribbean Islands, regardless of race); | 
  (3) Asian American (a person having origins in any of  | 
 the original peoples of the Far East, Southeast Asia, the  | 
 Indian Subcontinent, or the Pacific Islands); or | 
  (4) American Indian or Alaskan Native (a person having  | 
 origins in any of the original peoples of North America).  | 
 (d) Each scholarship shall be applied to the payment of  | 
tuition and mandatory fees at the University of Illinois,  | 
Southern Illinois University, Chicago State University,  | 
Eastern Illinois University, Governors State University,  | 
Illinois State University, Northeastern Illinois University,  | 
Northern Illinois University, and Western Illinois University.  | 
Each scholarship may be applied to pay tuition and mandatory  | 
fees required to obtain an Illinois Professional Educator  | 
License with an endorsement in School Social Work. | 
 (e) The Commission shall make tuition and fee payments  | 
directly to the qualified institution of higher learning that  | 
the applicant attends. | 
 (f) Any person who has accepted a scholarship under this  | 
Section must, within one year after graduation or termination  | 
of enrollment in a Post-Master of Social Work Professional  | 
Education License with an endorsement in School Social Work  | 
program, begin working as a school social worker at a public or  | 
nonpublic not-for-profit preschool, elementary school, or  | 
secondary school located in this State for at least 2 of the 5  | 
years immediately following that graduation or termination,  | 
 | 
excluding, however, from the computation of that 5-year  | 
period: (i) any time up to 3 years spent in the military  | 
service, whether such service occurs before or after the  | 
person graduates; (ii) the time that person is a person with a  | 
temporary total disability for a period of time not to exceed 3  | 
years, as established by the sworn affidavit of a qualified  | 
physician; and (iii) the time that person is seeking and  | 
unable to find full-time employment as a school social worker  | 
at a State public or nonpublic not-for-profit preschool,  | 
elementary school, or secondary school. | 
 (g) If a recipient of a scholarship under this Section  | 
fails to fulfill the work obligation set forth in subsection  | 
(f), the Commission shall require the recipient to repay the  | 
amount of the scholarships received, prorated according to the  | 
fraction of the obligation not completed, at a rate of  | 
interest equal to 5%, and, if applicable, reasonable  | 
collection fees. The Commission is authorized to establish  | 
rules relating to its collection activities for repayment of  | 
scholarships under this Section. All repayments collected  | 
under this Section shall be forwarded to the State Comptroller  | 
for deposit into this State's General Revenue Fund. | 
 A recipient of a scholarship under this Section is not  | 
considered to be in violation of the failure to fulfill the  | 
work obligation under subsection (f) if the recipient (i)  | 
enrolls on a full-time basis as a graduate student in a course  | 
of study related to the field of social work at a qualified  | 
 | 
Illinois institution of higher learning; (ii) is serving, not  | 
in excess of 3 years, as a member of the armed services of the  | 
United States; (iii) is a person with a temporary total  | 
disability for a period of time not to exceed 3 years, as  | 
established by the sworn affidavit of a qualified physician;  | 
(iv) is seeking and unable to find full-time employment as a  | 
school social worker at an Illinois public or nonpublic  | 
not-for-profit preschool, elementary school, or secondary  | 
school that satisfies the criteria set forth in subsection (f)  | 
and is able to provide evidence of that fact; or (v) becomes a  | 
person with a permanent total disability, as established by  | 
the sworn affidavit of a qualified physician.
 | 
(Source: P.A. 102-621, eff. 1-1-22.)
 | 
 Section 60. The Mental Health Graduate Education  | 
Scholarship Act is amended by changing Section 20 as follows:
 | 
 (110 ILCS 952/20)
 | 
 Sec. 20. Scholarships.
 | 
 (a) Beginning with the fall term of the 2009-2010 academic  | 
year, the Department, in accordance with rules adopted by it  | 
for this program, shall provide scholarships to individuals  | 
selected from among those applicants who qualify for  | 
consideration by showing all of the following: | 
  (1) That the individual has been a resident of this  | 
 State
for at least one year prior to application and is a  | 
 | 
 citizen or a lawful permanent resident alien of the United  | 
 States. | 
  (2) That the individual enrolled in or accepted into a  | 
 mental health graduate program at an approved institution. | 
  (3) That the individual agrees to meet the mental  | 
 health
employment obligation. | 
 (b) If in any year the number of qualified applicants  | 
exceeds the number of scholarships to be awarded, the  | 
Department shall, in consultation with the Advisory Council,  | 
consider the following factors in granting priority in  | 
awarding scholarships: | 
  (1) Financial need, as shown on a standardized
 | 
 financial needs assessment form used by an approved  | 
 institution. | 
  (2) A student's merit, as shown through his or
her  | 
 grade point average, class rank, and other academic and  | 
 extracurricular activities.
 | 
The Department may add to and further define these merit  | 
criteria by rule. | 
 (c) Unless otherwise indicated, scholarships shall be  | 
awarded to recipients at approved institutions for a period of  | 
up to 2 years if the recipient is enrolled in a master's degree  | 
program and up to 4 years if the recipient is enrolled in a  | 
doctoral degree program.
 | 
(Source: P.A. 96-672, eff. 8-25-09.)
 | 
 | 
 Section 65. The Nursing Education Scholarship Law is  | 
amended by changing Sections 5 and 6.5 as follows:
 | 
 (110 ILCS 975/5) (from Ch. 144, par. 2755)
 | 
 Sec. 5. Nursing education scholarships. Beginning with the  | 
fall term of the 2004-2005
academic year, the
Department, in  | 
accordance with rules and regulations promulgated by it for  | 
this
program, shall provide scholarships to individuals  | 
selected
from among those applicants who qualify for  | 
consideration by showing:
 | 
  (1) that he or she has been a resident of this State  | 
 for at least one
year prior to application, and is a  | 
 citizen or a lawful permanent resident
alien of the United  | 
 States;
 | 
  (2) that he or she is enrolled in or accepted for  | 
 admission to an associate degree in
nursing program,  | 
 hospital-based
diploma in nursing program, baccalaureate  | 
 degree
in nursing program, graduate degree in nursing  | 
 program, or practical nursing program at an approved
 | 
 institution; and
 | 
  (3) that he or she agrees to meet the nursing  | 
 employment obligation.
 | 
 If in any year the number of qualified applicants exceeds  | 
the number of
scholarships to be awarded, the Department  | 
shall, in consultation with the Illinois Nursing Workforce  | 
Center Advisory Board, consider the following factors in  | 
 | 
granting priority in awarding
scholarships: | 
   (A) Financial need, as shown on a
standardized  | 
 financial needs assessment form used by an approved
 | 
 institution, of students who will pursue their  | 
 education on a full-time or close to
full-time
basis  | 
 and who already have a certificate in practical  | 
 nursing, a diploma
in nursing, or an associate degree  | 
 in nursing and are pursuing a higher
degree.
 | 
   (B) A student's status as a registered nurse who  | 
 is pursuing a graduate degree in nursing to pursue  | 
 employment in an approved institution that educates  | 
 licensed practical nurses and that educates registered  | 
 nurses in undergraduate and graduate nursing programs.
 | 
   (C) A student's merit, as shown through his or her  | 
 grade point average, class rank, and other academic  | 
 and extracurricular activities. The Department may add  | 
 to and further define these merit criteria by rule.
 | 
 Unless otherwise indicated, scholarships shall be awarded  | 
to
recipients at approved institutions for a period
of up to 2  | 
years if the recipient is enrolled in an
associate degree in
 | 
nursing
program, up to 3 years if the recipient is enrolled in  | 
a hospital-based
diploma in nursing program, up to 4 years if  | 
the recipient is enrolled in a
baccalaureate degree in nursing  | 
program, up to 5 years if the recipient is enrolled in a  | 
graduate degree in nursing program, and up to one year if the
 | 
recipient is enrolled in a certificate in practical nursing  | 
 | 
program. At least
40% of the scholarships awarded shall be for  | 
recipients who are
pursuing baccalaureate degrees in nursing,  | 
30% of the scholarships
awarded shall be for recipients who  | 
are pursuing associate degrees in
nursing
or a diploma in  | 
nursing, 10% of the scholarships awarded
shall be for  | 
recipients who are pursuing a certificate in practical  | 
nursing, and 20% of the scholarships awarded shall be for  | 
recipients who are pursuing a graduate degree in nursing.
 | 
 Beginning with the fall term of the 2021-2022 academic  | 
year and continuing through the 2024-2025 academic year,  | 
subject to appropriation from the Hospital Licensure Fund, in  | 
addition to any other funds available to the Department for  | 
such scholarships, the Department may award a total of  | 
$500,000 annually in scholarships under this Section.  | 
(Source: P.A. 102-641, eff. 8-27-21.)
 | 
 (110 ILCS 975/6.5) | 
 Sec. 6.5. Nurse educator scholarships. | 
 (a) Beginning with the fall term of the 2009-2010 academic  | 
year, the Department shall provide scholarships to individuals  | 
selected from among those applicants who qualify for  | 
consideration by showing the following: | 
  (1) that he or she has been a resident of this State  | 
 for at least one year prior to application and is a citizen  | 
 or a lawful permanent resident alien of the United States; | 
  (2) that he or she is enrolled in or accepted for  | 
 | 
 admission to a graduate degree in nursing program at an  | 
 approved institution; and | 
  (3) that he or she agrees to meet the nurse educator  | 
 employment obligation. | 
 (b) If in any year the number of qualified applicants  | 
exceeds the number of scholarships to be awarded under this  | 
Section, the Department shall, in consultation with the  | 
Illinois Nursing Workforce Center Advisory Board, consider the  | 
following factors in granting priority in awarding  | 
scholarships: | 
  (1) Financial need, as shown on a standardized  | 
 financial needs assessment form used by an approved  | 
 institution, of students who will pursue their education  | 
 on a full-time or close to full-time basis and who already  | 
 have a diploma in nursing and are pursuing a higher  | 
 degree. | 
  (2) A student's status as a registered nurse who is  | 
 pursuing a graduate degree in nursing to pursue employment  | 
 in an approved institution that educates licensed  | 
 practical nurses and that educates registered nurses in  | 
 undergraduate and graduate nursing programs. | 
  (3) A student's merit, as shown through his or her  | 
 grade point average, class rank, experience as a nurse,  | 
 including supervisory experience, experience as a nurse in  | 
 the United States military, and other academic and  | 
 extracurricular activities. | 
 | 
 (c) Unless otherwise indicated, scholarships under this  | 
Section shall be awarded to recipients at approved  | 
institutions for a period of up to 3 years. | 
 (d) Within 12 months after graduation from a graduate  | 
degree in nursing program for nurse educators, any recipient  | 
who accepted a scholarship under this Section shall begin  | 
meeting the required nurse educator employment obligation. In  | 
order to defer his or her continuous employment obligation, a  | 
recipient must request the deferment in writing from the  | 
Department. A recipient shall receive a deferment if he or she  | 
notifies the Department, within 30 days after enlisting, that  | 
he or she is spending up to 4 years in military service. A  | 
recipient shall receive a deferment if he or she notifies the  | 
Department, within 30 days after enrolling, that he or she is  | 
enrolled in an academic program leading to a graduate degree  | 
in nursing. The recipient must begin meeting the required  | 
nurse educator employment obligation no later than 6 months  | 
after the end of the deferment or deferments. | 
 Any person who fails to fulfill the nurse educator  | 
employment obligation shall pay to the Department an amount  | 
equal to the amount of scholarship funds received per year for  | 
each unfulfilled year of the nurse educator employment  | 
obligation, together with interest at 7% per year on the  | 
unpaid balance. Payment must begin within 6 months following  | 
the date of the occurrence initiating the repayment. All  | 
repayments must be completed within 6 years from the date of  | 
 | 
the occurrence initiating the repayment. However, this  | 
repayment obligation may be deferred and re-evaluated every 6  | 
months when the failure to fulfill the nurse educator  | 
employment obligation results from involuntarily leaving the  | 
profession due to a decrease in the number of nurses employed  | 
in this State or when the failure to fulfill the nurse educator  | 
employment obligation results from total and permanent  | 
disability. The repayment obligation shall be excused if the  | 
failure to fulfill the nurse educator employment obligation  | 
results from the death or adjudication as incompetent of the  | 
person holding the scholarship. No claim for repayment may be  | 
filed against the estate of such a decedent or incompetent. | 
 The Department may allow a nurse educator employment  | 
obligation fulfillment alternative if the nurse educator  | 
scholarship recipient is unsuccessful in finding work as a  | 
nurse educator. The Department shall maintain a database of  | 
all available nurse educator positions in this State. | 
 (e) Each person applying for a scholarship under this  | 
Section must be provided with a copy of this Section at the  | 
time of application for the benefits of this scholarship. | 
 (f) Rulemaking authority to implement this amendatory Act  | 
of the 96th General Assembly, if any, is conditioned on the  | 
rules being adopted in accordance with all provisions of the  | 
Illinois Administrative Procedure Act and all rules and  | 
procedures of the Joint Committee on Administrative Rules; any  | 
purported rule not so adopted, for whatever reason, is  | 
 | 
unauthorized. 
 | 
(Source: P.A. 100-513, eff. 1-1-18.)
 | 
 Section 70. The Comprehensive Health Insurance Plan Act is  | 
amended by changing Section 7 as follows:
 | 
 (215 ILCS 105/7) (from Ch. 73, par. 1307) | 
 Sec. 7. Eligibility.  | 
 a. Except as provided in subsection (e) of this Section or  | 
in Section
15 of this Act, any person who is either a citizen  | 
of the United States or an individual an
alien lawfully  | 
admitted for permanent residence and who has been for a period
 | 
of at least 180 days and continues to be a resident of this  | 
State shall be
eligible for Plan coverage under this Section  | 
if evidence is provided of: | 
  (1) A notice of rejection or refusal to issue  | 
 substantially
similar individual health insurance coverage  | 
 for health reasons by a
health insurance issuer; | 
  (2) A refusal by a health insurance issuer to issue  | 
 individual
health insurance coverage except at a rate  | 
 exceeding the
applicable Plan rate for which the person is  | 
 responsible; or | 
  (3) The absence of available health insurance coverage  | 
 for a person under 19 years of age.  | 
 A rejection or refusal by a group health plan or health  | 
insurance issuer
offering only
stop-loss or excess of loss  | 
 | 
insurance or contracts,
agreements, or other arrangements for  | 
reinsurance coverage with respect
to the applicant shall not  | 
be sufficient evidence under this subsection. | 
 b. The Board shall promulgate a list of medical or health  | 
conditions for
which a person who is either a citizen of the  | 
United States or an individual an
alien lawfully admitted for  | 
permanent residence and a resident of this State
would be  | 
eligible for Plan coverage without applying for
health  | 
insurance coverage pursuant to subsection a. of this Section.
 | 
Persons who
can demonstrate the existence or history of any  | 
medical or health
conditions on the list promulgated by the  | 
Board shall not be required to
provide the evidence specified  | 
in subsection a. of this Section. The list
shall be effective
 | 
on the first day of the operation of the Plan and may be  | 
amended from time
to time as appropriate. | 
 c. Family members of the same household who each are  | 
covered
persons are
eligible for optional family coverage  | 
under the Plan. | 
 d. For persons qualifying for coverage in accordance with  | 
Section 7 of
this Act, the Board shall, if it determines that  | 
such appropriations as are
made pursuant to Section 12 of this  | 
Act are insufficient to allow the Board
to accept all of the  | 
eligible persons which it projects will apply for
enrollment  | 
under the Plan, limit or close enrollment to ensure that the
 | 
Plan is not over-subscribed and that it has sufficient  | 
resources to meet
its obligations to existing enrollees. The  | 
 | 
Board shall not limit or close
enrollment for federally  | 
eligible individuals. | 
 e. A person shall not be eligible for coverage under the  | 
Plan if: | 
  (1) He or she has or obtains other coverage under a  | 
 group health plan
or health insurance coverage
 | 
 substantially similar to or better than a Plan policy as  | 
 an insured or
covered dependent or would be eligible to  | 
 have that coverage if he or she
elected to obtain it.  | 
 Persons otherwise eligible for Plan coverage may,
however,  | 
 solely for the purpose of having coverage for a  | 
 pre-existing
condition, maintain other coverage only while  | 
 satisfying any pre-existing
condition waiting period under  | 
 a Plan policy or a subsequent replacement
policy of a Plan  | 
 policy. | 
  (1.1) His or her prior coverage under a group health  | 
 plan or health
insurance coverage, provided or arranged by  | 
 an employer of more than 10 employees was discontinued
for  | 
 any reason without the entire group or plan being  | 
 discontinued and not
replaced, provided he or she remains  | 
 an employee, or dependent thereof, of the
same employer. | 
  (2) He or she is a recipient of or is approved to  | 
 receive medical
assistance, except that a person may  | 
 continue to receive medical
assistance through the medical  | 
 assistance no grant program, but only
while satisfying the  | 
 requirements for a preexisting condition under
Section 8,  | 
 | 
 subsection f. of this Act. Payment of premiums pursuant to  | 
 this
Act shall be allocable to the person's spenddown for  | 
 purposes of the
medical assistance no grant program, but  | 
 that person shall not be
eligible for any Plan benefits  | 
 while that person remains eligible for
medical assistance.  | 
 If the person continues to receive
or be approved to  | 
 receive medical assistance through the medical
assistance  | 
 no grant program at or after the time that requirements  | 
 for a
preexisting condition are satisfied, the person  | 
 shall not be eligible for
coverage under the Plan. In that  | 
 circumstance, coverage under the Plan
shall terminate as  | 
 of the expiration of the preexisting condition
limitation  | 
 period. Under all other circumstances, coverage under the  | 
 Plan
shall automatically terminate as of the effective  | 
 date of any medical
assistance. | 
  (3) Except as provided in Section 15, the person has  | 
 previously
participated in the Plan and voluntarily
 | 
 terminated Plan coverage, unless 12 months have elapsed
 | 
 since the person's
latest voluntary termination of  | 
 coverage. | 
  (4) The person fails to pay the required premium under  | 
 the covered
person's
terms of enrollment and  | 
 participation, in which event the liability of the
Plan  | 
 shall be limited to benefits incurred under the Plan for  | 
 the time
period for which premiums had been paid and the  | 
 covered person remained
eligible for Plan coverage. | 
 | 
  (5) The Plan has paid a total of
$5,000,000
in  | 
 benefits
on behalf of the covered person. | 
  (6) The person is a resident of a public institution. | 
  (7) The person's premium is paid for or reimbursed  | 
 under any
government sponsored program or by any  | 
 government agency or health
care provider, except as an  | 
 otherwise qualifying full-time employee, or
dependent of  | 
 such employee, of a government agency or health care  | 
 provider
or, except when a person's premium is paid by the  | 
 U.S. Treasury Department
pursuant to the federal Trade Act  | 
 of 2002. | 
  (8) The person has or later receives other benefits or  | 
 funds from
any settlement, judgement, or award resulting  | 
 from any accident or injury,
regardless of the date of the  | 
 accident or injury, or any other
circumstances creating a  | 
 legal liability for damages due that person by a
third  | 
 party, whether the settlement, judgment, or award is in  | 
 the form of a
contract, agreement, or trust on behalf of a  | 
 minor or otherwise and whether
the settlement, judgment,  | 
 or award is payable to the person, his or her
dependent,  | 
 estate, personal representative, or guardian in a lump sum  | 
 or
over time, so long as there continues to be benefits or  | 
 assets remaining
from those sources in an amount in excess  | 
 of $300,000. | 
  (9) Within the 5 years prior to the date a person's  | 
 Plan application is
received by the Board, the person's  | 
 | 
 coverage under any health care benefit
program as defined  | 
 in 18 U.S.C. 24, including any public or private plan or
 | 
 contract under which any
medical benefit, item, or service  | 
 is provided, was terminated as a result of
any act or  | 
 practice that constitutes fraud under State or federal law  | 
 or as a
result of an intentional misrepresentation of  | 
 material fact; or if that person
knowingly and willfully  | 
 obtained or attempted to obtain, or fraudulently aided
or  | 
 attempted to aid any other person in obtaining, any  | 
 coverage or benefits
under the Plan to which that person  | 
 was not entitled. | 
 f. The Board or the administrator shall require  | 
verification of
residency and may require any additional  | 
information or documentation, or
statements under oath, when  | 
necessary to determine residency upon initial
application and  | 
for the entire term of the policy. | 
 g. Coverage shall cease (i) on the date a person is no  | 
longer a
resident of Illinois, (ii) on the date a person  | 
requests coverage to end,
(iii) upon the death of the covered  | 
person, (iv) on the date State law
requires cancellation of  | 
the policy, or (v) at the Plan's option, 30 days
after the Plan  | 
makes any inquiry concerning a person's eligibility or place
 | 
of residence to which the person does not reply. | 
 h. Except under the conditions set forth in subsection g  | 
of this
Section, the coverage of any person who ceases to meet  | 
the
eligibility requirements of this Section shall be  | 
 | 
terminated at the end of
the current policy period for which  | 
the necessary premiums have been paid. | 
(Source: P.A. 96-938, eff. 6-24-10; 97-661, eff. 1-13-12.)
 | 
 Section 75. The Hearing Instrument Consumer Protection Act  | 
is amended by changing Section 8 as follows:
 | 
 (225 ILCS 50/8) (from Ch. 111, par. 7408)
 | 
 (Section scheduled to be repealed on January 1, 2026)
 | 
 Sec. 8. Applicant qualifications; examination. 
 | 
 (a) In order to protect persons who are deaf or hard of  | 
hearing, the Department
shall authorize or shall conduct an  | 
appropriate examination, which may be the International  | 
Hearing Society's licensure examination, for persons
who  | 
dispense, test, select, recommend, fit, or service hearing
 | 
instruments. The frequency of holding these examinations shall
 | 
be determined by the Department by rule. Those
who  | 
successfully pass such an examination shall be issued a  | 
license
as a hearing instrument dispenser, which shall be  | 
effective for
a 2-year period.
 | 
 (b) Applicants shall be:
 | 
  (1) at least 18 years of age;
 | 
  (2) of good moral character;
 | 
  (3) the holder of an associate's degree or the  | 
 equivalent;
 | 
  (4) free of contagious or infectious disease; and
 | 
 | 
  (5) a citizen or person lawfully present in the United  | 
 States person who has the status as a legal alien.
 | 
 Felony convictions of the applicant and findings against  | 
the applicant
involving matters set forth in Sections 17 and  | 
18 shall be considered in
determining moral character, but  | 
such a conviction or finding shall not make an
applicant  | 
ineligible to register for examination.
 | 
 (c) Prior to engaging in the practice of fitting,  | 
dispensing, or servicing
hearing instruments, an applicant
 | 
shall demonstrate, by means of written
and practical  | 
examinations, that such person is qualified to
practice the  | 
testing, selecting, recommending, fitting, selling, or
 | 
servicing of hearing instruments as defined in this
Act. An  | 
applicant must obtain a license within 12
months after passing  | 
either the written or practical examination, whichever is  | 
passed first, or must take and
pass those examinations again  | 
in order to be eligible to receive a license.
 | 
 The Department shall, by rule, determine the conditions  | 
under which an
individual is examined.
 | 
 (d) Proof of having met the minimum requirements of  | 
continuing education
as determined by the Board shall be  | 
required of all license renewals.
Pursuant to rule, the  | 
continuing education requirements may, upon petition to
the  | 
Board,
be waived in whole or in part if the hearing instrument  | 
dispenser
can demonstrate
that he or she served in the Coast  | 
Guard or Armed Forces, had an extreme
hardship, or obtained  | 
 | 
his or her license by examination or
endorsement within
the  | 
preceding renewal period.
 | 
 (e) Persons applying for an initial
license
must  | 
demonstrate having earned, at a minimum, an associate degree  | 
or its equivalent from an
accredited institution of higher  | 
education that is recognized by the U.S. Department of  | 
Education or that meets the U.S. Department of Education  | 
equivalency as determined through a National Association of  | 
Credential Evaluation Services (NACES) member, and meet the  | 
other requirements of
this Section. In addition, the applicant  | 
must demonstrate the successful
completion of (1) 12 semester  | 
hours or 18 quarter hours of academic undergraduate
course  | 
work in an accredited institution consisting of 3 semester  | 
hours of
anatomy and physiology of the hearing mechanism, 3  | 
semester hours of
hearing science, 3 semester hours of  | 
introduction to audiology, and 3 semester
hours of aural  | 
rehabilitation, or the quarter hour equivalent or (2) an  | 
equivalent program as determined by the Department that is  | 
consistent with the scope of practice of a hearing instrument  | 
dispenser as defined in Section 3 of this Act. Persons
 | 
licensed before January 1, 2003 who
have a valid license on  | 
that date may have their license renewed
without meeting the  | 
requirements of this subsection.
 | 
(Source: P.A. 98-827, eff. 1-1-15; 99-204, eff. 7-30-15;  | 
99-847, eff. 8-19-16.)
 | 
 | 
 Section 80. The Illinois Public Aid Code is amended by  | 
changing Section 5-3 as follows:
 | 
 (305 ILCS 5/5-3) (from Ch. 23, par. 5-3)
 | 
 Sec. 5-3. 
Residence.) Any person who has established his  | 
residence
in this State and lives therein, including any  | 
person who is a migrant
worker, may qualify for medical  | 
assistance. A person who, while
temporarily in this State,  | 
suffers injury or illness endangering his
life and health and  | 
necessitating emergency care, may also qualify.
 | 
 Temporary absence from the State shall not disqualify a  | 
person from
maintaining his eligibility under this Article.
 | 
 As used in this Section, "migrant worker" means any person  | 
residing
temporarily and employed in Illinois who moves  | 
seasonally from one
place to another for the purpose of  | 
employment in agricultural
activities, including the planting,  | 
raising or harvesting of any
agricultural or horticultural  | 
commodities and the handling, packing or
processing of such  | 
commodities on the farm where produced or at the
point of first  | 
processing, in animal husbandry, or in other activities  | 
connected
with the care of animals. Dependents of such person  | 
shall be
considered eligible if they are living with the  | 
person during his or her
temporary residence and employment in  | 
Illinois.
 | 
 In order to be eligible for medical assistance under this  | 
section,
each migrant worker shall show proof of citizenship  | 
 | 
or legal immigration alien status.
 | 
(Source: P.A. 81-746.)
 | 
 Section 85. The Service Member Employment and Reemployment  | 
Rights Act is amended by changing Section 1-10 as follows:
 | 
 (330 ILCS 61/1-10)
 | 
 Sec. 1-10. Definitions. As used in this Act: | 
 "Accrue" means to accumulate in regular or increasing  | 
amounts over time subject to customary allocation of cost. | 
 "Active duty" means any full-time military service  | 
regardless of length or voluntariness including, but not  | 
limited to, annual training, full-time National Guard duty,  | 
and State active duty. "Active duty" does not include any form  | 
of inactive duty service such as drill duty or muster duty.  | 
"Active duty", unless provided otherwise, includes active duty  | 
without pay.  | 
 "Active service" means all forms of active and inactive  | 
duty regardless of voluntariness including, but not limited  | 
to, annual training, active duty for training, initial active  | 
duty training, overseas training duty, full-time National  | 
Guard duty, active duty other than training, State active  | 
duty, mobilizations, and muster duty. "Active service", unless  | 
provided otherwise, includes active service without pay.  | 
"Active service" includes: | 
  (1) Reserve component voluntary active service means  | 
 | 
 service under one of the following authorities: | 
   (A) any duty under 32 U.S.C. 502(f)(1)(B); | 
   (B) active guard reserve duty, operational  | 
 support, or additional duty under 10 U.S.C. 12301(d)  | 
 or 32 U.S.C. 502(f)(1)(B); | 
   (C) funeral honors under 10 U.S.C. 12503 or 32  | 
 U.S.C. 115; | 
   (D) duty at the National Guard Bureau under 10  | 
 U.S.C. 12402; | 
   (E) unsatisfactory participation under 10 U.S.C.  | 
 10148 or 10 U.S.C. 12303; | 
   (F) discipline under 10 U.S.C. 802(d); | 
   (G) extended active duty under 10 U.S.C. 12311;  | 
 and | 
   (H) reserve program administrator under 10 U.S.C.  | 
 10211. | 
  (2) Reserve component involuntary active service  | 
 includes, but is not limited to, service under one of the  | 
 following authorities: | 
   (A) annual training or drill requirements under 10  | 
 U.S.C. 10147, 10 U.S.C. 12301(b) or 32 U.S.C. 502(a). | 
   (B) additional training duty or other duty under  | 
 32 U.S.C. 502(f)(1)(A); | 
   (C) pre-planned or pre-programmed combatant  | 
 commander support under 10 U.S.C. 12304b; | 
   (D) mobilization under 10 U.S.C. 12301(a) or 10  | 
 | 
 U.S.C. 12302; | 
   (E) presidential reserve call-up under 10 U.S.C.  | 
 12304; | 
   (F) emergencies and natural disasters under 10  | 
 U.S.C. 12304a or 14 U.S.C. 712; | 
   (G) muster duty under 10 U.S.C. 12319; | 
   (H) retiree recall under 10 U.S.C. 688; | 
   (I) captive status under 10 U.S.C. 12301(g); | 
   (J) insurrection under 10 U.S.C. 331, 10 U.S.C.  | 
 332, or 10 U.S.C. 12406; | 
   (K) pending line of duty determination for  | 
 response to sexual assault under 10 U.S.C. 12323; and | 
   (L) initial active duty for training under 10  | 
 U.S.C. 671. | 
 Reserve component active service not listed in paragraph  | 
(1) or (2) shall be considered involuntary active service  | 
under paragraph (2). | 
 "Active service without pay" means active service  | 
performed under any authority in which base pay is not  | 
received regardless of other allowances. | 
 "Annual training" means any active duty performed under  | 
Section 10147 or 12301(b) of Title 10 of the United States Code  | 
or under Section 502(a) of Title 32 of the United States Code. | 
 "Base pay" means the main component of military pay,  | 
whether active or inactive, based on rank and time in service.  | 
It does not include the addition of conditional funds for  | 
 | 
specific purposes such as allowances, incentive and special  | 
pay. Base pay, also known as basic pay, can be determined by  | 
referencing the appropriate military pay chart covering the  | 
time period in question located on the federal Defense Finance  | 
and Accounting Services website or as reflected on a federal  | 
Military Leave and Earnings Statement.  | 
 "Benefits" includes, but is not limited to, the terms,  | 
conditions, or privileges of employment, including any  | 
advantage, profit, privilege, gain, status, account, or  | 
interest, including wages or salary for work performed, that  | 
accrues by reason of an employment contract or agreement or an  | 
employer policy, plan, or practice and includes rights and  | 
benefits under a pension plan, a health plan, an employee  | 
stock ownership plan, insurance coverage and awards, bonuses,  | 
severance pay, supplemental unemployment benefits, vacations,  | 
and the opportunity to select work hours or location of  | 
employment.  | 
 "Differential compensation" means pay due when the  | 
employee's daily rate of compensation for military service is  | 
less than his or her daily rate of compensation as a public  | 
employee. | 
 "Employee" means anyone employed by an employer.  | 
"Employee" includes any person who is a citizen, national, or  | 
permanent resident alien of the United States employed in a  | 
workplace that the State has legal authority to regulate  | 
business and employment. "Employee" does not include an  | 
 | 
independent contractor. | 
 "Employer" means any person, institution, organization, or  | 
other entity that pays salary or wages for work performed or  | 
that has control over employment opportunities, including: | 
  (1) a person, institution, organization, or other  | 
 entity to whom the employer has delegated the performance  | 
 of employment-related responsibilities; | 
  (2) an employer of a public employee; | 
  (3) any successor in interest to a person,  | 
 institution, organization, or other entity referred to  | 
 under this definition; and | 
  (4) a person, institution, organization, or other  | 
 entity that has been denied initial employment in  | 
 violation of Section 5-15. | 
 "Inactive duty" means inactive duty training, including  | 
drills, consisting of regularly scheduled unit training  | 
assemblies, additional training assemblies, periods of  | 
appropriate duty or equivalent training, and any special  | 
additional duties authorized for reserve component personnel  | 
by appropriate military authority. "Inactive duty" does not  | 
include active duty. | 
 "Military leave" means a furlough or leave of absence  | 
while performing active service. It cannot be substituted for  | 
accrued vacation, annual, or similar leave with pay except at  | 
the sole discretion of the service member employee. It is not a  | 
benefit of employment that is requested but a legal  | 
 | 
requirement upon receiving notice of pending military service.  | 
 "Military service" means: | 
  (1) Service in the Armed Forces of the United States,  | 
 the National Guard of any state or territory regardless of  | 
 status, and the State Guard as defined in the State Guard  | 
 Act. "Military service", whether active or reserve,  | 
 includes service under the authority of U.S.C. Titles 10,  | 
 14, or 32, or State active duty.  | 
  (2) Service in a federally recognized auxiliary of the  | 
 United States Armed Forces when performing official duties  | 
 in support of military or civilian authorities as a result  | 
 of an emergency.  | 
  (3) A period for which an employee is absent from a  | 
 position of employment for the purpose of medical or  | 
 dental treatment for a condition, illness, or injury  | 
 sustained or aggravated during a period of active service  | 
 in which treatment is paid by the United States Department  | 
 of Defense Military Health System.  | 
 "Public employee" means any person classified as a  | 
full-time employee of the State of Illinois, a unit of local  | 
government, a public institution of higher education as  | 
defined in Section 1 of the Board of Higher Education Act, or a  | 
school district, other than an independent contractor. | 
 "Reserve component" means the reserve components of  | 
Illinois and the United States Armed Forces regardless of  | 
status. | 
 | 
 "Service member" means any person who is a member of a  | 
military service.  | 
 "State active duty" means full-time State-funded military  | 
duty under the command and control of the Governor and subject  | 
to the Military Code of Illinois. | 
 "Unit of local government" means any city, village, town,  | 
county, or special district. 
 | 
(Source: P.A. 100-1101, eff. 1-1-19.)
 | 
 Section 90. The Firearm Owners Identification Card Act is  | 
amended by changing Sections 1.1, 4, and 8 as follows:
 | 
 (430 ILCS 65/1.1) (from Ch. 38, par. 83-1.1)
 | 
 Sec. 1.1. For purposes of this Act: 
 | 
 "Addicted to narcotics" means a person who has been:  | 
  (1) convicted of an offense involving the use or  | 
 possession of cannabis, a controlled substance, or  | 
 methamphetamine within the past year; or  | 
  (2) determined by the Illinois State Police to be  | 
 addicted to narcotics based upon federal law or federal  | 
 guidelines.  | 
 "Addicted to narcotics" does not include possession or use  | 
of a prescribed controlled substance under the direction and  | 
authority of a physician or other person authorized to  | 
prescribe the controlled substance when the controlled  | 
substance is used in the prescribed manner. | 
 | 
 "Adjudicated as a person with a mental disability" means  | 
the person is the subject of a determination by a court, board,  | 
commission or other lawful authority that the person, as a  | 
result of marked subnormal intelligence, or mental illness,  | 
mental impairment, incompetency, condition, or disease: | 
  (1) presents a clear and present danger to himself,  | 
 herself, or to others; | 
  (2) lacks the mental capacity to manage his or her own  | 
 affairs or is adjudicated a person with a disability as  | 
 defined in Section 11a-2 of the Probate Act of 1975; | 
  (3) is not guilty in a criminal case by reason of  | 
 insanity, mental disease or defect; | 
  (3.5) is guilty but mentally ill, as provided in  | 
 Section 5-2-6 of the Unified Code of Corrections;  | 
  (4) is incompetent to stand trial in a criminal case;  | 
  (5) is not guilty by reason of lack of mental  | 
 responsibility under Articles 50a and 72b of the Uniform  | 
 Code of Military Justice, 10 U.S.C. 850a, 876b;
 | 
  (6) is a sexually violent person under subsection (f)  | 
 of Section 5 of the Sexually Violent Persons Commitment  | 
 Act;  | 
  (7) is a sexually dangerous person under the Sexually  | 
 Dangerous Persons Act;  | 
  (8) is unfit to stand trial under the Juvenile Court  | 
 Act of 1987;  | 
  (9) is not guilty by reason of insanity under the  | 
 | 
 Juvenile Court Act of 1987;  | 
  (10) is subject to involuntary admission as an  | 
 inpatient as defined in Section 1-119 of the Mental Health  | 
 and Developmental Disabilities Code;  | 
  (11) is subject to involuntary admission as an  | 
 outpatient as defined in Section 1-119.1 of the Mental  | 
 Health and Developmental Disabilities Code;  | 
  (12) is subject to judicial admission as set forth in  | 
 Section 4-500 of the Mental Health and Developmental  | 
 Disabilities Code; or  | 
  (13) is subject to the provisions of the Interstate  | 
 Agreements on Sexually Dangerous Persons Act.  | 
 "Clear and present danger" means a person who: | 
  (1) communicates a serious threat of physical violence  | 
 against a reasonably identifiable victim or poses a clear  | 
 and imminent risk of serious physical injury to himself,  | 
 herself, or another person as determined by a physician,  | 
 clinical psychologist, or qualified examiner; or | 
  (2) demonstrates threatening physical or verbal  | 
 behavior, such as violent, suicidal, or assaultive  | 
 threats, actions, or other behavior, as determined by a  | 
 physician, clinical psychologist, qualified examiner,  | 
 school administrator, or law enforcement official. | 
 "Clinical psychologist" has the meaning provided in  | 
Section 1-103 of the Mental Health and Developmental  | 
Disabilities Code. | 
 | 
 "Controlled substance" means a controlled substance or  | 
controlled substance analog as defined in the Illinois  | 
Controlled Substances Act.  | 
 "Counterfeit" means to copy or imitate, without legal  | 
authority, with
intent
to deceive. | 
 "Federally licensed firearm dealer" means a person who is  | 
licensed as a federal firearms dealer under Section 923 of the  | 
federal Gun Control Act of 1968 (18 U.S.C. 923).
 | 
 "Firearm" means any device, by
whatever name known, which  | 
is designed to expel a projectile or projectiles
by the action  | 
of an explosion, expansion of gas or escape of gas; excluding,
 | 
however:
 | 
  (1) any pneumatic gun, spring gun, paint ball gun, or  | 
 B-B gun which
expels a single globular projectile not  | 
 exceeding .18 inch in
diameter or which has a maximum  | 
 muzzle velocity of less than 700 feet
per second;
 | 
  (1.1) any pneumatic gun, spring gun, paint ball gun,  | 
 or B-B gun which expels breakable paint balls containing  | 
 washable marking colors;  | 
  (2) any device used exclusively for signaling or  | 
 safety and required or
recommended by the United States  | 
 Coast Guard or the Interstate Commerce
Commission;
 | 
  (3) any device used exclusively for the firing of stud  | 
 cartridges,
explosive rivets or similar industrial  | 
 ammunition; and
 | 
  (4) an antique firearm (other than a machine-gun)  | 
 | 
 which, although
designed as a weapon, the Illinois State  | 
 Police finds by reason of
the date of its manufacture,  | 
 value, design, and other characteristics is
primarily a  | 
 collector's item and is not likely to be used as a weapon.
 | 
 "Firearm ammunition" means any self-contained cartridge or  | 
shotgun
shell, by whatever name known, which is designed to be  | 
used or adaptable to
use in a firearm; excluding, however:
 | 
  (1) any ammunition exclusively designed for use with a  | 
 device used
exclusively for signaling signalling or safety  | 
 and required or recommended by the
United States Coast  | 
 Guard or the Interstate Commerce Commission; and
 | 
  (2) any ammunition designed exclusively for use with a  | 
 stud or rivet
driver or other similar industrial  | 
 ammunition. | 
 "Gun show" means an event or function: | 
  (1) at which the sale and transfer of firearms is the  | 
 regular and normal course of business and where 50 or more  | 
 firearms are displayed, offered, or exhibited for sale,  | 
 transfer, or exchange; or | 
  (2) at which not less than 10 gun show vendors  | 
 display, offer, or exhibit for sale, sell, transfer, or  | 
 exchange firearms.
 | 
 "Gun show" includes the entire premises provided for an  | 
event or function, including parking areas for the event or  | 
function, that is sponsored to facilitate the purchase, sale,  | 
transfer, or exchange of firearms as described in this  | 
 | 
Section.
Nothing in this definition shall be construed to  | 
exclude a gun show held in conjunction with competitive  | 
shooting events at the World Shooting Complex sanctioned by a  | 
national governing body in which the sale or transfer of  | 
firearms is authorized under subparagraph (5) of paragraph (g)  | 
of subsection (A) of Section 24-3 of the Criminal Code of 2012.  | 
 Unless otherwise expressly stated, "gun show" does not  | 
include training or safety classes, competitive shooting  | 
events, such as rifle, shotgun, or handgun matches, trap,  | 
skeet, or sporting clays shoots, dinners, banquets, raffles,  | 
or
any other event where the sale or transfer of firearms is  | 
not the primary course of business. | 
 "Gun show promoter" means a person who organizes or  | 
operates a gun show. | 
 "Gun show vendor" means a person who exhibits, sells,  | 
offers for sale, transfers, or exchanges any firearms at a gun  | 
show, regardless of whether the person arranges with a gun  | 
show promoter for a fixed location from which to exhibit,  | 
sell, offer for sale, transfer, or exchange any firearm. | 
 "Involuntarily admitted" has the meaning as prescribed in  | 
Sections 1-119 and 1-119.1 of the Mental Health and  | 
Developmental Disabilities Code.  | 
 "Mental health facility" means any licensed private  | 
hospital or hospital affiliate, institution, or facility, or  | 
part thereof, and any facility, or part thereof, operated by  | 
the State or a political subdivision thereof which provides  | 
 | 
provide treatment of persons with mental illness and includes  | 
all hospitals, institutions, clinics, evaluation facilities,  | 
mental health centers, colleges, universities, long-term care  | 
facilities, and nursing homes, or parts thereof, which provide  | 
treatment of persons with mental illness whether or not the  | 
primary purpose is to provide treatment of persons with mental  | 
illness.  | 
 "National governing body" means a group of persons who  | 
adopt rules and formulate policy on behalf of a national  | 
firearm sporting organization.  | 
 "Noncitizen" means a person who is not a citizen of the  | 
United States, but is a person who is a foreign-born person who  | 
lives in the United States, has not been naturalized, and is  | 
still a citizen of a foreign country.  | 
 "Patient" means:  | 
  (1) a person who is admitted as an inpatient or  | 
 resident of a public or private mental health facility for  | 
 mental health treatment under Chapter III of the Mental  | 
 Health and Developmental Disabilities Code as an informal  | 
 admission, a voluntary admission, a minor admission, an  | 
 emergency admission, or an involuntary admission, unless  | 
 the treatment was solely for an alcohol abuse disorder; or  | 
  (2) a person who voluntarily or involuntarily receives  | 
 mental health treatment as an out-patient or is otherwise  | 
 provided services by a public or private mental health  | 
 facility, and who poses a clear and present danger to  | 
 | 
 himself, herself, or to others.  | 
 "Person with a developmental disability" means a person  | 
with a disability which is attributable to any other condition  | 
which results in impairment similar to that caused by an  | 
intellectual disability and which requires services similar to  | 
those required by persons with intellectual disabilities. The  | 
disability must originate before the age of 18
years, be  | 
expected to continue indefinitely, and constitute a  | 
substantial disability. This disability results, in the  | 
professional opinion of a physician, clinical psychologist, or  | 
qualified examiner, in significant functional limitations in 3  | 
or more of the following areas of major life activity: | 
  (i) self-care; | 
  (ii) receptive and expressive language; | 
  (iii) learning; | 
  (iv) mobility; or | 
  (v) self-direction.  | 
 "Person with an intellectual disability" means a person  | 
with a significantly subaverage general intellectual  | 
functioning which exists concurrently with impairment in  | 
adaptive behavior and which originates before the age of 18  | 
years.  | 
 "Physician" has the meaning as defined in Section 1-120 of  | 
the Mental Health and Developmental Disabilities Code. | 
 "Protective order" means any orders of protection issued  | 
under the Illinois Domestic Violence Act of 1986, stalking no  | 
 | 
contact orders issued under the Stalking No Contact Order Act,  | 
civil no contact orders issued under the Civil No Contact  | 
Order Act, and firearms restraining orders issued under the  | 
Firearms Restraining Order Act. | 
 "Qualified examiner" has the meaning provided in Section  | 
1-122 of the Mental Health and Developmental Disabilities  | 
Code. | 
 "Sanctioned competitive shooting event" means a shooting  | 
contest officially recognized by a national or state shooting  | 
sport association, and includes any sight-in or practice  | 
conducted in conjunction with the event.
 | 
 "School administrator" means the person required to report  | 
under the School Administrator Reporting of Mental Health  | 
Clear and Present Danger Determinations Law. | 
 "Stun gun or taser" has the meaning ascribed to it in  | 
Section 24-1 of the Criminal Code of 2012. | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-6-21.)
 | 
 (430 ILCS 65/4) (from Ch. 38, par. 83-4)
 | 
 Sec. 4. Application for Firearm Owner's Identification  | 
Cards.  | 
 (a) Each applicant for a Firearm Owner's Identification  | 
Card must: 
 | 
  (1) Submit an application as made available by the  | 
 Illinois State Police; and
 | 
 | 
  (2) Submit evidence to the Illinois State Police that:
 | 
   (i) This subparagraph (i) applies through the  | 
 180th day following July 12, 2019 (the effective date  | 
 of Public Act 101-80) this amendatory Act of the 101st  | 
 General Assembly. He or she is 21 years of age or over,  | 
 or if he or she is under 21
years of age that he or she  | 
 has the written consent of his or her parent or
legal  | 
 guardian to possess and acquire firearms and firearm  | 
 ammunition and that
he or she has never been convicted  | 
 of a misdemeanor other than a traffic
offense or  | 
 adjudged
delinquent, provided, however, that such  | 
 parent or legal guardian is not an
individual  | 
 prohibited from having a Firearm Owner's  | 
 Identification Card and
files an affidavit with the  | 
 Department as prescribed by the Department
stating  | 
 that he or she is not an individual prohibited from  | 
 having a Card; | 
   (i-5) This subparagraph (i-5) applies on and after  | 
 the 181st day following July 12, 2019 (the effective  | 
 date of Public Act 101-80) this amendatory Act of the  | 
 101st General Assembly. He or she is 21 years of age or  | 
 over, or if he or she is under 21
years of age that he  | 
 or she has never been convicted of a misdemeanor other  | 
 than a traffic offense or adjudged delinquent and is  | 
 an active duty member of the United States Armed  | 
 Forces or has the written consent of his or her parent  | 
 | 
 or
legal guardian to possess and acquire firearms and  | 
 firearm ammunition, provided, however, that such  | 
 parent or legal guardian is not an
individual  | 
 prohibited from having a Firearm Owner's  | 
 Identification Card and
files an affidavit with the  | 
 Illinois State Police Department as prescribed by the  | 
 Illinois State Police Department
stating that he or  | 
 she is not an individual prohibited from having a Card  | 
 or the active duty member of the United States Armed  | 
 Forces under 21 years of age annually submits proof to  | 
 the Illinois State Police, in a manner prescribed by  | 
 the Illinois State Police Department; 
 | 
   (ii) He or she has not been convicted of a felony  | 
 under the laws of
this or any other jurisdiction;
 | 
   (iii) He or she is not addicted to narcotics;
 | 
   (iv) He or she has not been a patient in a mental  | 
 health facility within
the past 5 years or, if he or  | 
 she has been a patient in a mental health facility more  | 
 than 5 years ago submit the certification required  | 
 under subsection (u) of Section 8 of this Act;
 | 
   (v) He or she is not a person with an intellectual  | 
 disability;
 | 
   (vi) He or she is not a noncitizen an alien who is  | 
 unlawfully present in the
United States under the laws  | 
 of the United States;
 | 
   (vii) He or she is not subject to an existing order  | 
 | 
 of protection
prohibiting him or her from possessing a  | 
 firearm;
 | 
   (viii) He or she has not been convicted within the  | 
 past 5 years of
battery, assault, aggravated assault,  | 
 violation of an order of
protection, or a  | 
 substantially similar offense in another jurisdiction,  | 
 in
which a firearm was used or possessed;
 | 
   (ix) He or she has not been convicted of domestic  | 
 battery, aggravated domestic battery, or a
 | 
 substantially similar offense in another
jurisdiction  | 
 committed before, on or after January 1, 2012 (the  | 
 effective date of Public Act 97-158). If the applicant  | 
 knowingly and intelligently waives the right to have  | 
 an offense described in this clause (ix) tried by a  | 
 jury, and by guilty plea or otherwise, results in a  | 
 conviction for an offense in which a domestic  | 
 relationship is not a required element of the offense  | 
 but in which a determination of the applicability of  | 
 18 U.S.C. 922(g)(9) is made under Section 112A-11.1 of  | 
 the Code of Criminal Procedure of 1963, an entry by the  | 
 court of a judgment of conviction for that offense  | 
 shall be grounds for denying the issuance of a Firearm  | 
 Owner's Identification Card under this Section;
 | 
   (x) (Blank);
 | 
   (xi) He or she is not a noncitizen an alien who has  | 
 been admitted to the United
States under a  | 
 | 
 non-immigrant visa (as that term is defined in Section
 | 
 101(a)(26) of the Immigration and Nationality Act (8  | 
 U.S.C. 1101(a)(26))),
or that he or she is a  | 
 noncitizen an alien who has been lawfully admitted to  | 
 the United
States under a non-immigrant visa if that  | 
 noncitizen alien is:
 | 
    (1) admitted to the United States for lawful  | 
 hunting or sporting
purposes;
 | 
    (2) an official representative of a foreign  | 
 government who is:
 | 
     (A) accredited to the United States  | 
 Government or the Government's
mission to an  | 
 international organization having its  | 
 headquarters in the United
States; or
 | 
     (B) en route to or from another country to  | 
 which that noncitizen alien is
accredited;
 | 
    (3) an official of a foreign government or  | 
 distinguished foreign
visitor who has been so  | 
 designated by the Department of State;
 | 
    (4) a foreign law enforcement officer of a  | 
 friendly foreign
government entering the United  | 
 States on official business; or
 | 
    (5) one who has received a waiver from the  | 
 Attorney General of the
United States pursuant to  | 
 18 U.S.C. 922(y)(3);
 | 
   (xii) He or she is not a minor subject to a  | 
 | 
 petition filed
under Section 5-520 of the Juvenile  | 
 Court Act of 1987 alleging that the
minor is a  | 
 delinquent minor for the commission of an offense that  | 
 if
committed by an adult would be a felony;
 | 
   (xiii) He or she is not an adult who had been  | 
 adjudicated a delinquent
minor under the Juvenile  | 
 Court Act of 1987 for the commission of an offense
that  | 
 if committed by an adult would be a felony;
 | 
   (xiv) He or she is a resident of the State of  | 
 Illinois;  | 
   (xv) He or she has not been adjudicated as a person  | 
 with a mental disability;  | 
   (xvi) He or she has not been involuntarily  | 
 admitted into a mental health facility; and  | 
   (xvii) He or she is not a person with a  | 
 developmental disability; and  | 
  (3) Upon request by the Illinois State Police, sign a  | 
 release on a
form prescribed by the Illinois State Police  | 
 waiving any right to
confidentiality and requesting the  | 
 disclosure to the Illinois State Police
of limited mental  | 
 health institution admission information from another  | 
 state,
the District of Columbia, any other territory of  | 
 the United States, or a
foreign nation concerning the  | 
 applicant for the sole purpose of determining
whether the  | 
 applicant is or was a patient in a mental health  | 
 institution and
disqualified because of that status from  | 
 | 
 receiving a Firearm Owner's
Identification Card. No mental  | 
 health care or treatment records may be
requested. The  | 
 information received shall be destroyed within one year of
 | 
 receipt.
 | 
 (a-5) Each applicant for a Firearm Owner's Identification  | 
Card who is over
the age of 18 shall furnish to the Illinois  | 
State Police either his or
her Illinois driver's license  | 
number or Illinois Identification Card number, except as
 | 
provided in subsection (a-10).
 | 
 (a-10) Each applicant for a Firearm Owner's Identification  | 
Card,
who is employed as a law enforcement officer, an armed  | 
security officer in Illinois, or by the United States Military
 | 
permanently assigned in Illinois and who is not an Illinois  | 
resident, shall furnish to
the Illinois State Police his or  | 
her driver's license number or state
identification card  | 
number from his or her state of residence. The Illinois State  | 
Police may adopt rules to enforce the provisions of this
 | 
subsection (a-10).
 | 
 (a-15) If an applicant applying for a Firearm Owner's  | 
Identification Card moves from the residence address named in  | 
the application, he or she shall immediately notify in a form  | 
and manner prescribed by the Illinois State Police of that  | 
change of address. | 
 (a-20) Each applicant for a Firearm Owner's Identification  | 
Card shall furnish to the Illinois State Police his or her  | 
photograph. An applicant who is 21 years of age or older  | 
 | 
seeking a religious exemption to the photograph requirement  | 
must furnish with the application an approved copy of United  | 
States Department of the Treasury Internal Revenue Service  | 
Form 4029. In lieu of a photograph, an applicant regardless of  | 
age seeking a religious exemption to the photograph  | 
requirement shall submit fingerprints on a form and manner  | 
prescribed by the Illinois State Police Department with his or  | 
her application.  | 
 (a-25) Beginning January 1, 2023, each applicant for the  | 
issuance of a Firearm Owner's Identification Card may include  | 
a full set of his or her fingerprints in electronic format to  | 
the Illinois State Police, unless the applicant has previously  | 
provided a full set of his or her fingerprints to the Illinois  | 
State Police under this Act or the Firearm Concealed Carry  | 
Act. | 
 The fingerprints must be transmitted through a live scan  | 
fingerprint vendor licensed by the Department of Financial and  | 
Professional Regulation. The fingerprints shall be checked  | 
against the fingerprint records now and hereafter filed in the  | 
Illinois State Police and Federal Bureau of Investigation  | 
criminal history records databases, including all available  | 
State and local criminal history record information files. | 
 The Illinois State Police shall charge applicants a  | 
one-time fee for conducting the criminal history record check,  | 
which shall be deposited into the State Police Services Fund  | 
and shall not exceed the actual cost of the State and national  | 
 | 
criminal history record check. | 
 (a-26) The Illinois State Police shall research, explore,  | 
and report to the General Assembly by January 1, 2022 on the  | 
feasibility of permitting voluntarily submitted fingerprints  | 
obtained for purposes other than Firearm Owner's  | 
Identification Card enforcement that are contained in the  | 
Illinois State Police database for purposes of this Act.  | 
 (b) Each application form shall include the following  | 
statement printed in
bold type: "Warning: Entering false  | 
information on an application for a Firearm
Owner's  | 
Identification Card is punishable as a Class 2 felony in  | 
accordance
with subsection (d-5) of Section 14 of the Firearm  | 
Owners Identification Card
Act.".
 | 
 (c) Upon such written consent, pursuant to Section 4,  | 
paragraph (a)(2)(i),
the parent or legal guardian giving the  | 
consent shall be liable for any
damages resulting from the  | 
applicant's use of firearms or firearm ammunition.
 | 
(Source: P.A. 101-80, eff. 7-12-19; 102-237, eff. 1-1-22;  | 
102-538, eff. 8-20-21; revised 10-12-21.)
 | 
 (430 ILCS 65/8) (from Ch. 38, par. 83-8)
 | 
 Sec. 8. Grounds for denial and revocation. The Illinois  | 
State Police has authority to deny an
application for or to  | 
revoke and seize a Firearm Owner's Identification
Card  | 
previously issued under this Act only if the Illinois State  | 
Police Department finds that the
applicant or the person to  | 
 | 
whom such card was issued is or was at the time
of issuance:
 | 
  (a) A person under 21 years of age who has been  | 
 convicted of a
misdemeanor other than a traffic offense or  | 
 adjudged delinquent;
 | 
  (b) This subsection (b) applies through the 180th day  | 
 following July 12, 2019 (the effective date of Public Act  | 
 101-80) this amendatory Act of the 101st General Assembly.  | 
 A person under 21 years of age who does not have the  | 
 written consent
of his parent or guardian to acquire and  | 
 possess firearms and firearm
ammunition, or whose parent  | 
 or guardian has revoked such written consent,
or where  | 
 such parent or guardian does not qualify to have a Firearm  | 
 Owner's
Identification Card; | 
  (b-5) This subsection (b-5) applies on and after the  | 
 181st day following July 12, 2019 (the effective date of  | 
 Public Act 101-80) this amendatory Act of the 101st  | 
 General Assembly. A person under 21 years of age who is not  | 
 an active duty member of the United States Armed Forces  | 
 and does not have the written consent
of his or her parent  | 
 or guardian to acquire and possess firearms and firearm
 | 
 ammunition, or whose parent or guardian has revoked such  | 
 written consent,
or where such parent or guardian does not  | 
 qualify to have a Firearm Owner's
Identification Card; 
 | 
  (c) A person convicted of a felony under the laws of  | 
 this or any other
jurisdiction;
 | 
  (d) A person addicted to narcotics;
 | 
 | 
  (e) A person who has been a patient of a mental health  | 
 facility within the
past 5 years or a person who has been a  | 
 patient in a mental health facility more than 5 years ago  | 
 who has not received the certification required under  | 
 subsection (u) of this Section. An active law enforcement  | 
 officer employed by a unit of government or a Department  | 
 of Corrections employee authorized to possess firearms who  | 
 is denied, revoked, or has his or her Firearm Owner's  | 
 Identification Card seized under this subsection (e) may  | 
 obtain relief as described in subsection (c-5) of Section  | 
 10 of this Act if the officer or employee did not act in a  | 
 manner threatening to the officer or employee, another  | 
 person, or the public as determined by the treating  | 
 clinical psychologist or physician, and the officer or  | 
 employee seeks mental health treatment;
 | 
  (f) A person whose mental condition is of such a  | 
 nature that it poses
a clear and present danger to the  | 
 applicant, any other person or persons, or
the community;
 | 
  (g) A person who has an intellectual disability;
 | 
  (h) A person who intentionally makes a false statement  | 
 in the Firearm
Owner's Identification Card application;
 | 
  (i) A noncitizen An alien who is unlawfully present in
 | 
 the United States under the laws of the United States;
 | 
  (i-5) A noncitizen An alien who has been admitted to  | 
 the United States under a
non-immigrant visa (as that term  | 
 is defined in Section 101(a)(26) of the
Immigration and  | 
 | 
 Nationality Act (8 U.S.C. 1101(a)(26))), except that this
 | 
 subsection (i-5) does not apply to any noncitizen alien  | 
 who has been lawfully admitted to
the United States under  | 
 a non-immigrant visa if that noncitizen alien is:
 | 
   (1) admitted to the United States for lawful  | 
 hunting or sporting purposes;
 | 
   (2) an official representative of a foreign  | 
 government who is:
 | 
    (A) accredited to the United States Government  | 
 or the Government's
mission to an international  | 
 organization having its headquarters in the United
 | 
 States; or
 | 
    (B) en route to or from another country to  | 
 which that noncitizen alien is
accredited;
 | 
   (3) an official of a foreign government or  | 
 distinguished foreign visitor
who has been so  | 
 designated by the Department of State;
 | 
   (4) a foreign law enforcement officer of a  | 
 friendly foreign government
entering the United States  | 
 on official business; or
 | 
   (5) one who has received a waiver from the  | 
 Attorney General of the United
States pursuant to 18  | 
 U.S.C. 922(y)(3);
 | 
  (j) (Blank);
 | 
  (k) A person who has been convicted within the past 5  | 
 years of battery,
assault, aggravated assault, violation  | 
 | 
 of an order of protection, or a
substantially similar  | 
 offense in another jurisdiction, in which a firearm was
 | 
 used or possessed;
 | 
  (l) A person who has been convicted of domestic  | 
 battery, aggravated domestic battery, or a substantially
 | 
 similar offense in another jurisdiction committed before,  | 
 on or after January 1, 2012 (the effective date of Public  | 
 Act 97-158). If the applicant or person who has been  | 
 previously issued a Firearm Owner's Identification Card  | 
 under this Act knowingly and intelligently waives the  | 
 right to have an offense described in this paragraph (l)  | 
 tried by a jury, and by guilty plea or otherwise, results  | 
 in a conviction for an offense in which a domestic  | 
 relationship is not a required element of the offense but  | 
 in which a determination of the applicability of 18 U.S.C.  | 
 922(g)(9) is made under Section 112A-11.1 of the Code of  | 
 Criminal Procedure of 1963, an entry by the court of a  | 
 judgment of conviction for that offense shall be grounds  | 
 for denying an application for and for revoking and  | 
 seizing a Firearm Owner's Identification Card previously  | 
 issued to the person under this Act;
 | 
  (m) (Blank);
 | 
  (n) A person who is prohibited from acquiring or  | 
 possessing
firearms or firearm ammunition by any Illinois  | 
 State statute or by federal
law;
 | 
  (o) A minor subject to a petition filed under Section  | 
 | 
 5-520 of the
Juvenile Court Act of 1987 alleging that the  | 
 minor is a delinquent minor for
the commission of an  | 
 offense that if committed by an adult would be a felony;
 | 
  (p) An adult who had been adjudicated a delinquent  | 
 minor under the Juvenile
Court Act of 1987 for the  | 
 commission of an offense that if committed by an
adult  | 
 would be a felony;
 | 
  (q) A person who is not a resident of the State of  | 
 Illinois, except as provided in subsection (a-10) of  | 
 Section 4;  | 
  (r) A person who has been adjudicated as a person with  | 
 a mental disability;  | 
  (s) A person who has been found to have a  | 
 developmental disability;  | 
  (t) A person involuntarily admitted into a mental  | 
 health facility; or  | 
  (u) A person who has had his or her Firearm Owner's  | 
 Identification Card revoked or denied under subsection (e)  | 
 of this Section or item (iv) of paragraph (2) of  | 
 subsection (a) of Section 4 of this Act because he or she  | 
 was a patient in a mental health facility as provided in  | 
 subsection (e) of this Section, shall not be permitted to  | 
 obtain a Firearm Owner's Identification Card, after the  | 
 5-year period has lapsed, unless he or she has received a  | 
 mental health evaluation by a physician, clinical  | 
 psychologist, or qualified examiner as those terms are  | 
 | 
 defined in the Mental Health and Developmental  | 
 Disabilities Code, and has received a certification that  | 
 he or she is not a clear and present danger to himself,  | 
 herself, or others. The physician, clinical psychologist,  | 
 or qualified examiner making the certification and his or  | 
 her employer shall not be held criminally, civilly, or  | 
 professionally liable for making or not making the  | 
 certification required under this subsection, except for  | 
 willful or wanton misconduct. This subsection does not  | 
 apply to a person whose firearm possession rights have  | 
 been restored through administrative or judicial action  | 
 under Section 10 or 11 of this Act.  | 
 Upon revocation of a person's Firearm Owner's  | 
Identification Card, the Illinois State Police shall provide  | 
notice to the person and the person shall comply with Section  | 
9.5 of this Act.  | 
(Source: P.A. 101-80, eff. 7-12-19; 102-538, eff. 8-20-21;  | 
102-645, eff. 1-1-22; revised 10-14-21.)
 | 
 Section 95. The Criminal Code of 2012 is amended by  | 
changing Section 17-6.5 as follows:
 | 
 (720 ILCS 5/17-6.5)
 | 
 Sec. 17-6.5. Persons under deportation order;  | 
ineligibility for benefits. | 
 (a) An individual against whom a United States Immigration  | 
 | 
Judge
has issued an order of deportation which has been  | 
affirmed by the Board of
Immigration Review, as well as an  | 
individual who appeals such an order
pending appeal, under  | 
paragraph 19 of Section 241(a) of the
Immigration and  | 
Nationality Act relating to persecution of others on
account  | 
of race, religion, national origin or political opinion under  | 
the
direction of or in association with the Nazi government of  | 
Germany or its
allies, shall be ineligible for the following  | 
benefits authorized by State law: | 
  (1) The homestead exemptions and homestead improvement
 | 
 exemption under Sections 15-170, 15-175, 15-176, and  | 
 15-180 of the Property Tax Code. | 
  (2) Grants under the Senior Citizens and Persons with  | 
 Disabilities Property Tax
Relief Act. | 
  (3) The double income tax exemption conferred upon  | 
 persons 65 years of
age or older by Section 204 of the  | 
 Illinois Income Tax Act. | 
  (4) Grants provided by the Department on Aging. | 
  (5) Reductions in vehicle registration fees under  | 
 Section 3-806.3 of the
Illinois Vehicle Code. | 
  (6) Free fishing and reduced fishing license fees  | 
 under Sections 20-5
and 20-40 of the Fish and Aquatic Life  | 
 Code. | 
  (7) Tuition free courses for senior citizens under the  | 
 Senior Citizen
Courses Act. | 
  (8) Any benefits under the Illinois Public Aid Code. | 
 | 
 (b) If a person has been found by a court to have knowingly
 | 
received benefits in violation of subsection (a) and: | 
  (1) the total monetary value of the benefits received  | 
 is less than $150, the person is guilty
of a Class A  | 
 misdemeanor; a second or subsequent violation is a Class 4  | 
 felony; | 
  (2) the total monetary value of the benefits received  | 
 is $150 or more but less than $1,000,
the person is guilty  | 
 of a Class 4 felony; a second or subsequent violation is a  | 
 Class 3 felony; | 
  (3) the total monetary value of the benefits received  | 
 is $1,000 or more but less than $5,000,
the person is  | 
 guilty of a Class 3 felony; a second or subsequent  | 
 violation is a Class 2 felony; | 
  (4) the total monetary value of the benefits received  | 
 is $5,000 or more but less than $10,000,
the person is  | 
 guilty of a Class 2 felony; a second or subsequent  | 
 violation is a Class 1 felony; or | 
  (5) the total monetary value of the benefits received  | 
 is $10,000 or more, the person is guilty
of a Class 1  | 
 felony. | 
 (c) For purposes of determining the classification of an  | 
offense under
this Section, all of the monetary value of the  | 
benefits
received as a result of the unlawful act,
practice,  | 
or course of conduct may be accumulated. | 
 (d) Any grants awarded to persons described in subsection  | 
 | 
(a) may be recovered by the State of Illinois in a civil action  | 
commenced
by the Attorney General in the circuit court of  | 
Sangamon County or the
State's Attorney of the county of  | 
residence of the person described in
subsection (a). | 
 (e) An individual described in subsection (a) who has been
 | 
deported shall be restored to any benefits which that  | 
individual has been
denied under State law pursuant to  | 
subsection (a) if (i) the Attorney
General of the United  | 
States has issued an order cancelling deportation and
has  | 
adjusted the status of the individual to that of a person an  | 
alien lawfully
admitted for permanent residence in the United  | 
States or (ii) the country
to which the individual has been  | 
deported adjudicates or exonerates the
individual in a  | 
judicial or administrative proceeding as not being guilty
of  | 
the persecution of others on account of race, religion,  | 
national origin,
or political opinion under the direction of  | 
or in association with the Nazi
government of Germany or its  | 
allies.
 | 
(Source: P.A. 99-143, eff. 7-27-15.)
 | 
 Section 100. The Prevention of Cigarette and Electronic  | 
Cigarette Sales to Persons under 21 Years of Age Act is amended  | 
by changing Section 2 as follows:
 | 
 (720 ILCS 678/2) | 
 Sec. 2. Definitions. For the purpose of this Act: | 
 | 
 "Cigarette", when used in this Act, means any roll for  | 
smoking made wholly or in part of tobacco irrespective of size  | 
or shape and whether or not the tobacco is flavored,  | 
adulterated, or mixed with any other ingredient, and the  | 
wrapper or cover of which is made of paper or any other  | 
substance or material except whole leaf tobacco.  | 
 "Clear and conspicuous statement" means the statement is  | 
of sufficient type size to be clearly readable by the  | 
recipient of the communication. | 
 "Consumer" means an individual who acquires or seeks to  | 
acquire cigarettes or electronic cigarettes for personal use. | 
 "Delivery sale" means any sale of cigarettes or electronic  | 
cigarettes to a consumer if: | 
  (a) the consumer submits the order for such sale by  | 
 means of a telephone or other method of voice  | 
 transmission, the mails, or the Internet or other online  | 
 service, or the seller is otherwise not in the physical  | 
 presence of the buyer when the request for purchase or  | 
 order is made; or | 
  (b) the cigarettes or electronic cigarettes are  | 
 delivered by use of a common carrier, private delivery
 | 
 service, or the mails, or the seller is not in the physical  | 
 presence of the buyer when the buyer obtains possession of  | 
 the cigarettes or electronic cigarettes. | 
 "Delivery service" means any person (other than a person  | 
that makes a delivery sale) who
delivers to the consumer the  | 
 | 
cigarettes or electronic cigarettes sold in a delivery sale. | 
 "Department" means the Department of Revenue. | 
 "Electronic cigarette" means:  | 
  (1) any device that employs a battery or other  | 
 mechanism to heat a solution or substance to produce a  | 
 vapor or aerosol intended for inhalation; | 
  (2) any cartridge or container of a solution or  | 
 substance intended to be used with or in the device or to  | 
 refill the device; or | 
  (3) any solution or substance, whether or not it  | 
 contains nicotine, intended for use in the device.  | 
 "Electronic cigarette" includes, but is not limited to,  | 
any electronic nicotine delivery system, electronic cigar,  | 
electronic cigarillo, electronic pipe, electronic hookah, vape  | 
pen, or similar product or device, and any component, part, or  | 
accessory of a device used during the operation of the device,  | 
even if the part or accessory was sold separately. "Electronic  | 
cigarette" does not include: cigarettes, as defined in Section  | 
1 of the Cigarette Tax Act; any product approved by the United  | 
States Food and Drug Administration for sale as a tobacco  | 
cessation product, a tobacco dependence product, or for other  | 
medical purposes that is marketed and sold solely for that  | 
approved purpose; any asthma inhaler prescribed by a physician  | 
for that condition that is marketed and sold solely for that  | 
approved purpose; any device that meets the definition of  | 
cannabis paraphernalia under Section 1-10 of the Cannabis  | 
 | 
Regulation and Tax Act; or any cannabis product sold by a  | 
dispensing organization pursuant to the Cannabis Regulation  | 
and Tax Act or the Compassionate Use of Medical Cannabis  | 
Program Act.  | 
 "Government-issued identification" means a State driver's  | 
license, State identification card, passport, a military  | 
identification or an official naturalization or immigration  | 
document, such as a permanent resident card an alien  | 
registration recipient card (commonly known as a "green card")  | 
or an immigrant visa. | 
 "Mails" or "mailing" mean the shipment of cigarettes or  | 
electronic cigarettes through the United States Postal  | 
Service. | 
 "Out-of-state sale" means a sale of cigarettes or  | 
electronic cigarettes to a consumer located outside of this  | 
State where the consumer submits the order for such sale by  | 
means of a telephonic or other method of voice transmission,  | 
the mails or any other delivery service, facsimile  | 
transmission, or the Internet or other online service and  | 
where the cigarettes or electronic cigarettes are delivered by  | 
use of the mails or other delivery service. | 
 "Person" means any individual, corporation, partnership,  | 
limited liability company, association, or other organization  | 
that engages in any for-profit or not-for-profit activities. | 
 "Shipping package" means a container in which packs or  | 
cartons of cigarettes or electronic cigarettes are shipped in  | 
 | 
connection with a delivery sale. | 
 "Shipping documents" means bills of lading, air bills, or  | 
any other documents used to evidence the undertaking by a  | 
delivery service to deliver letters, packages, or other  | 
containers.
 | 
(Source: P.A. 102-575, eff. 1-1-22.)
 | 
 Section 105. The Code of Criminal Procedure of 1963 is  | 
amended by changing Section 113-8 as follows:
 | 
 (725 ILCS 5/113-8)
 | 
 Sec. 113-8. Advisement concerning status as a noncitizen  | 
an alien. | 
 (a) Before the acceptance of a plea of guilty, guilty but  | 
mentally ill, or
nolo contendere to a misdemeanor or felony
 | 
offense, the court shall give the following advisement to the  | 
defendant in open
court:
 | 
 "If you are not a citizen of the United States, you are  | 
hereby advised that
conviction of the offense for which you
 | 
have been charged may have the consequence of deportation,  | 
exclusion from
admission to the United States, or denial of
 | 
naturalization under the laws of the United States.".
 | 
 (b) If the defendant is arraigned on or after the  | 
effective date of this amendatory Act of the 101st General  | 
Assembly, and the court fails to advise the defendant as  | 
required by subsection (a) of this Section, and the defendant  | 
 | 
shows that conviction of the offense to which the defendant  | 
pleaded guilty, guilty but mentally ill, or nolo contendere  | 
may have the consequence for the defendant of deportation,  | 
exclusion from admission to the United States, or denial of  | 
naturalization under the laws of the United States, the court,  | 
upon the defendant's motion, shall vacate the judgment and  | 
permit the defendant to withdraw the plea of guilty, guilty  | 
but mentally ill, or nolo contendere and enter a plea of not  | 
guilty. The motion
shall be filed within 2 years of the date of  | 
the defendant's
conviction. | 
(Source: P.A. 101-409, eff. 1-1-20.)
 | 
 Section 110. The Unified Code of Corrections is amended by  | 
changing Sections 3-2-2 and 5-5-3 as follows:
 | 
 (730 ILCS 5/3-2-2) (from Ch. 38, par. 1003-2-2)
 | 
 Sec. 3-2-2. Powers and duties of the Department. 
 | 
 (1) In addition to the powers, duties, and  | 
responsibilities which are
otherwise provided by law, the  | 
Department shall have the following powers:
 | 
  (a) To accept persons committed to it by the courts of  | 
 this State for
care, custody, treatment, and  | 
 rehabilitation, and to accept federal prisoners and  | 
 noncitizens aliens over whom the Office of the Federal  | 
 Detention Trustee is authorized to exercise the federal  | 
 detention function for limited purposes and periods of  | 
 | 
 time.
 | 
  (b) To develop and maintain reception and evaluation  | 
 units for purposes
of analyzing the custody and  | 
 rehabilitation needs of persons committed to
it and to  | 
 assign such persons to institutions and programs under its  | 
 control
or transfer them to other appropriate agencies. In  | 
 consultation with the
Department of Alcoholism and  | 
 Substance Abuse (now the Department of Human
Services),  | 
 the Department of Corrections
shall develop a master plan  | 
 for the screening and evaluation of persons
committed to  | 
 its custody who have alcohol or drug abuse problems, and  | 
 for
making appropriate treatment available to such  | 
 persons; the Department
shall report to the General  | 
 Assembly on such plan not later than April 1,
1987. The  | 
 maintenance and implementation of such plan shall be  | 
 contingent
upon the availability of funds.
 | 
  (b-1) To create and implement, on January 1, 2002, a  | 
 pilot
program to
establish the effectiveness of  | 
 pupillometer technology (the measurement of the
pupil's
 | 
 reaction to light) as an alternative to a urine test for  | 
 purposes of screening
and evaluating
persons committed to  | 
 its custody who have alcohol or drug problems. The
pilot  | 
 program shall require the pupillometer technology to be  | 
 used in at
least one Department of
Corrections facility.  | 
 The Director may expand the pilot program to include an
 | 
 additional facility or
facilities as he or she deems  | 
 | 
 appropriate.
A minimum of 4,000 tests shall be included in  | 
 the pilot program.
The
Department must report to the
 | 
 General Assembly on the
effectiveness of the program by  | 
 January 1, 2003.
 | 
  (b-5) To develop, in consultation with the Illinois  | 
 State Police, a
program for tracking and evaluating each  | 
 inmate from commitment through release
for recording his  | 
 or her gang affiliations, activities, or ranks.
 | 
  (c) To maintain and administer all State correctional  | 
 institutions and
facilities under its control and to  | 
 establish new ones as needed. Pursuant
to its power to  | 
 establish new institutions and facilities, the Department
 | 
 may, with the written approval of the Governor, authorize  | 
 the Department of
Central Management Services to enter  | 
 into an agreement of the type
described in subsection (d)  | 
 of Section 405-300 of the
Department
of Central Management  | 
 Services Law. The Department shall
designate those  | 
 institutions which
shall constitute the State Penitentiary  | 
 System. The Department of Juvenile Justice shall maintain  | 
 and administer all State youth centers pursuant to  | 
 subsection (d) of Section 3-2.5-20. 
 | 
  Pursuant to its power to establish new institutions  | 
 and facilities, the
Department may authorize the  | 
 Department of Central Management Services to
accept bids  | 
 from counties and municipalities for the construction,
 | 
 remodeling, or conversion of a structure to be leased to  | 
 | 
 the Department of
Corrections for the purposes of its  | 
 serving as a correctional institution
or facility. Such  | 
 construction, remodeling, or conversion may be financed
 | 
 with revenue bonds issued pursuant to the Industrial  | 
 Building Revenue Bond
Act by the municipality or county.  | 
 The lease specified in a bid shall be
for a term of not  | 
 less than the time needed to retire any revenue bonds
used  | 
 to finance the project, but not to exceed 40 years. The  | 
 lease may
grant to the State the option to purchase the  | 
 structure outright.
 | 
  Upon receipt of the bids, the Department may certify  | 
 one or more of the
bids and shall submit any such bids to  | 
 the General Assembly for approval.
Upon approval of a bid  | 
 by a constitutional majority of both houses of the
General  | 
 Assembly, pursuant to joint resolution, the Department of  | 
 Central
Management Services may enter into an agreement  | 
 with the county or
municipality pursuant to such bid.
 | 
  (c-5) To build and maintain regional juvenile  | 
 detention centers and to
charge a per diem to the counties  | 
 as established by the Department to defray
the costs of  | 
 housing each minor in a center. In this subsection (c-5),
 | 
 "juvenile
detention center" means a facility to house  | 
 minors during pendency of trial who
have been transferred  | 
 from proceedings under the Juvenile Court Act of 1987 to
 | 
 prosecutions under the criminal laws of this State in  | 
 accordance with Section
5-805 of the Juvenile Court Act of  | 
 | 
 1987, whether the transfer was by operation
of
law or  | 
 permissive under that Section. The Department shall  | 
 designate the
counties to be served by each regional  | 
 juvenile detention center.
 | 
  (d) To develop and maintain programs of control,  | 
 rehabilitation, and
employment of committed persons within  | 
 its institutions.
 | 
  (d-5) To provide a pre-release job preparation program  | 
 for inmates at Illinois adult correctional centers.
 | 
  (d-10) To provide educational and visitation  | 
 opportunities to committed persons within its institutions  | 
 through temporary access to content-controlled tablets  | 
 that may be provided as a privilege to committed persons  | 
 to induce or reward compliance.  | 
  (e) To establish a system of supervision and guidance  | 
 of committed persons
in the community.
 | 
  (f) To establish in cooperation with the Department of  | 
 Transportation
to supply a sufficient number of prisoners  | 
 for use by the Department of
Transportation to clean up  | 
 the trash and garbage along State, county,
township, or  | 
 municipal highways as designated by the Department of
 | 
 Transportation. The Department of Corrections, at the  | 
 request of the
Department of Transportation, shall furnish  | 
 such prisoners at least
annually for a period to be agreed  | 
 upon between the Director of
Corrections and the Secretary  | 
 of Transportation. The prisoners used on this
program  | 
 | 
 shall be selected by the Director of Corrections on  | 
 whatever basis
he deems proper in consideration of their  | 
 term, behavior and earned eligibility
to participate in  | 
 such program - where they will be outside of the prison
 | 
 facility but still in the custody of the Department of  | 
 Corrections. Prisoners
convicted of first degree murder,  | 
 or a Class X felony, or armed violence, or
aggravated  | 
 kidnapping, or criminal sexual assault, aggravated  | 
 criminal sexual
abuse or a subsequent conviction for  | 
 criminal sexual abuse, or forcible
detention, or arson, or  | 
 a prisoner adjudged a Habitual Criminal shall not be
 | 
 eligible for selection to participate in such program. The  | 
 prisoners shall
remain as prisoners in the custody of the  | 
 Department of Corrections and such
Department shall  | 
 furnish whatever security is necessary. The Department of
 | 
 Transportation shall furnish trucks and equipment for the  | 
 highway cleanup
program and personnel to supervise and  | 
 direct the program. Neither the
Department of Corrections  | 
 nor the Department of Transportation shall replace
any  | 
 regular employee with a prisoner.
 | 
  (g) To maintain records of persons committed to it and  | 
 to establish
programs of research, statistics, and  | 
 planning.
 | 
  (h) To investigate the grievances of any person  | 
 committed to the
Department and to inquire into any  | 
 alleged misconduct by employees
or committed persons; and  | 
 | 
 for
these purposes it may issue subpoenas and compel the  | 
 attendance of witnesses
and the production of writings and  | 
 papers, and may examine under oath any
witnesses who may  | 
 appear before it; to also investigate alleged violations
 | 
 of a parolee's or releasee's conditions of parole or  | 
 release; and for this
purpose it may issue subpoenas and  | 
 compel the attendance of witnesses and
the production of  | 
 documents only if there is reason to believe that such
 | 
 procedures would provide evidence that such violations  | 
 have occurred.
 | 
  If any person fails to obey a subpoena issued under  | 
 this subsection,
the Director may apply to any circuit  | 
 court to secure compliance with the
subpoena. The failure  | 
 to comply with the order of the court issued in
response  | 
 thereto shall be punishable as contempt of court.
 | 
  (i) To appoint and remove the chief administrative  | 
 officers, and
administer
programs of training and  | 
 development of personnel of the Department. Personnel
 | 
 assigned by the Department to be responsible for the
 | 
 custody and control of committed persons or to investigate  | 
 the alleged
misconduct of committed persons or employees  | 
 or alleged violations of a
parolee's or releasee's  | 
 conditions of parole shall be conservators of the peace
 | 
 for those purposes, and shall have the full power of peace  | 
 officers outside
of the facilities of the Department in  | 
 the protection, arrest, retaking,
and reconfining of  | 
 | 
 committed persons or where the exercise of such power
is  | 
 necessary to the investigation of such misconduct or  | 
 violations. This subsection shall not apply to persons  | 
 committed to the Department of Juvenile Justice under the  | 
 Juvenile Court Act of 1987 on aftercare release.
 | 
  (j) To cooperate with other departments and agencies  | 
 and with local
communities for the development of  | 
 standards and programs for better
correctional services in  | 
 this State.
 | 
  (k) To administer all moneys and properties of the  | 
 Department.
 | 
  (l) To report annually to the Governor on the  | 
 committed
persons, institutions, and programs of the  | 
 Department.
 | 
  (l-5) (Blank).
 | 
  (m) To make all rules and regulations and exercise all  | 
 powers and duties
vested by law in the Department.
 | 
  (n) To establish rules and regulations for  | 
 administering a system of
sentence credits, established in  | 
 accordance with Section 3-6-3, subject
to review by the  | 
 Prisoner Review Board.
 | 
  (o) To administer the distribution of funds
from the  | 
 State Treasury to reimburse counties where State penal
 | 
 institutions are located for the payment of assistant  | 
 state's attorneys'
salaries under Section 4-2001 of the  | 
 Counties Code.
 | 
 | 
  (p) To exchange information with the Department of  | 
 Human Services and the
Department of Healthcare and Family  | 
 Services
for the purpose of verifying living arrangements  | 
 and for other purposes
directly connected with the  | 
 administration of this Code and the Illinois
Public Aid  | 
 Code.
 | 
  (q) To establish a diversion program.
 | 
  The program shall provide a structured environment for  | 
 selected
technical parole or mandatory supervised release  | 
 violators and committed
persons who have violated the  | 
 rules governing their conduct while in work
release. This  | 
 program shall not apply to those persons who have  | 
 committed
a new offense while serving on parole or  | 
 mandatory supervised release or
while committed to work  | 
 release.
 | 
  Elements of the program shall include, but shall not  | 
 be limited to, the
following:
 | 
   (1) The staff of a diversion facility shall  | 
 provide supervision in
accordance with required  | 
 objectives set by the facility.
 | 
   (2) Participants shall be required to maintain  | 
 employment.
 | 
   (3) Each participant shall pay for room and board  | 
 at the facility on a
sliding-scale basis according to  | 
 the participant's income.
 | 
   (4) Each participant shall:
 | 
 | 
    (A) provide restitution to victims in  | 
 accordance with any court order;
 | 
    (B) provide financial support to his  | 
 dependents; and
 | 
    (C) make appropriate payments toward any other  | 
 court-ordered
obligations.
 | 
   (5) Each participant shall complete community  | 
 service in addition to
employment.
 | 
   (6) Participants shall take part in such  | 
 counseling, educational, and
other programs as the  | 
 Department may deem appropriate.
 | 
   (7) Participants shall submit to drug and alcohol  | 
 screening.
 | 
   (8) The Department shall promulgate rules  | 
 governing the administration
of the program.
 | 
  (r) To enter into intergovernmental cooperation  | 
 agreements under which
persons in the custody of the  | 
 Department may participate in a county impact
 | 
 incarceration program established under Section 3-6038 or  | 
 3-15003.5 of the
Counties Code.
 | 
  (r-5) (Blank).
 | 
  (r-10) To systematically and routinely identify with  | 
 respect to each
streetgang active within the correctional  | 
 system: (1) each active gang; (2)
every existing  | 
 inter-gang affiliation or alliance; and (3) the current  | 
 leaders
in each gang. The Department shall promptly  | 
 | 
 segregate leaders from inmates who
belong to their gangs  | 
 and allied gangs. "Segregate" means no physical contact
 | 
 and, to the extent possible under the conditions and space  | 
 available at the
correctional facility, prohibition of  | 
 visual and sound communication. For the
purposes of this  | 
 paragraph (r-10), "leaders" means persons who:
 | 
   (i) are members of a criminal streetgang;
 | 
   (ii) with respect to other individuals within the  | 
 streetgang, occupy a
position of organizer,  | 
 supervisor, or other position of management or
 | 
 leadership; and
 | 
   (iii) are actively and personally engaged in  | 
 directing, ordering,
authorizing, or requesting  | 
 commission of criminal acts by others, which are
 | 
 punishable as a felony, in furtherance of streetgang  | 
 related activity both
within and outside of the  | 
 Department of Corrections.
 | 
 "Streetgang", "gang", and "streetgang related" have the  | 
 meanings ascribed to
them in Section 10 of the Illinois  | 
 Streetgang Terrorism Omnibus Prevention
Act.
 | 
  (s) To operate a super-maximum security institution,  | 
 in order to
manage and
supervise inmates who are  | 
 disruptive or dangerous and provide for the safety
and  | 
 security of the staff and the other inmates.
 | 
  (t) To monitor any unprivileged conversation or any  | 
 unprivileged
communication, whether in person or by mail,  | 
 | 
 telephone, or other means,
between an inmate who, before  | 
 commitment to the Department, was a member of an
organized  | 
 gang and any other person without the need to show cause or  | 
 satisfy
any other requirement of law before beginning the  | 
 monitoring, except as
constitutionally required. The  | 
 monitoring may be by video, voice, or other
method of  | 
 recording or by any other means. As used in this  | 
 subdivision (1)(t),
"organized gang" has the meaning  | 
 ascribed to it in Section 10 of the Illinois
Streetgang  | 
 Terrorism Omnibus Prevention Act.
 | 
  As used in this subdivision (1)(t), "unprivileged  | 
 conversation" or
"unprivileged communication" means a  | 
 conversation or communication that is not
protected by any  | 
 privilege recognized by law or by decision, rule, or order  | 
 of
the Illinois Supreme Court.
 | 
  (u) To establish a Women's and Children's Pre-release  | 
 Community
Supervision
Program for the purpose of providing  | 
 housing and services to eligible female
inmates, as  | 
 determined by the Department, and their newborn and young
 | 
 children.
 | 
  (u-5) To issue an order, whenever a person committed  | 
 to the Department absconds or absents himself or herself,  | 
 without authority to do so, from any facility or program  | 
 to which he or she is assigned. The order shall be  | 
 certified by the Director, the Supervisor of the  | 
 Apprehension Unit, or any person duly designated by the  | 
 | 
 Director, with the seal of the Department affixed. The  | 
 order shall be directed to all sheriffs, coroners, and  | 
 police officers, or to any particular person named in the  | 
 order. Any order issued pursuant to this subdivision  | 
 (1)(u-5) shall be sufficient warrant for the officer or  | 
 person named in the order to arrest and deliver the  | 
 committed person to the proper correctional officials and  | 
 shall be executed the same as criminal process.  | 
  (u-6) To appoint a point of contact person who shall
 | 
 receive suggestions, complaints, or other requests to the
 | 
 Department from visitors to Department institutions or
 | 
 facilities and from other members of the public. | 
  (v) To do all other acts necessary to carry out the  | 
 provisions
of this Chapter.
 | 
 (2) The Department of Corrections shall by January 1,  | 
1998, consider
building and operating a correctional facility  | 
within 100 miles of a county of
over 2,000,000 inhabitants,  | 
especially a facility designed to house juvenile
participants  | 
in the impact incarceration program.
 | 
 (3) When the Department lets bids for contracts for  | 
medical
services to be provided to persons committed to  | 
Department facilities by
a health maintenance organization,  | 
medical service corporation, or other
health care provider,  | 
the bid may only be let to a health care provider
that has  | 
obtained an irrevocable letter of credit or performance bond
 | 
issued by a company whose bonds have an investment grade or  | 
 | 
higher rating by a bond rating
organization.
 | 
 (4) When the Department lets bids for
contracts for food  | 
or commissary services to be provided to
Department  | 
facilities, the bid may only be let to a food or commissary
 | 
services provider that has obtained an irrevocable letter of
 | 
credit or performance bond issued by a company whose bonds  | 
have an investment grade or higher rating by a bond rating  | 
organization.
 | 
 (5) On and after the date 6 months after August 16, 2013  | 
(the effective date of Public Act 98-488), as provided in the  | 
Executive Order 1 (2012) Implementation Act, all of the  | 
powers, duties, rights, and responsibilities related to State  | 
healthcare purchasing under this Code that were transferred  | 
from the Department of Corrections to the Department of  | 
Healthcare and Family Services by Executive Order 3 (2005) are  | 
transferred back to the Department of Corrections; however,  | 
powers, duties, rights, and responsibilities related to State  | 
healthcare purchasing under this Code that were exercised by  | 
the Department of Corrections before the effective date of  | 
Executive Order 3 (2005) but that pertain to individuals  | 
resident in facilities operated by the Department of Juvenile  | 
Justice are transferred to the Department of Juvenile Justice.  | 
(Source: P.A. 101-235, eff. 1-1-20; 102-350, eff. 8-13-21;  | 
102-535, eff. 1-1-22; 102-538, eff. 8-20-21; revised  | 
10-15-21.)
 | 
 | 
 (730 ILCS 5/5-5-3)
 | 
 Sec. 5-5-3. Disposition. 
 | 
 (a) (Blank).
 | 
 (b) (Blank). 
 | 
 (c) (1) (Blank).
 | 
 (2) A period of probation, a term of periodic imprisonment  | 
or
conditional discharge shall not be imposed for the  | 
following offenses.
The court shall sentence the offender to  | 
not less than the minimum term
of imprisonment set forth in  | 
this Code for the following offenses, and
may order a fine or  | 
restitution or both in conjunction with such term of
 | 
imprisonment:
 | 
  (A) First degree murder where the death penalty is not  | 
 imposed.
 | 
  (B) Attempted first degree murder.
 | 
  (C) A Class X felony.
 | 
  (D) A violation of Section 401.1 or 407 of the
 | 
 Illinois Controlled Substances Act, or a violation of  | 
 subdivision (c)(1.5) of
Section 401 of that Act which  | 
 relates to more than 5 grams of a substance
containing  | 
 fentanyl or an analog thereof.
 | 
  (D-5) A violation of subdivision (c)(1) of
Section 401  | 
 of the Illinois Controlled Substances Act which relates to  | 
 3 or more grams of a substance
containing heroin or an  | 
 analog thereof.  | 
  (E) (Blank).
 | 
 | 
  (F) A Class 1 or greater felony if the offender had  | 
 been convicted
of a Class 1 or greater felony, including  | 
 any state or federal conviction for an offense that  | 
 contained, at the time it was committed, the same elements  | 
 as an offense now (the date of the offense committed after  | 
 the prior Class 1 or greater felony) classified as a Class  | 
 1 or greater felony, within 10 years of the date on which  | 
 the
offender
committed the offense for which he or she is  | 
 being sentenced, except as
otherwise provided in Section  | 
 40-10 of the Substance Use Disorder Act.
 | 
  (F-3) A Class 2 or greater felony sex offense or  | 
 felony firearm offense if the offender had been convicted  | 
 of a Class 2 or greater felony, including any state or  | 
 federal conviction for an offense that contained, at the  | 
 time it was committed, the same elements as an offense now  | 
 (the date of the offense committed after the prior Class 2  | 
 or greater felony) classified as a Class 2 or greater  | 
 felony, within 10 years of the date on which the offender  | 
 committed the offense for which he or she is being  | 
 sentenced, except as otherwise provided in Section 40-10  | 
 of the Substance Use Disorder Act.  | 
  (F-5) A violation of Section 24-1, 24-1.1, or 24-1.6  | 
 of the Criminal Code of 1961 or the Criminal Code of 2012  | 
 for which imprisonment is prescribed in those Sections. | 
  (G) Residential burglary, except as otherwise provided  | 
 in Section 40-10
of the Substance Use Disorder Act.
 | 
 | 
  (H) Criminal sexual assault.
 | 
  (I) Aggravated battery of a senior citizen as  | 
 described in Section 12-4.6 or subdivision (a)(4) of  | 
 Section 12-3.05 of the Criminal Code of 1961 or the  | 
 Criminal Code of 2012.
 | 
  (J) A forcible felony if the offense was related to  | 
 the activities of an
organized gang.
 | 
  Before July 1, 1994, for the purposes of this  | 
 paragraph, "organized
gang" means an association of 5 or  | 
 more persons, with an established hierarchy,
that  | 
 encourages members of the association to perpetrate crimes  | 
 or provides
support to the members of the association who  | 
 do commit crimes.
 | 
  Beginning July 1, 1994, for the purposes of this  | 
 paragraph,
"organized gang" has the meaning ascribed to it  | 
 in Section 10 of the Illinois
Streetgang Terrorism Omnibus  | 
 Prevention Act.
 | 
  (K) Vehicular hijacking.
 | 
  (L) A second or subsequent conviction for the offense  | 
 of hate crime
when the underlying offense upon which the  | 
 hate crime is based is felony
aggravated
assault or felony  | 
 mob action.
 | 
  (M) A second or subsequent conviction for the offense  | 
 of institutional
vandalism if the damage to the property  | 
 exceeds $300.
 | 
  (N) A Class 3 felony violation of paragraph (1) of  | 
 | 
 subsection (a) of
Section 2 of the Firearm Owners  | 
 Identification Card Act.
 | 
  (O) A violation of Section 12-6.1 or 12-6.5 of the  | 
 Criminal Code of 1961 or the Criminal Code of 2012.
 | 
  (P) A violation of paragraph (1), (2), (3), (4), (5),  | 
 or (7) of
subsection (a)
of Section 11-20.1 of the  | 
 Criminal Code of 1961 or the Criminal Code of 2012.
 | 
  (P-5) A violation of paragraph (6) of subsection (a)  | 
 of
Section 11-20.1 of the Criminal Code of 1961 or the
 | 
 Criminal Code of 2012 if the victim is a household or
 | 
 family member of the defendant. | 
  (Q) A violation of subsection (b) or (b-5) of Section  | 
 20-1, Section 20-1.2, or Section 20-1.3 of the Criminal  | 
 Code of
1961 or the Criminal Code of 2012.
 | 
  (R) A violation of Section 24-3A of the Criminal Code  | 
 of
1961 or the Criminal Code of 2012.
 | 
  (S) (Blank).
 | 
  (T) (Blank).
 | 
  (U) A second or subsequent violation of Section 6-303  | 
 of the Illinois Vehicle Code committed while his or her  | 
 driver's license, permit, or privilege was revoked because  | 
 of a violation of Section 9-3 of the Criminal Code of 1961  | 
 or the Criminal Code of 2012, relating to the offense of  | 
 reckless homicide, or a similar provision of a law of  | 
 another state.
 | 
  (V)
A violation of paragraph (4) of subsection (c) of  | 
 | 
 Section 11-20.1B or paragraph (4) of subsection (c) of  | 
 Section 11-20.3 of the Criminal Code of 1961, or paragraph  | 
 (6) of subsection (a) of Section 11-20.1 of the Criminal  | 
 Code of 2012 when the victim is under 13 years of age and  | 
 the defendant has previously been convicted under the laws  | 
 of this State or any other state of the offense of child  | 
 pornography, aggravated child pornography, aggravated  | 
 criminal sexual abuse, aggravated criminal sexual assault,  | 
 predatory criminal sexual assault of a child, or any of  | 
 the offenses formerly known as rape, deviate sexual  | 
 assault, indecent liberties with a child, or aggravated  | 
 indecent liberties with a child where the victim was under  | 
 the age of 18 years or an offense that is substantially  | 
 equivalent to those offenses. | 
  (W) A violation of Section 24-3.5 of the Criminal Code  | 
 of 1961 or the Criminal Code of 2012.
 | 
  (X) A violation of subsection (a) of Section 31-1a of  | 
 the Criminal Code of 1961 or the Criminal Code of 2012. | 
  (Y) A conviction for unlawful possession of a firearm  | 
 by a street gang member when the firearm was loaded or  | 
 contained firearm ammunition.  | 
  (Z) A Class 1 felony committed while he or she was  | 
 serving a term of probation or conditional discharge for a  | 
 felony. | 
  (AA) Theft of property exceeding $500,000 and not  | 
 exceeding $1,000,000 in value. | 
 | 
  (BB) Laundering of criminally derived property of a  | 
 value exceeding
$500,000. | 
  (CC) Knowingly selling, offering for sale, holding for  | 
 sale, or using 2,000 or more counterfeit items or  | 
 counterfeit items having a retail value in the aggregate  | 
 of $500,000 or more.  | 
  (DD) A conviction for aggravated assault under  | 
 paragraph (6) of subsection (c) of Section 12-2 of the  | 
 Criminal Code of 1961 or the Criminal Code of 2012 if the  | 
 firearm is aimed toward the person against whom the  | 
 firearm is being used.  | 
  (EE) A conviction for a violation of paragraph (2) of  | 
 subsection (a) of Section 24-3B of the Criminal Code of  | 
 2012.  | 
 (3) (Blank).
 | 
 (4) A minimum term of imprisonment of not less than 10
 | 
consecutive days or 30 days of community service shall be  | 
imposed for a
violation of paragraph (c) of Section 6-303 of  | 
the Illinois Vehicle Code.
 | 
 (4.1) (Blank).
 | 
 (4.2) Except as provided in paragraphs (4.3) and (4.8) of  | 
this subsection (c), a
minimum of
100 hours of community  | 
service shall be imposed for a second violation of
Section  | 
6-303
of the Illinois Vehicle Code.
 | 
 (4.3) A minimum term of imprisonment of 30 days or 300  | 
hours of community
service, as determined by the court, shall
 | 
 | 
be imposed for a second violation of subsection (c) of Section  | 
6-303 of the
Illinois Vehicle Code.
 | 
 (4.4) Except as provided in paragraphs
(4.5), (4.6), and  | 
(4.9) of this
subsection (c), a
minimum term of imprisonment  | 
of 30 days or 300 hours of community service, as
determined by  | 
the court, shall
be imposed
for a third or subsequent  | 
violation of Section 6-303 of the Illinois Vehicle
Code. The  | 
court may give credit toward the fulfillment of community  | 
service hours for participation in activities and treatment as  | 
determined by court services. 
 | 
 (4.5) A minimum term of imprisonment of 30 days
shall be  | 
imposed for a third violation of subsection (c) of
Section  | 
6-303 of the Illinois Vehicle Code.
 | 
 (4.6) Except as provided in paragraph (4.10) of this  | 
subsection (c), a minimum term of imprisonment of 180 days  | 
shall be imposed for a
fourth or subsequent violation of  | 
subsection (c) of Section 6-303 of the
Illinois Vehicle Code.
 | 
 (4.7) A minimum term of imprisonment of not less than 30  | 
consecutive days, or 300 hours of community service, shall be  | 
imposed for a violation of subsection (a-5) of Section 6-303  | 
of the Illinois Vehicle Code, as provided in subsection (b-5)  | 
of that Section.
 | 
 (4.8) A mandatory prison sentence shall be imposed for a  | 
second violation of subsection (a-5) of Section 6-303 of the  | 
Illinois Vehicle Code, as provided in subsection (c-5) of that  | 
Section. The person's driving privileges shall be revoked for  | 
 | 
a period of not less than 5 years from the date of his or her  | 
release from prison.
 | 
 (4.9) A mandatory prison sentence of not less than 4 and  | 
not more than 15 years shall be imposed for a third violation  | 
of subsection (a-5) of Section 6-303 of the Illinois Vehicle  | 
Code, as provided in subsection (d-2.5) of that Section. The  | 
person's driving privileges shall be revoked for the remainder  | 
of his or her life.
 | 
 (4.10) A mandatory prison sentence for a Class 1 felony  | 
shall be imposed, and the person shall be eligible for an  | 
extended term sentence, for a fourth or subsequent violation  | 
of subsection (a-5) of Section 6-303 of the Illinois Vehicle  | 
Code, as provided in subsection (d-3.5) of that Section. The  | 
person's driving privileges shall be revoked for the remainder  | 
of his or her life.
 | 
 (5) The court may sentence a corporation or unincorporated
 | 
association convicted of any offense to:
 | 
  (A) a period of conditional discharge;
 | 
  (B) a fine;
 | 
  (C) make restitution to the victim under Section 5-5-6  | 
 of this Code.
 | 
 (5.1) In addition to any other penalties imposed, and  | 
except as provided in paragraph (5.2) or (5.3), a person
 | 
convicted of violating subsection (c) of Section 11-907 of the  | 
Illinois
Vehicle Code shall have his or her driver's license,  | 
permit, or privileges
suspended for at least 90 days but not  | 
 | 
more than one year, if the violation
resulted in damage to the  | 
property of another person.
 | 
 (5.2) In addition to any other penalties imposed, and  | 
except as provided in paragraph (5.3), a person convicted
of  | 
violating subsection (c) of Section 11-907 of the Illinois  | 
Vehicle Code
shall have his or her driver's license, permit,  | 
or privileges suspended for at
least 180 days but not more than  | 
2 years, if the violation resulted in injury
to
another  | 
person.
 | 
 (5.3) In addition to any other penalties imposed, a person  | 
convicted of violating subsection (c) of Section
11-907 of the  | 
Illinois Vehicle Code shall have his or her driver's license,
 | 
permit, or privileges suspended for 2 years, if the violation  | 
resulted in the
death of another person.
 | 
 (5.4) In addition to any other penalties imposed, a person  | 
convicted of violating Section 3-707 of the Illinois Vehicle  | 
Code shall have his or her driver's license, permit, or  | 
privileges suspended for 3 months and until he or she has paid  | 
a reinstatement fee of $100. | 
 (5.5) In addition to any other penalties imposed, a person  | 
convicted of violating Section 3-707 of the Illinois Vehicle  | 
Code during a period in which his or her driver's license,  | 
permit, or privileges were suspended for a previous violation  | 
of that Section shall have his or her driver's license,  | 
permit, or privileges suspended for an additional 6 months  | 
after the expiration of the original 3-month suspension and  | 
 | 
until he or she has paid a reinstatement fee of $100.
 | 
 (6) (Blank).
 | 
 (7) (Blank).
 | 
 (8) (Blank).
 | 
 (9) A defendant convicted of a second or subsequent  | 
offense of ritualized
abuse of a child may be sentenced to a  | 
term of natural life imprisonment.
 | 
 (10) (Blank).
 | 
 (11) The court shall impose a minimum fine of $1,000 for a  | 
first offense
and $2,000 for a second or subsequent offense  | 
upon a person convicted of or
placed on supervision for  | 
battery when the individual harmed was a sports
official or  | 
coach at any level of competition and the act causing harm to  | 
the
sports
official or coach occurred within an athletic  | 
facility or within the immediate vicinity
of the athletic  | 
facility at which the sports official or coach was an active
 | 
participant
of the athletic contest held at the athletic  | 
facility. For the purposes of
this paragraph (11), "sports  | 
official" means a person at an athletic contest
who enforces  | 
the rules of the contest, such as an umpire or referee;  | 
"athletic facility" means an indoor or outdoor playing field  | 
or recreational area where sports activities are conducted;
 | 
and "coach" means a person recognized as a coach by the  | 
sanctioning
authority that conducted the sporting event. | 
 (12) A person may not receive a disposition of court  | 
supervision for a
violation of Section 5-16 of the Boat  | 
 | 
Registration and Safety Act if that
person has previously  | 
received a disposition of court supervision for a
violation of  | 
that Section.
 | 
 (13) A person convicted of or placed on court supervision  | 
for an assault or aggravated assault when the victim and the  | 
offender are family or household members as defined in Section  | 
103 of the Illinois Domestic Violence Act of 1986 or convicted  | 
of domestic battery or aggravated domestic battery may be  | 
required to attend a Partner Abuse Intervention Program under  | 
protocols set forth by the Illinois Department of Human  | 
Services under such terms and conditions imposed by the court.  | 
The costs of such classes shall be paid by the offender.
 | 
 (d) In any case in which a sentence originally imposed is  | 
vacated,
the case shall be remanded to the trial court. The  | 
trial court shall
hold a hearing under Section 5-4-1 of this  | 
Code
which may include evidence of the defendant's life, moral  | 
character and
occupation during the time since the original  | 
sentence was passed. The
trial court shall then impose  | 
sentence upon the defendant. The trial
court may impose any  | 
sentence which could have been imposed at the
original trial  | 
subject to Section 5-5-4 of this Code.
If a sentence is vacated  | 
on appeal or on collateral attack due to the
failure of the  | 
trier of fact at trial to determine beyond a reasonable doubt
 | 
the
existence of a fact (other than a prior conviction)  | 
necessary to increase the
punishment for the offense beyond  | 
the statutory maximum otherwise applicable,
either the  | 
 | 
defendant may be re-sentenced to a term within the range  | 
otherwise
provided or, if the State files notice of its  | 
intention to again seek the
extended sentence, the defendant  | 
shall be afforded a new trial.
 | 
 (e) In cases where prosecution for
aggravated criminal  | 
sexual abuse under Section 11-1.60 or 12-16 of the
Criminal  | 
Code of 1961 or the Criminal Code of 2012 results in conviction  | 
of a defendant
who was a family member of the victim at the  | 
time of the commission of the
offense, the court shall  | 
consider the safety and welfare of the victim and
may impose a  | 
sentence of probation only where:
 | 
  (1) the court finds (A) or (B) or both are  | 
 appropriate:
 | 
   (A) the defendant is willing to undergo a court  | 
 approved counseling
program for a minimum duration of  | 
 2 years; or
 | 
   (B) the defendant is willing to participate in a  | 
 court approved plan,
including, but not limited to,  | 
 the defendant's:
 | 
    (i) removal from the household;
 | 
    (ii) restricted contact with the victim;
 | 
    (iii) continued financial support of the  | 
 family;
 | 
    (iv) restitution for harm done to the victim;  | 
 and
 | 
    (v) compliance with any other measures that  | 
 | 
 the court may
deem appropriate; and
 | 
  (2) the court orders the defendant to pay for the  | 
 victim's counseling
services, to the extent that the court  | 
 finds, after considering the
defendant's income and  | 
 assets, that the defendant is financially capable of
 | 
 paying for such services, if the victim was under 18 years  | 
 of age at the
time the offense was committed and requires  | 
 counseling as a result of the
offense.
 | 
 Probation may be revoked or modified pursuant to Section  | 
5-6-4; except
where the court determines at the hearing that  | 
the defendant violated a
condition of his or her probation  | 
restricting contact with the victim or
other family members or  | 
commits another offense with the victim or other
family  | 
members, the court shall revoke the defendant's probation and
 | 
impose a term of imprisonment.
 | 
 For the purposes of this Section, "family member" and  | 
"victim" shall have
the meanings ascribed to them in Section  | 
11-0.1 of the Criminal Code of
2012.
 | 
 (f) (Blank).
 | 
 (g) Whenever a defendant is convicted of an offense under  | 
Sections 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60,
11-14,  | 
11-14.3, 11-14.4 except for an offense that involves keeping a  | 
place of juvenile prostitution, 11-15, 11-15.1, 11-16, 11-17,  | 
11-18, 11-18.1, 11-19, 11-19.1, 11-19.2,
12-13, 12-14,  | 
12-14.1, 12-15, or 12-16 of the Criminal Code of 1961 or the  | 
Criminal Code of 2012,
the defendant shall undergo medical  | 
 | 
testing to
determine whether the defendant has any sexually  | 
transmissible disease,
including a test for infection with  | 
human immunodeficiency virus (HIV) or
any other identified  | 
causative agent of acquired immunodeficiency syndrome
(AIDS).  | 
Any such medical test shall be performed only by appropriately
 | 
licensed medical practitioners and may include an analysis of  | 
any bodily
fluids as well as an examination of the defendant's  | 
person.
Except as otherwise provided by law, the results of  | 
such test shall be kept
strictly confidential by all medical  | 
personnel involved in the testing and must
be personally  | 
delivered in a sealed envelope to the judge of the court in  | 
which
the conviction was entered for the judge's inspection in  | 
camera. Acting in
accordance with the best interests of the  | 
victim and the public, the judge
shall have the discretion to  | 
determine to whom, if anyone, the results of the
testing may be  | 
revealed. The court shall notify the defendant
of the test  | 
results. The court shall
also notify the victim if requested  | 
by the victim, and if the victim is under
the age of 15 and if  | 
requested by the victim's parents or legal guardian, the
court  | 
shall notify the victim's parents or legal guardian of the  | 
test
results.
The court shall provide information on the  | 
availability of HIV testing
and counseling at Department of  | 
Public Health facilities to all parties to
whom the results of  | 
the testing are revealed and shall direct the State's
Attorney  | 
to provide the information to the victim when possible.
The  | 
court shall order that the cost of any such test
shall be paid  | 
 | 
by the county and may be taxed as costs against the convicted
 | 
defendant.
 | 
 (g-5) When an inmate is tested for an airborne  | 
communicable disease, as
determined by the Illinois Department  | 
of Public Health, including, but not
limited to, tuberculosis,  | 
the results of the test shall be
personally delivered by the  | 
warden or his or her designee in a sealed envelope
to the judge  | 
of the court in which the inmate must appear for the judge's
 | 
inspection in camera if requested by the judge. Acting in  | 
accordance with the
best interests of those in the courtroom,  | 
the judge shall have the discretion
to determine what if any  | 
precautions need to be taken to prevent transmission
of the  | 
disease in the courtroom.
 | 
 (h) Whenever a defendant is convicted of an offense under  | 
Section 1 or 2
of the Hypodermic Syringes and Needles Act, the  | 
defendant shall undergo
medical testing to determine whether  | 
the defendant has been exposed to human
immunodeficiency virus  | 
(HIV) or any other identified causative agent of
acquired  | 
immunodeficiency syndrome (AIDS). Except as otherwise provided  | 
by
law, the results of such test shall be kept strictly  | 
confidential by all
medical personnel involved in the testing  | 
and must be personally delivered in a
sealed envelope to the  | 
judge of the court in which the conviction was entered
for the  | 
judge's inspection in camera. Acting in accordance with the  | 
best
interests of the public, the judge shall have the  | 
discretion to determine to
whom, if anyone, the results of the  | 
 | 
testing may be revealed. The court shall
notify the defendant  | 
of a positive test showing an infection with the human
 | 
immunodeficiency virus (HIV). The court shall provide  | 
information on the
availability of HIV testing and counseling  | 
at Department of Public Health
facilities to all parties to  | 
whom the results of the testing are revealed and
shall direct  | 
the State's Attorney to provide the information to the victim  | 
when
possible. The court shall order that the cost of any
such  | 
test shall be paid by the county and may be taxed as costs  | 
against the
convicted defendant.
 | 
 (i) All fines and penalties imposed under this Section for  | 
any violation
of Chapters 3, 4, 6, and 11 of the Illinois  | 
Vehicle Code, or a similar
provision of a local ordinance, and  | 
any violation
of the Child Passenger Protection Act, or a  | 
similar provision of a local
ordinance, shall be collected and  | 
disbursed by the circuit
clerk as provided under the Criminal  | 
and Traffic Assessment Act.
 | 
 (j) In cases when prosecution for any violation of Section  | 
11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-8,
11-9,  | 
11-11, 11-14, 11-14.3, 11-14.4, 11-15, 11-15.1, 11-16, 11-17,  | 
11-17.1, 11-18, 11-18.1,
11-19, 11-19.1, 11-19.2, 11-20.1,  | 
11-20.1B, 11-20.3, 11-21, 11-30, 11-40, 12-13, 12-14, 12-14.1,  | 
12-15, or
12-16 of the
Criminal Code of 1961 or the Criminal  | 
Code of 2012, any violation of the Illinois Controlled  | 
Substances Act,
any violation of the Cannabis Control Act, or  | 
any violation of the Methamphetamine Control and Community  | 
 | 
Protection Act results in conviction, a
disposition of court  | 
supervision, or an order of probation granted under
Section 10  | 
of the Cannabis Control Act, Section 410 of the Illinois
 | 
Controlled Substances Act, or Section 70 of the  | 
Methamphetamine Control and Community Protection Act of a  | 
defendant, the court shall determine whether the
defendant is  | 
employed by a facility or center as defined under the Child  | 
Care
Act of 1969, a public or private elementary or secondary  | 
school, or otherwise
works with children under 18 years of age  | 
on a daily basis. When a defendant
is so employed, the court  | 
shall order the Clerk of the Court to send a copy of
the  | 
judgment of conviction or order of supervision or probation to  | 
the
defendant's employer by certified mail.
If the employer of  | 
the defendant is a school, the Clerk of the Court shall
direct  | 
the mailing of a copy of the judgment of conviction or order of
 | 
supervision or probation to the appropriate regional  | 
superintendent of schools.
The regional superintendent of  | 
schools shall notify the State Board of
Education of any  | 
notification under this subsection.
 | 
 (j-5) A defendant at least 17 years of age who is convicted  | 
of a felony and
who has not been previously convicted of a  | 
misdemeanor or felony and who is
sentenced to a term of  | 
imprisonment in the Illinois Department of Corrections
shall  | 
as a condition of his or her sentence be required by the court  | 
to attend
educational courses designed to prepare the  | 
defendant for a high school diploma
and to work toward a high  | 
 | 
school diploma or to work toward passing high school  | 
equivalency testing or to work toward
completing a vocational  | 
training program offered by the Department of
Corrections. If  | 
a defendant fails to complete the educational training
 | 
required by his or her sentence during the term of  | 
incarceration, the Prisoner
Review Board shall, as a condition  | 
of mandatory supervised release, require the
defendant, at his  | 
or her own expense, to pursue a course of study toward a high
 | 
school diploma or passage of high school equivalency testing.  | 
The Prisoner Review Board shall
revoke the mandatory  | 
supervised release of a defendant who wilfully fails to
comply  | 
with this subsection (j-5) upon his or her release from  | 
confinement in a
penal institution while serving a mandatory  | 
supervised release term; however,
the inability of the  | 
defendant after making a good faith effort to obtain
financial  | 
aid or pay for the educational training shall not be deemed a  | 
wilful
failure to comply. The Prisoner Review Board shall  | 
recommit the defendant
whose mandatory supervised release term  | 
has been revoked under this subsection
(j-5) as provided in  | 
Section 3-3-9. This subsection (j-5) does not apply to a
 | 
defendant who has a high school diploma or has successfully  | 
passed high school equivalency testing. This subsection (j-5)  | 
does not apply to a defendant who is determined by
the court to  | 
be a person with a developmental disability or otherwise  | 
mentally incapable of
completing the educational or vocational  | 
program.
 | 
 | 
 (k) (Blank).
 | 
 (l) (A) Except as provided
in paragraph (C) of subsection  | 
(l), whenever a defendant,
who is not a citizen or national of  | 
the United States an alien as defined by the Immigration and  | 
Nationality Act, is convicted
of any felony or misdemeanor  | 
offense, the court after sentencing the defendant
may, upon  | 
motion of the State's Attorney, hold sentence in abeyance and  | 
remand
the defendant to the custody of the Attorney General of
 | 
the United States or his or her designated agent to be deported  | 
when:
 | 
  (1) a final order of deportation has been issued  | 
 against the defendant
pursuant to proceedings under the  | 
 Immigration and Nationality Act, and
 | 
  (2) the deportation of the defendant would not  | 
 deprecate the seriousness
of the defendant's conduct and  | 
 would not be inconsistent with the ends of
justice.
 | 
 Otherwise, the defendant shall be sentenced as provided in  | 
this Chapter V.
 | 
 (B) If the defendant has already been sentenced for a  | 
felony or
misdemeanor
offense, or has been placed on probation  | 
under Section 10 of the Cannabis
Control Act,
Section 410 of  | 
the Illinois Controlled Substances Act, or Section 70 of the  | 
Methamphetamine Control and Community Protection Act, the  | 
court
may, upon motion of the State's Attorney to suspend the
 | 
sentence imposed, commit the defendant to the custody of the  | 
Attorney General
of the United States or his or her designated  | 
 | 
agent when:
 | 
  (1) a final order of deportation has been issued  | 
 against the defendant
pursuant to proceedings under the  | 
 Immigration and Nationality Act, and
 | 
  (2) the deportation of the defendant would not  | 
 deprecate the seriousness
of the defendant's conduct and  | 
 would not be inconsistent with the ends of
justice.
 | 
 (C) This subsection (l) does not apply to offenders who  | 
are subject to the
provisions of paragraph (2) of subsection  | 
(a) of Section 3-6-3.
 | 
 (D) Upon motion of the State's Attorney, if a defendant  | 
sentenced under
this Section returns to the jurisdiction of  | 
the United States, the defendant
shall be recommitted to the  | 
custody of the county from which he or she was
sentenced.
 | 
Thereafter, the defendant shall be brought before the  | 
sentencing court, which
may impose any sentence that was  | 
available under Section 5-5-3 at the time of
initial  | 
sentencing. In addition, the defendant shall not be eligible  | 
for
additional earned sentence credit as provided under
 | 
Section 3-6-3.
 | 
 (m) A person convicted of criminal defacement of property  | 
under Section
21-1.3 of the Criminal Code of 1961 or the  | 
Criminal Code of 2012, in which the property damage exceeds  | 
$300
and the property damaged is a school building, shall be  | 
ordered to perform
community service that may include cleanup,  | 
removal, or painting over the
defacement.
 | 
 | 
 (n) The court may sentence a person convicted of a  | 
violation of Section
12-19, 12-21, 16-1.3, or 17-56, or  | 
subsection (a) or (b) of Section 12-4.4a, of the Criminal Code  | 
of 1961 or the Criminal Code of 2012 (i) to an impact
 | 
incarceration program if the person is otherwise eligible for  | 
that program
under Section 5-8-1.1, (ii) to community service,  | 
or (iii) if the person has a substance use disorder, as defined
 | 
in the Substance Use Disorder Act, to a treatment program
 | 
licensed under that Act. | 
 (o) Whenever a person is convicted of a sex offense as  | 
defined in Section 2 of the Sex Offender Registration Act, the  | 
defendant's driver's license or permit shall be subject to  | 
renewal on an annual basis in accordance with the provisions  | 
of license renewal established by the Secretary of State.
 | 
(Source: P.A. 101-81, eff. 7-12-19; 102-168, eff. 7-27-21;  | 
102-531, eff. 1-1-22; revised 10-12-21.)
 | 
 Section 120. The Property Owned By Aliens Act is amended  | 
by changing the title of the Act and Sections 0.01, 7, and 8 as  | 
follows:
 | 
 (765 ILCS 60/Act title)
 | 
 An Act concerning the right of noncitizens aliens to  | 
acquire and hold real and
personal property.
 | 
 (765 ILCS 60/0.01) (from Ch. 6, par. 0.01)
 | 
 | 
 Sec. 0.01. Short title. This Act may be cited as the
 | 
Property Owned By Noncitizens Aliens Act.
 | 
(Source: P.A. 86-1324.)
 | 
 (765 ILCS 60/7) (from Ch. 6, par. 7)
 | 
 Sec. 7. 
All noncitizens aliens may acquire, hold, and  | 
dispose of real
and personal property in the same
manner and to  | 
the same extent as natural born citizens of the United
States,  | 
and the personal estate of a noncitizen an alien dying  | 
intestate shall be
distributed in the same manner as the  | 
estates of natural born citizens, and
all persons interested  | 
in such estate shall be entitled to proper
distributive shares  | 
thereof under the laws of this state, whether they are  | 
noncitizens
aliens or not.
 | 
 This amendatory Act of 1992 does not apply to the  | 
Agricultural Foreign
Investment Disclosure Act.
 | 
(Source: P.A. 87-1101.)
 | 
 (765 ILCS 60/8) (from Ch. 6, par. 8)
 | 
 Sec. 8. 
An act in regard to noncitizens aliens and to  | 
restrict their right to acquire
and hold real and personal  | 
estate and to provide for the disposition of the
lands now  | 
owned by non-resident noncitizens aliens, approved June 16,  | 
1887, and in
force July 1, 1887, and all other acts and parts  | 
of acts in conflict with
this act, are hereby repealed.
 | 
(Source: Laws 1897, p. 5.)
 | 
 | 
 Section 125. The Property Taxes of Alien Landlords Act is  | 
amended by changing the title of the Act and Sections 0.01 and  | 
1 as follows:
 | 
 (765 ILCS 725/Act title)
 | 
 An Act to prevent noncitizen alien landlords from
 | 
including the payment of taxes in the rent of farm lands as a  | 
part of the
rental thereof.
 | 
 (765 ILCS 725/0.01) (from Ch. 6, par. 8.9)
 | 
 Sec. 0.01. Short title. This Act may be cited as the
 | 
Property Taxes Of Noncitizen Alien Landlords Act.
 | 
(Source: P.A. 86-1324.)
 | 
 (765 ILCS 725/1) (from Ch. 6, par. 9)
 | 
 Sec. 1. 
No contract, agreement or
lease in writing or by  | 
parol, by which any lands or tenements therein
are demised or  | 
leased by any noncitizen alien or his agents for the
purpose of  | 
farming, cultivation or the raising of crops thereon, shall
 | 
contain any provision requiring the tenant or other person for  | 
him, to
pay taxes on said lands or tenements, or any part  | 
thereof, and all such
provisions, agreements and leases so  | 
made are declared void as to the
taxes aforesaid. If any  | 
noncitizen alien landlord or his agents shall receive in
 | 
advance or at any other time any sum of money or article of  | 
 | 
value from
any tenant in lieu of such taxes, directly or  | 
indirectly, the same may
be recovered back by such tenant  | 
before any court having jurisdiction of
the amount thereof,  | 
and all provisions or agreements in writing or
otherwise to  | 
pay such taxes shall be held in all courts of this state to
be  | 
void.
 | 
(Source: P.A. 81-1509.)
 | 
 Section 130. The Illinois Human Rights Act is amended by  | 
changing Section 2-101 as follows:
 | 
 (775 ILCS 5/2-101)
 | 
 Sec. 2-101. Definitions. The following definitions are  | 
applicable
strictly in the context of this Article.
 | 
 (A) Employee.
 | 
  (1) "Employee" includes:
 | 
   (a) Any individual performing services for  | 
 remuneration within this
State for an employer;
 | 
   (b) An apprentice;
 | 
   (c) An applicant for any apprenticeship.
 | 
  For purposes of subsection (D) of Section 2-102 of  | 
 this Act, "employee" also includes an unpaid intern. An  | 
 unpaid intern is a person who performs work for an  | 
 employer under the following circumstances: | 
   (i) the employer is not committed to hiring the  | 
 person performing the work at the conclusion of the  | 
 | 
 intern's tenure; | 
   (ii) the employer and the person performing the  | 
 work agree that the person is not entitled to wages for  | 
 the work performed; and | 
   (iii) the work performed: | 
    (I) supplements training given in an  | 
 educational environment that may enhance the  | 
 employability of the intern; | 
    (II) provides experience for the benefit of  | 
 the person performing the work; | 
    (III) does not displace regular employees;  | 
    (IV) is performed under the close supervision  | 
 of existing staff; and  | 
    (V) provides no immediate advantage to the  | 
 employer providing the training and may
 | 
 occasionally impede the operations of the  | 
 employer.  | 
  (2) "Employee" does not include:
 | 
   (a) (Blank);
 | 
   (b) Individuals employed by persons who are not  | 
 "employers" as
defined by this Act;
 | 
   (c) Elected public officials or the members of  | 
 their immediate
personal staffs;
 | 
   (d) Principal administrative officers of the State  | 
 or of any
political subdivision, municipal corporation  | 
 or other governmental unit
or agency;
 | 
 | 
   (e) A person in a vocational rehabilitation  | 
 facility certified under
federal law who has been  | 
 designated an evaluee, trainee, or work
activity  | 
 client.
 | 
 (B) Employer.
 | 
  (1) "Employer" includes:
 | 
   (a) Any person employing one or more employees  | 
 within Illinois during
20 or more calendar weeks  | 
 within the calendar year of or preceding the alleged
 | 
 violation;
 | 
   (b) Any person employing one or more employees  | 
 when a complainant
alleges civil rights violation due  | 
 to unlawful discrimination based
upon his or her  | 
 physical or mental disability unrelated to ability,  | 
 pregnancy, or
sexual harassment;
 | 
   (c) The State and any political subdivision,  | 
 municipal corporation
or other governmental unit or  | 
 agency, without regard to the number of
employees;
 | 
   (d) Any party to a public contract without regard  | 
 to the number of
employees;
 | 
   (e) A joint apprenticeship or training committee  | 
 without regard to the
number of employees.
 | 
  (2) "Employer" does not include any place of worship,  | 
 religious corporation,
association, educational  | 
 institution, society, or non-profit nursing
institution  | 
 conducted by and for those who rely upon treatment by  | 
 | 
 prayer
through spiritual means in accordance with the  | 
 tenets of a recognized
church or religious denomination  | 
 with respect to the employment of
individuals of a  | 
 particular religion to perform work connected with the
 | 
 carrying on by such place of worship, corporation,  | 
 association, educational institution,
society or  | 
 non-profit nursing institution of its activities.
 | 
 (C) Employment Agency. "Employment Agency" includes both  | 
public and
private employment agencies and any person, labor  | 
organization, or labor
union having a hiring hall or hiring  | 
office regularly undertaking, with
or without compensation, to  | 
procure opportunities to work, or to
procure, recruit, refer  | 
or place employees.
 | 
 (D) Labor Organization. "Labor Organization" includes any
 | 
organization, labor union, craft union, or any voluntary  | 
unincorporated
association designed to further the cause of  | 
the rights of union labor
which is constituted for the  | 
purpose, in whole or in part, of collective
bargaining or of  | 
dealing with employers concerning grievances, terms or
 | 
conditions of employment, or apprenticeships or applications  | 
for
apprenticeships, or of other mutual aid or protection in  | 
connection with
employment, including apprenticeships or  | 
applications for apprenticeships.
 | 
 (E) Sexual Harassment. "Sexual harassment" means any  | 
unwelcome sexual
advances or requests for sexual favors or any  | 
conduct of a sexual nature
when (1) submission to such conduct  | 
 | 
is made either explicitly or implicitly
a term or condition of  | 
an individual's employment, (2) submission to or
rejection of  | 
such conduct by an individual is used as the basis for
 | 
employment decisions affecting such individual, or (3) such  | 
conduct has the
purpose or effect of substantially interfering  | 
with an individual's work
performance or creating an  | 
intimidating, hostile or offensive working
environment.
 | 
 For purposes of this definition, the phrase "working  | 
environment" is not limited to a physical location an employee  | 
is assigned to perform his or her duties.  | 
 (E-1) Harassment. "Harassment" means any unwelcome conduct  | 
on the basis of an individual's actual or perceived race,  | 
color, religion, national origin, ancestry, age, sex, marital  | 
status, order of protection status, disability, military  | 
status, sexual orientation, pregnancy, unfavorable discharge  | 
from military service, citizenship status, or work  | 
authorization status that has the purpose or effect of  | 
substantially interfering with the individual's work  | 
performance or creating an intimidating, hostile, or offensive  | 
working environment. For purposes of this definition, the  | 
phrase "working environment" is not limited to a physical  | 
location an employee is assigned to perform his or her duties. | 
 (F) Religion. "Religion" with respect to employers  | 
includes all
aspects of religious observance and practice, as  | 
well as belief, unless an
employer demonstrates that he is  | 
unable to reasonably accommodate an
employee's or prospective  | 
 | 
employee's religious observance or practice
without undue  | 
hardship on the conduct of the employer's business.
 | 
 (G) Public Employer. "Public employer" means the State, an  | 
agency or
department thereof, unit of local government, school  | 
district,
instrumentality or political subdivision.
 | 
 (H) Public Employee. "Public employee" means an employee  | 
of the State,
agency or department thereof, unit of local  | 
government, school district,
instrumentality or political  | 
subdivision. "Public employee" does not include
public  | 
officers or employees of the General Assembly or agencies  | 
thereof.
 | 
 (I) Public Officer. "Public officer" means a person who is  | 
elected to
office pursuant to the Constitution or a statute or  | 
ordinance, or who is
appointed to an office which is  | 
established, and the qualifications and
duties of which are  | 
prescribed, by the Constitution or a statute or
ordinance, to  | 
discharge a public duty for the State, agency or department
 | 
thereof, unit of local government, school district,  | 
instrumentality or
political subdivision.
 | 
 (J) Eligible Bidder. "Eligible bidder" means a person who,  | 
prior to contract award or prior to bid opening for State  | 
contracts for construction or construction-related services,  | 
has filed with the Department a properly completed, sworn and
 | 
currently valid employer report form, pursuant to the  | 
Department's regulations.
The provisions of this Article  | 
relating to eligible bidders apply only
to bids on contracts  | 
 | 
with the State and its departments, agencies, boards,
and  | 
commissions, and the provisions do not apply to bids on  | 
contracts with
units of local government or school districts.
 | 
 (K) Citizenship Status. "Citizenship status" means the  | 
status of being:
 | 
  (1) a born U.S. citizen;
 | 
  (2) a naturalized U.S. citizen;
 | 
  (3) a U.S. national; or
 | 
  (4) a person born outside the United States and not a  | 
 U.S. citizen who
is lawfully present not an unauthorized  | 
 alien and who is protected from discrimination under
the  | 
 provisions of Section 1324b of Title 8 of the United  | 
 States Code, as
now or hereafter amended.
 | 
 (L) Work Authorization Status. "Work authorization status"  | 
means the status of being a person born outside of the United  | 
States, and not a U.S. citizen, who is authorized by the  | 
federal government to work in the United States. | 
(Source: P.A. 101-221, eff. 1-1-20; 101-430, eff. 7-1-20;  | 
102-233, eff. 8-2-21; 102-558, eff. 8-20-21.)
 | 
 Section 135. The Resident Alien Course Act is amended by  | 
changing the title of the Act and Sections 0.01, 1, 2, and 3 as  | 
follows:
 | 
 (815 ILCS 400/Act title)
 | 
 An Act concerning fees charged for courses offered to  | 
 | 
persons seeking
permanent resident alien status under the  | 
Immigration Reform and Control
Act of 1986.
 | 
 (815 ILCS 400/0.01) (from Ch. 111, par. 8050)
 | 
 Sec. 0.01. Short title. This Act may be cited as the
 | 
Resident Alien Course Act.
 | 
(Source: P.A. 86-1324.)
 | 
 (815 ILCS 400/1) (from Ch. 111, par. 8051)
 | 
 Sec. 1. No individual or agency, authorized by the U.S.  | 
Immigration
and Naturalization Service to
offer a course  | 
leading to a certificate of satisfactory pursuit for
issuance  | 
of permanent resident alien status, may charge a fee for such
 | 
course in excess of $5 per hour per individual up to the first  | 
60 hours of
instruction or $500 for up to 12 months of  | 
instruction from the date of
registration. As used in this  | 
Section, the term "fee" includes all costs
associated with the  | 
course, including the costs of instruction and materials.
 | 
(Source: P.A. 86-831.)
 | 
 (815 ILCS 400/2) (from Ch. 111, par. 8052)
 | 
 Sec. 2. 
No individual or agency which offers any service  | 
or course
with the promise of preparing the recipient or  | 
enrollee for the English
and civics exam of the U.S.  | 
Immigration and Naturalization Service for
issuance of  | 
permanent resident alien status may charge a fee for such
 | 
 | 
service or course in excess of $5 per hour per individual up to  | 
the first 60
hours of instruction or $500 for up to 12 months  | 
of instruction from the
date of registration. As used in this  | 
Section, the term "fee" includes all
costs associated with the  | 
service or course, including the costs of
instruction and  | 
materials.
 | 
(Source: P.A. 86-831.)
 | 
 (815 ILCS 400/3) (from Ch. 111, par. 8053)
 | 
 Sec. 3. 
Any individual or agency offering a course or  | 
service
described in Section 2 shall include within any  | 
literature or print or
electronic
advertisement for such  | 
service or course a statement that such service or
course is  | 
designed to prepare the recipient or enrollee for the English
 | 
and civics exam of the U.S. Immigration and Naturalization  | 
Service and that
the individual or agency offering the service  | 
or course does not issue the
certificate of satisfactory  | 
pursuit required by the U.S. Immigration and
Naturalization  | 
Service for issuance of permanent resident alien status.
 | 
(Source: P.A. 86-831.)
 | 
 Section 140. The Consumer Fraud and Deceptive Business  | 
Practices Act is amended by changing Section 2AA as follows:
 | 
 (815 ILCS 505/2AA)
 | 
 Sec. 2AA. Immigration services. 
 | 
 | 
 (a) "Immigration matter" means any proceeding, filing, or  | 
action
affecting the nonimmigrant, immigrant or citizenship  | 
status of any person
that arises under immigration and  | 
naturalization law, executive order or
presidential  | 
proclamation of the United States or any foreign country, or
 | 
that arises under action of the United States Citizenship and  | 
Immigration Services, the United States Department of Labor,  | 
or the
United States Department of State.
 | 
 "Immigration assistance service" means any information
or  | 
action provided or offered to customers or prospective  | 
customers related to immigration matters, excluding legal  | 
advice, recommending a specific course of legal action, or  | 
providing any other assistance that requires legal analysis,  | 
legal judgment, or interpretation of the law.
 | 
 "Compensation" means money, property, services, promise of  | 
payment,
or anything else of value.
 | 
 "Employed by" means that a person is on the payroll of the  | 
employer
and the employer deducts from the employee's paycheck  | 
social security and
withholding taxes, or receives  | 
compensation from the employer on a
commission basis or as an  | 
independent contractor.
 | 
 "Reasonable costs" means actual costs or, if actual costs  | 
cannot be
calculated, reasonably estimated costs of such  | 
things as photocopying,
telephone calls, document requests,  | 
and filing fees for immigration forms,
and other nominal costs  | 
incidental to assistance
in an immigration matter.
 | 
 | 
 (a-1) The General Assembly finds and declares that private  | 
individuals who
assist persons with immigration matters have a  | 
significant impact on the
ability of their clients to reside  | 
and work within the United States and to
establish and  | 
maintain stable families and business relationships. The  | 
General
Assembly further finds that that assistance and its  | 
impact also have a
significant effect on the cultural, social,  | 
and economic life of the State of
Illinois and thereby  | 
substantially affect the public interest. It is the
intent of  | 
the General Assembly to establish rules of practice and  | 
conduct for
those individuals to promote honesty and fair  | 
dealing with residents and to
preserve public confidence.
 | 
 (a-5) The following persons are exempt from this Section,  | 
provided they
prove the exemption by a preponderance of the  | 
evidence:
 | 
  (1) An attorney licensed to practice law in any state  | 
 or territory of
the United States, or of any foreign  | 
 country when authorized by the
Illinois Supreme Court, to  | 
 the extent the attorney renders immigration
assistance  | 
 service in the course of his or her practice as an  | 
 attorney.
 | 
  (2) A legal intern, as described by the rules of the  | 
 Illinois Supreme
Court, employed by and under the direct  | 
 supervision of a licensed attorney
and rendering  | 
 immigration assistance service in the course of the  | 
 intern's
employment.
 | 
 | 
  (3) A not-for-profit organization recognized by the  | 
 Board of Immigration
Appeals under 8 CFR 292.2(a) and  | 
 employees of those organizations accredited
under 8 CFR  | 
 292.2(d).
 | 
  (4) Any organization employing or desiring to employ a  | 
 documented or undocumented immigrant or
nonimmigrant  | 
 alien, where the organization, its employees or its agents
 | 
 provide advice or assistance in immigration matters to  | 
 documented or undocumented immigrant or nonimmigrant
alien  | 
 employees or potential employees without compensation from  | 
 the
individuals to whom such advice or assistance is  | 
 provided.
 | 
 Nothing in this Section shall regulate any business to the  | 
extent
that such regulation is prohibited or preempted by  | 
State or federal law.
 | 
 All other persons providing or offering to provide  | 
immigration
assistance service shall be subject to this  | 
Section.
 | 
 (b) Any person who provides or offers to provide  | 
immigration assistance
service may perform only the following  | 
services:
 | 
  (1) Completing a government agency
form, requested by  | 
 the customer and appropriate to the customer's
needs,
only  | 
 if the completion of that form does not involve a legal
 | 
 judgment
for that particular matter.
 | 
  (2) Transcribing responses to a government agency form  | 
 | 
 which is
related to an immigration matter, but not  | 
 advising a customer as to his or
her answers on those  | 
 forms.
 | 
  (3) Translating information on forms to a customer and  | 
 translating the
customer's answers to questions posed on  | 
 those forms.
 | 
  (4) Securing for the customer supporting documents  | 
 currently in
existence, such as birth and marriage  | 
 certificates, which may be needed to
be submitted with  | 
 government agency forms.
 | 
  (5) Translating documents from a foreign language into  | 
 English.
 | 
  (6) Notarizing signatures on government agency forms,  | 
 if the person
performing the service is a notary public of  | 
 the State of Illinois.
 | 
  (7) Making referrals, without fee, to attorneys who  | 
 could undertake
legal representation for a person in an  | 
 immigration matter.
 | 
  (8) Preparing or arranging for the preparation of  | 
 photographs and
fingerprints.
 | 
  (9) Arranging for the performance of medical testing
 | 
 (including X-rays and AIDS tests) and the obtaining of  | 
 reports of such test
results.
 | 
  (10) Conducting English language and civics courses.
 | 
  (11) Other services that the Attorney General  | 
 determines by rule may be
appropriately performed by such  | 
 | 
 persons in light of the purposes of this
Section.
 | 
 Fees for a notary public, agency, or any other person who  | 
is not an attorney or an accredited representative filling out  | 
immigration forms shall be limited to the maximum fees set  | 
forth in subsections (a) and (b) of Section 3-104 of the  | 
Illinois Notary Public Act (5 ILCS 312/3-104). The maximum fee  | 
schedule set forth in subsections (a) and (b) of Section 3-104  | 
of the Illinois Notary Public Act shall apply to any person  | 
that provides or offers to provide immigration assistance  | 
service performing the services described therein. The  | 
Attorney General may promulgate rules establishing maximum  | 
fees that may be charged for any services not described in that  | 
subsection. The maximum fees must be reasonable in light of  | 
the costs of providing those services and the degree of  | 
professional skill required to provide the services.
 | 
 No person subject to this Act shall charge fees directly  | 
or
indirectly for referring an individual to an attorney or  | 
for any
immigration matter not authorized by this Article,  | 
provided that a person may
charge a fee for notarizing  | 
documents as permitted by the Illinois Notary
Public Act.
 | 
 (c) Any person performing such services shall register  | 
with the Illinois
Attorney General and submit verification of  | 
malpractice insurance or of a
surety bond.
 | 
 (d) Except as provided otherwise in this subsection,  | 
before providing
any
assistance in an immigration matter a  | 
person shall provide the customer with
a written contract that  | 
 | 
includes the following:
 | 
  (1) An explanation of the services to be performed.
 | 
  (2) Identification of all compensation and costs to be  | 
 charged to the
customer for the services to be performed.
 | 
  (3) A statement that documents submitted in support of  | 
 an application
for nonimmigrant, immigrant, or  | 
 naturalization status may not be retained
by the person  | 
 for any purpose, including payment of compensation or  | 
 costs.
 | 
 This subsection does not apply to a not-for-profit  | 
organization that
provides advice or assistance in immigration  | 
matters to clients without charge
beyond a reasonable fee to  | 
reimburse the organization's or clinic's reasonable
costs  | 
relating to providing immigration services to that client.
 | 
 (e) Any person who provides or offers immigration  | 
assistance service and
is not exempted from this Section,  | 
shall post signs at his or her place of
business, setting forth  | 
information in English and in every other language in
which  | 
the
person provides or offers to provide immigration  | 
assistance service. Each
language shall be on a separate sign.  | 
Signs shall be posted in a location
where the signs will be  | 
visible to customers. Each sign shall be at least
11 inches by  | 
17 inches, and shall contain the following:
 | 
  (1) The statement "I AM NOT AN ATTORNEY LICENSED TO  | 
 PRACTICE LAW AND
MAY NOT GIVE LEGAL ADVICE OR ACCEPT FEES  | 
 FOR LEGAL ADVICE.".
 | 
 | 
  (2) The statement "I AM NOT ACCREDITED TO REPRESENT  | 
 YOU BEFORE THE
UNITED STATES IMMIGRATION AND  | 
 NATURALIZATION SERVICE AND THE IMMIGRATION
BOARD OF  | 
 APPEALS.".
 | 
  (3) The fee schedule.
 | 
  (4) The statement that "You may cancel any contract
 | 
 within 3 working days and get your money back for services  | 
 not performed.".
 | 
  (5) Additional information the Attorney General may  | 
 require by rule.
 | 
 Every person engaged in immigration assistance service who  | 
is not an
attorney who advertises immigration assistance  | 
service in a language other
than English, whether by radio,  | 
television, signs, pamphlets, newspapers,
or other written  | 
communication, with the exception of a single desk plaque,
 | 
shall include in the document, advertisement, stationery,  | 
letterhead, business card, or other comparable written  | 
material the following notice in English and the language in  | 
which the written communication appears. This notice shall be
 | 
of a conspicuous size, if in writing, and shall state: "I AM  | 
NOT AN
ATTORNEY LICENSED TO PRACTICE LAW IN ILLINOIS AND MAY  | 
NOT GIVE LEGAL ADVICE OR ACCEPT
FEES FOR LEGAL ADVICE.". If  | 
such advertisement is by radio or television,
the statement  | 
may be modified but must include substantially the same  | 
message.
 | 
 Any person who provides or offers immigration assistance  | 
 | 
service and is not exempted from this Section shall not, in any  | 
document, advertisement, stationery, letterhead, business  | 
card, or other comparable written material, literally  | 
translate from English into another language terms or titles  | 
including, but not limited to, notary public, notary,  | 
licensed, attorney, lawyer, or any other term that implies the  | 
person is an attorney. To illustrate, the words "notario" and  | 
"poder notarial" are prohibited under this provision.
 | 
 If not subject to penalties under subsection (a) of  | 
Section 3-103 of the Illinois Notary Public Act (5 ILCS  | 
312/3-103), violations of this subsection shall result in a  | 
fine of $1,000. Violations shall not preempt or preclude  | 
additional appropriate civil or criminal penalties.
 | 
 (f) The written contract shall be in both English and in  | 
the language
of the customer.
 | 
 (g) A copy of the contract shall be provided to the  | 
customer upon the
customer's execution of the contract.
 | 
 (h) A customer has the right to rescind a contract within  | 
72 hours after
his or her signing of the contract.
 | 
 (i) Any documents identified in paragraph (3) of  | 
subsection (c) shall be
returned upon demand of the customer.
 | 
 (j) No person engaged in providing immigration services  | 
who is not exempted under this Section shall do any
of the  | 
following:
 | 
  (1) Make any statement that the person can or will  | 
 obtain special favors
from or has special influence with  | 
 | 
 the United States Immigration and
Naturalization Service  | 
 or any other government agency.
 | 
  (2) Retain any compensation for service not performed.
 | 
  (2.5) Accept payment in exchange for providing legal  | 
 advice or any other assistance that requires legal  | 
 analysis, legal judgment, or interpretation of the law.
 | 
  (3) Refuse to return documents supplied by, prepared  | 
 on behalf of, or paid
for by the customer upon the request  | 
 of the customer. These documents must be
returned upon  | 
 request even if there is a fee dispute between the  | 
 immigration
assistant and the customer.
 | 
  (4) Represent or advertise, in connection with the  | 
 provision of assistance
in immigration matters, other  | 
 titles of credentials, including but not
limited to  | 
 "notary public" or "immigration consultant," that could  | 
 cause a
customer to believe that the person possesses  | 
 special professional skills or
is authorized to provide  | 
 advice on an immigration matter; provided that a
notary  | 
 public appointed by the Illinois Secretary of State may  | 
 use the term
"notary public" if the use is accompanied by  | 
 the statement that the person
is not an attorney; the term  | 
 "notary public" may not be translated to another language;  | 
 for example "notario" is prohibited.
 | 
  (5) Provide legal advice, recommend a specific course  | 
 of legal action, or provide any other assistance that  | 
 requires legal analysis, legal judgment, or interpretation  | 
 | 
 of the law.
 | 
  (6) Make any misrepresentation of false statement,  | 
 directly or
indirectly, to influence, persuade, or induce  | 
 patronage.
 | 
 (k) (Blank).
 | 
 (l) (Blank).
 | 
 (m) Any person who violates any provision
of this Section,  | 
or the rules and regulations issued
under this Section, shall  | 
be guilty of a Class A misdemeanor for a first
offense and a  | 
Class 3 felony for a second or subsequent offense committed
 | 
within 5 years of a previous conviction for the same offense.
 | 
 Upon his own information or upon the complaint of any  | 
person, the
Attorney General or any State's Attorney, or a  | 
municipality with a
population of more than 1,000,000, may  | 
maintain an action for injunctive
relief and also seek a civil  | 
penalty not exceeding $50,000 in the circuit court
against any  | 
person who violates any provision of
this Section. These  | 
remedies are in addition to, and not in substitution
for,  | 
other available remedies.
 | 
 If the Attorney General or any State's Attorney or a  | 
municipality
with a population of more than 1,000,000 fails to  | 
bring an action as
provided under this Section any person may  | 
file a civil action to
enforce the provisions of this Article  | 
and maintain an action for
injunctive relief, for compensatory  | 
damages to recover prohibited fees, or for such additional  | 
relief as may be appropriate to
deter, prevent, or compensate  | 
 | 
for the violation.
In order to deter violations of this  | 
Section, courts shall not require a
showing of the traditional  | 
elements for equitable relief. A prevailing
plaintiff may be  | 
awarded 3 times the prohibited fees or a minimum of $1,000 in
 | 
punitive damages, attorney's fees, and costs of
bringing an  | 
action under this Section.
It is the express intention
of the  | 
General Assembly that remedies for violation of this Section  | 
be
cumulative.
 | 
 (n) No unit of local government, including any home rule  | 
unit, shall have
the authority to regulate immigration  | 
assistance services unless such
regulations are at least as  | 
stringent as those contained in Public Act 87-1211. It is  | 
declared to be the law of this State, pursuant to
paragraph (i)  | 
of Section 6 of Article VII of the Illinois Constitution of
 | 
1970, that Public Act 87-1211 is a limitation on the authority  | 
of a
home rule unit to exercise powers concurrently with the  | 
State. The
limitations of this Section do not apply to a home  | 
rule unit that has,
prior to January 1, 1993 (the effective  | 
date of Public Act 87-1211), adopted an ordinance
regulating  | 
immigration assistance services.
 | 
 (o) This Section is severable under Section 1.31 of the  | 
Statute on Statutes.
 | 
 (p) The Attorney General shall issue rules not  | 
inconsistent with this
Section for the implementation,  | 
administration, and enforcement of this
Section. The rules may  | 
provide for the following:
 | 
 | 
  (1) The content, print size, and print style of the  | 
 signs required under
subsection (e). Print sizes and  | 
 styles may vary from language to language.
 | 
  (2) Standard forms for use in the administration of  | 
 this Section.
 | 
  (3) Any additional requirements deemed necessary.
 | 
(Source: P.A. 99-679, eff. 1-1-17; 100-863, eff. 8-14-18.)
 | 
 Section 145. The Workers' Compensation Act is amended by  | 
changing Sections 1 and 7 as follows:
 | 
 (820 ILCS 305/1) (from Ch. 48, par. 138.1)
 | 
 Sec. 1. This Act may be cited as the Workers' Compensation  | 
Act. 
 | 
 (a) The term "employer" as used in this Act means:
 | 
 1. The State and each county, city, town, township,  | 
incorporated
village, school district, body politic, or  | 
municipal corporation
therein.
 | 
 2. Every person, firm, public or private corporation,  | 
including
hospitals, public service, eleemosynary, religious  | 
or charitable
corporations or associations who has any person  | 
in service or under any
contract for hire, express or implied,  | 
oral or written, and who is
engaged in any of the enterprises  | 
or businesses enumerated in Section 3
of this Act, or who at or  | 
prior to the time of the accident to the
employee for which  | 
compensation under this Act may be claimed, has in
the manner  | 
 | 
provided in this Act elected to become subject to the
 | 
provisions of this Act, and who has not, prior to such  | 
accident,
effected a withdrawal of such election in the manner  | 
provided in this Act.
 | 
 3. Any one engaging in any business or enterprise referred  | 
to in
subsections 1 and 2 of Section 3 of this Act who  | 
undertakes to do any
work enumerated therein, is liable to pay  | 
compensation to his own
immediate employees in accordance with  | 
the provisions of this Act, and
in addition thereto if he  | 
directly or indirectly engages any contractor
whether  | 
principal or sub-contractor to do any such work, he is liable  | 
to
pay compensation to the employees of any such contractor or
 | 
sub-contractor unless such contractor or sub-contractor has  | 
insured, in
any company or association authorized under the  | 
laws of this State to
insure the liability to pay compensation  | 
under this Act, or guaranteed
his liability to pay such  | 
compensation. With respect to any time
limitation on the  | 
filing of claims provided by this Act, the timely
filing of a  | 
claim against a contractor or subcontractor, as the case may
 | 
be, shall be deemed to be a timely filing with respect to all  | 
persons
upon whom liability is imposed by this paragraph.
 | 
 In the event any such person pays compensation under this  | 
subsection
he may recover the amount thereof from the  | 
contractor or sub-contractor,
if any, and in the event the  | 
contractor pays compensation under this
subsection he may  | 
recover the amount thereof from the sub-contractor, if any.
 | 
 | 
 This subsection does not apply in any case where the  | 
accident occurs
elsewhere than on, in or about the immediate  | 
premises on which the
principal has contracted that the work  | 
be done.
 | 
 4. Where an employer operating under and subject to the  | 
provisions
of this Act loans an employee to another such  | 
employer and such loaned
employee sustains a compensable  | 
accidental injury in the employment of
such borrowing employer  | 
and where such borrowing employer does not
provide or pay the  | 
benefits or payments due such injured employee, such
loaning  | 
employer is liable to provide or pay all benefits or payments
 | 
due such employee under this Act and as to such employee the  | 
liability
of such loaning and borrowing employers is joint and  | 
several, provided
that such loaning employer is in the absence  | 
of agreement to the
contrary entitled to receive from such  | 
borrowing employer full
reimbursement for all sums paid or  | 
incurred pursuant to this paragraph
together with reasonable  | 
attorneys' fees and expenses in any hearings
before the  | 
Illinois Workers' Compensation Commission or in any action to  | 
secure such
reimbursement. Where any benefit is provided or  | 
paid by such loaning
employer the employee has the duty of  | 
rendering reasonable cooperation
in any hearings, trials or  | 
proceedings in the case, including such
proceedings for  | 
reimbursement.
 | 
 Where an employee files an Application for Adjustment of  | 
Claim with
the Illinois Workers' Compensation
Commission  | 
 | 
alleging that his claim is covered by the
provisions of the  | 
preceding paragraph, and joining both the alleged
loaning and  | 
borrowing employers, they and each of them, upon written
 | 
demand by the employee and within 7 days after receipt of such  | 
demand,
shall have the duty of filing with the Illinois  | 
Workers' Compensation Commission a written
admission or denial  | 
of the allegation that the claim is covered by the
provisions  | 
of the preceding paragraph and in default of such filing or
if  | 
any such denial be ultimately determined not to have been bona  | 
fide
then the provisions of Paragraph K of Section 19 of this  | 
Act shall apply.
 | 
 An employer whose business or enterprise or a substantial  | 
part
thereof consists of hiring, procuring or furnishing  | 
employees to or for
other employers operating under and  | 
subject to the provisions of this
Act for the performance of  | 
the work of such other employers and who pays
such employees  | 
their salary or wages notwithstanding that they are doing
the  | 
work of such other employers shall be deemed a loaning  | 
employer
within the meaning and provisions of this Section.
 | 
 (b) The term "employee" as used in this Act means:
 | 
 1. Every person in the service of the State, including  | 
members of
the General Assembly, members of the Commerce  | 
Commission, members of the
Illinois Workers' Compensation  | 
Commission, and all persons in the service of the University
 | 
of Illinois, county, including deputy sheriffs and assistant  | 
state's
attorneys, city, town, township, incorporated village  | 
 | 
or school
district, body politic, or municipal corporation  | 
therein, whether by
election, under appointment or contract of  | 
hire, express or implied,
oral or written, including all  | 
members of the Illinois National Guard
while on active duty in  | 
the service of the State, and all probation
personnel of the  | 
Juvenile Court appointed pursuant to Article VI
of the  | 
Juvenile Court Act of 1987, and including any official of the
 | 
State, any county, city, town, township, incorporated village,  | 
school
district, body politic or municipal corporation therein  | 
except any duly
appointed member of a police department in any  | 
city whose
population exceeds 500,000 according to the last  | 
Federal or State
census, and except any member of a fire  | 
insurance patrol maintained by a
board of underwriters in this  | 
State. A duly appointed member of a fire
department in any  | 
city, the population of which exceeds 500,000 according
to the  | 
last federal or State census, is an employee under this Act  | 
only
with respect to claims brought under paragraph (c) of  | 
Section 8.
 | 
 One employed by a contractor who has contracted with the  | 
State, or a
county, city, town, township, incorporated  | 
village, school district,
body politic or municipal  | 
corporation therein, through its
representatives, is not  | 
considered as an employee of the State, county,
city, town,  | 
township, incorporated village, school district, body
politic  | 
or municipal corporation which made the contract.
 | 
 2. Every person in the service of another under any  | 
 | 
contract of
hire, express or implied, oral or written,  | 
including persons whose
employment is outside of the State of  | 
Illinois where the contract of
hire is made within the State of  | 
Illinois, persons whose employment
results in fatal or  | 
non-fatal injuries within the State of Illinois
where the  | 
contract of hire is made outside of the State of Illinois, and
 | 
persons whose employment is principally localized within the  | 
State of
Illinois, regardless of the place of the accident or  | 
the place where the
contract of hire was made, and including  | 
noncitizens aliens, and minors who, for the
purpose of this  | 
Act are considered the same and have the same power to
 | 
contract, receive payments and give quittances therefor, as  | 
adult employees.
 | 
 3. Every sole proprietor and every partner of a business  | 
may elect to
be covered by this Act.
 | 
 An employee or his dependents under this Act who shall  | 
have a cause
of action by reason of any injury, disablement or  | 
death arising out of
and in the course of his employment may  | 
elect to pursue his remedy in
the State where injured or  | 
disabled, or in the State where the contract
of hire is made,  | 
or in the State where the employment is principally
localized.
 | 
 However, any employer may elect to provide and pay  | 
compensation to
any employee other than those engaged in the  | 
usual course of the trade,
business, profession or occupation  | 
of the employer by complying with
Sections 2 and 4 of this Act.  | 
Employees are not included within the
provisions of this Act  | 
 | 
when excluded by the laws of the United States
relating to  | 
liability of employers to their employees for personal
 | 
injuries where such laws are held to be exclusive.
 | 
 The term "employee" does not include persons performing  | 
services as real
estate broker, broker-salesman, or salesman  | 
when such persons are paid by
commission only.
 | 
 (c) "Commission" means the Industrial Commission created  | 
by Section
5 of "The Civil Administrative Code of Illinois",  | 
approved March 7,
1917, as amended, or the Illinois Workers'  | 
Compensation Commission created by Section 13 of
this Act.
 | 
 (d) To obtain compensation under this Act, an employee  | 
bears the burden of showing, by a preponderance of the  | 
evidence, that he or she has sustained accidental injuries  | 
arising out of and in the course of the employment.  | 
(Source: P.A. 97-18, eff. 6-28-11; 97-268, eff. 8-8-11;  | 
97-813, eff. 7-13-12.)
 | 
 (820 ILCS 305/7) (from Ch. 48, par. 138.7)
 | 
 Sec. 7. The amount of compensation which shall be paid for  | 
an
accidental injury to the employee resulting in death is:
 | 
 (a) If the employee leaves surviving a widow, widower,  | 
child or
children, the applicable weekly compensation rate  | 
computed in accordance
with subparagraph 2 of paragraph (b) of  | 
Section 8, shall be payable
during the life of the widow or  | 
widower and if any surviving child or
children shall not be  | 
physically or mentally incapacitated then until
the death of  | 
 | 
the widow or widower or until the youngest child shall
reach  | 
the age of 18, whichever shall come later; provided that if  | 
such
child or children shall be enrolled as a full time student  | 
in any
accredited educational institution, the payments shall  | 
continue until
such child has attained the age of 25. In the  | 
event any surviving child
or children shall be physically or  | 
mentally incapacitated, the payments
shall continue for the  | 
duration of such incapacity.
 | 
 The term "child" means a child whom the deceased employee  | 
left
surviving, including a posthumous child, a child legally  | 
adopted, a
child whom the deceased employee was legally  | 
obligated to support or a
child to whom the deceased employee  | 
stood in loco parentis. The term
"children" means the plural  | 
of "child".
 | 
 The term "physically or mentally incapacitated child or  | 
children"
means a child or children incapable of engaging in  | 
regular and
substantial gainful employment.
 | 
 In the event of the remarriage of a widow or widower, where  | 
the
decedent did not leave surviving any child or children  | 
who, at the time
of such remarriage, are entitled to  | 
compensation benefits under this
Act, the surviving spouse  | 
shall be paid a lump sum equal to 2 years
compensation benefits  | 
and all further rights of such widow or widower
shall be  | 
extinguished.
 | 
 If the employee leaves surviving any child or children  | 
under 18 years
of age who at the time of death shall be  | 
 | 
entitled to compensation under
this paragraph (a) of this  | 
Section, the weekly compensation payments
herein provided for  | 
such child or children shall in any event continue
for a period  | 
of not less than 6 years.
 | 
 Any beneficiary entitled to compensation under this  | 
paragraph (a) of
this Section shall receive from the special  | 
fund provided in paragraph
(f) of this Section, in addition to  | 
the compensation herein provided,
supplemental benefits in  | 
accordance with paragraph (g) of Section 8.
 | 
 (b) If no compensation is payable under paragraph (a) of  | 
this
Section and the employee leaves surviving a parent or  | 
parents who at the
time of the accident were totally dependent  | 
upon the earnings of the
employee then weekly payments equal  | 
to the compensation rate payable in
the case where the  | 
employee leaves surviving a widow or widower, shall
be paid to  | 
such parent or parents for the duration of their lives, and
in  | 
the event of the death of either, for the life of the survivor.
 | 
 (c) If no compensation is payable under paragraphs (a) or  | 
(b) of
this Section and the employee leaves surviving any  | 
child or children who
are not entitled to compensation under  | 
the foregoing paragraph (a) but
who at the time of the accident  | 
were nevertheless in any manner
dependent upon the earnings of  | 
the employee, or leaves surviving a
parent or parents who at  | 
the time of the accident were partially
dependent upon the  | 
earnings of the employee, then there shall be paid to
such  | 
dependent or dependents for a period of 8 years weekly  | 
 | 
compensation
payments at such proportion of the applicable  | 
rate if the employee had
left surviving a widow or widower as  | 
such dependency bears to total
dependency. In the event of the  | 
death of any such beneficiary the share
of such beneficiary  | 
shall be divided equally among the surviving
beneficiaries and  | 
in the event of the death of the last such
beneficiary all the  | 
rights under this paragraph shall be extinguished.
 | 
 (d) If no compensation is payable under paragraphs (a),  | 
(b) or (c)
of this Section and the employee leaves surviving  | 
any grandparent,
grandparents, grandchild or grandchildren or  | 
collateral heirs dependent
upon the employee's earnings to the  | 
extent of 50% or more of total
dependency, then there shall be  | 
paid to such dependent or dependents for
a period of 5 years  | 
weekly compensation payments at such proportion of
the  | 
applicable rate if the employee had left surviving a widow or
 | 
widower as such dependency bears to total dependency. In the  | 
event of
the death of any such beneficiary the share of such  | 
beneficiary shall be
divided equally among the surviving  | 
beneficiaries and in the event of
the death of the last such  | 
beneficiary all rights hereunder shall be
extinguished.
 | 
 (e) The compensation to be paid for accidental injury  | 
which results
in death, as provided in this Section, shall be  | 
paid to the persons who
form the basis for determining the  | 
amount of compensation to be paid by
the employer, the  | 
respective shares to be in the proportion of their
respective  | 
dependency at the time of the accident on the earnings of the
 | 
 | 
deceased. The Commission or an Arbitrator thereof may, in its  | 
or his
discretion, order or award the payment to the parent or  | 
grandparent of a
child for the latter's support the amount of  | 
compensation which but for
such order or award would have been  | 
paid to such child as its share of
the compensation payable,  | 
which order or award may be modified from time
to time by the  | 
Commission in its discretion with respect to the person
to  | 
whom shall be paid the amount of the order or award remaining  | 
unpaid
at the time of the modification.
 | 
 The payments of compensation by the employer in accordance  | 
with the
order or award of the Commission discharges such  | 
employer from all
further obligation as to such compensation.
 | 
 (f) The sum of $8,000 for burial expenses shall be paid by  | 
the
employer to the widow or widower, other dependent, next of  | 
kin or to the
person or persons incurring the expense of  | 
burial.
 | 
 In the event the employer failed to provide necessary  | 
first aid,
medical, surgical or hospital service, he shall pay  | 
the cost thereof to
the person or persons entitled to  | 
compensation under paragraphs (a),
(b), (c) or (d) of this  | 
Section, or to the person or persons incurring
the obligation  | 
therefore, or providing the same.
 | 
 On January 15 and July 15, 1981, and on January 15 and July  | 
15 of each
year thereafter the employer shall within 60 days  | 
pay a sum equal to
1/8 of 1% of all compensation payments made  | 
by him after July 1, 1980, either
under this Act or the  | 
 | 
Workers' Occupational Diseases Act, whether by lump
sum  | 
settlement or weekly compensation payments, but not including  | 
hospital,
surgical or rehabilitation payments, made during the  | 
first 6 months and
during the second 6 months respectively of  | 
the fiscal year next preceding
the date of the payments, into a  | 
special fund which shall be designated the
"Second Injury  | 
Fund", of which the State Treasurer is ex-officio custodian,
 | 
such special fund to be held and disbursed for the purposes  | 
hereinafter
stated in paragraphs (f) and (g) of Section 8,  | 
either upon the order of the
Commission or of a competent  | 
court. Said special fund shall be deposited
the same as are  | 
State funds and any interest accruing thereon shall be
added  | 
thereto every 6 months. It is subject to audit the same as  | 
State
funds and accounts and is protected by the General bond  | 
given by the State
Treasurer. It is considered always  | 
appropriated for the purposes of
disbursements as provided in  | 
Section 8, paragraph (f), of this Act, and
shall be paid out  | 
and disbursed as therein provided and shall not at any
time be  | 
appropriated or diverted to any other use or purpose.
 | 
 On January 15, 1991, the employer shall further pay a sum  | 
equal to one
half of 1% of all compensation payments made by  | 
him from January 1, 1990
through June 30, 1990 either under  | 
this Act or under the Workers'
Occupational Diseases Act,  | 
whether by lump sum settlement or weekly
compensation  | 
payments, but not including hospital, surgical or
 | 
rehabilitation payments, into an additional Special Fund which  | 
 | 
shall be
designated as the "Rate Adjustment Fund". On March  | 
15, 1991, the employer
shall pay into the Rate Adjustment Fund  | 
a sum equal to one half of 1% of
all such compensation payments  | 
made from July 1, 1990 through December 31,
1990. Within 60  | 
days after July 15, 1991, the employer shall pay into the
Rate  | 
Adjustment Fund a sum equal to one half of 1% of all such  | 
compensation
payments made from January 1, 1991 through June  | 
30, 1991. Within 60 days
after January 15 of 1992 and each
 | 
subsequent year through 1996, the employer shall pay
into the  | 
Rate Adjustment Fund a sum equal to one half of 1% of all such
 | 
compensation payments made in the last 6 months of the  | 
preceding calendar
year. Within 60 days after July 15 of 1992  | 
and each subsequent year through
1995, the employer shall pay  | 
into the Rate Adjustment Fund a sum equal to one
half of 1% of  | 
all such compensation payments made in the first 6 months of  | 
the
same calendar year. Within 60 days after January 15 of 1997  | 
and each subsequent
year through 2005, the employer shall pay  | 
into the Rate Adjustment Fund a sum equal to
three-fourths of  | 
1% of all such compensation payments made in the last 6 months
 | 
of the preceding calendar year. Within 60 days after July 15 of  | 
1996 and each
subsequent year through 2004, the employer shall  | 
pay into the Rate Adjustment Fund a sum
equal to three-fourths  | 
of 1% of all such compensation payments made in the
first 6  | 
months of the same calendar year. Within 60 days after July 15  | 
of 2005, the employer shall pay into the Rate Adjustment Fund a  | 
sum equal to 1% of such compensation payments made in the first  | 
 | 
6 months of the same calendar year. Within 60 days after  | 
January 15 of 2006 and each subsequent year, the employer  | 
shall pay into the Rate Adjustment Fund a sum equal to 1.25% of  | 
such compensation payments made in the last 6 months of the  | 
preceding calendar year. Within 60 days after July 15 of 2006  | 
and each subsequent year, the employer shall pay into the Rate  | 
Adjustment Fund a sum equal to 1.25% of such compensation  | 
payments made in the first 6 months of the same calendar year.
 | 
The administrative costs of
collecting assessments from  | 
employers for the Rate Adjustment Fund shall be
paid from the
 | 
Rate Adjustment Fund. The cost of an actuarial audit of the  | 
Fund shall be paid
from the Rate Adjustment Fund. The State  | 
Treasurer is ex officio custodian of such Special
Fund and the  | 
same shall be held and disbursed for the purposes hereinafter
 | 
stated in paragraphs (f) and (g) of Section 8 upon the order of  | 
the
Commission or of a competent court. The Rate Adjustment  | 
Fund shall be
deposited the same as are State funds and any  | 
interest accruing thereon
shall be added thereto every 6  | 
months. It shall be subject to audit the
same as State funds  | 
and accounts and shall be protected by the general bond
given  | 
by the State Treasurer. It is considered always appropriated  | 
for the
purposes of disbursements as provided in paragraphs  | 
(f) and (g) of Section
8 of this Act and shall be paid out and  | 
disbursed as therein provided and
shall not at any time be  | 
appropriated or diverted to any other use or
purpose. Within 5  | 
days after the effective date of this amendatory Act of
1990,  | 
 | 
the Comptroller and the State Treasurer shall transfer  | 
$1,000,000
from the General Revenue Fund to the Rate  | 
Adjustment Fund. By February 15,
1991, the Comptroller and the  | 
State Treasurer shall transfer $1,000,000
from the Rate  | 
Adjustment Fund to the General Revenue Fund. The Comptroller  | 
and Treasurer are authorized to make
transfers at the
request  | 
of the Chairman up to a total of $19,000,000
from the Second  | 
Injury Fund, the General Revenue Fund, and the Workers'
 | 
Compensation Benefit Trust
Fund to the Rate Adjustment Fund to  | 
the extent that there is insufficient
money in the Rate  | 
Adjustment Fund to pay claims and obligations. Amounts may
be  | 
transferred from the General Revenue Fund only if the funds in  | 
the Second
Injury Fund or the Workers' Compensation Benefit  | 
Trust Fund are insufficient to
pay claims and obligations of  | 
the Rate Adjustment Fund. All
amounts transferred from the  | 
Second Injury Fund, the General Revenue Fund,
and the Workers'
 | 
Compensation Benefit Trust Fund shall be repaid from the Rate  | 
Adjustment
Fund within 270 days of a transfer, together with  | 
interest at the rate
earned by moneys on deposit in the Fund or  | 
Funds from which the moneys were
transferred.
 | 
 Upon a finding by the Commission, after reasonable notice  | 
and hearing,
that any employer has willfully and knowingly  | 
failed to pay the proper
amounts into the Second Injury Fund or  | 
the Rate Adjustment Fund required by
this Section or if such  | 
payments are not made within the time periods
prescribed by  | 
this Section, the employer shall, in addition to such
 | 
 | 
payments, pay a penalty of 20% of the amount required to be  | 
paid or $2,500,
whichever is greater, for each year or part  | 
thereof of such failure to pay.
This penalty shall only apply  | 
to obligations of an employer to the
Second Injury Fund or the  | 
Rate Adjustment Fund accruing after the effective
date of this  | 
amendatory Act of 1989. All or part of such a penalty may be
 | 
waived by the Commission for good cause shown.
 | 
 Any obligations of an employer to the Second Injury Fund  | 
and Rate
Adjustment Fund accruing prior to the effective date  | 
of this amendatory Act
of 1989 shall be paid in full by such  | 
employer within 5 years of the
effective date of this  | 
amendatory Act of 1989, with at least one-fifth of
such  | 
obligation to be paid during each year following the effective  | 
date of
this amendatory Act of 1989. If the Commission finds,  | 
following reasonable
notice and hearing, that an employer has  | 
failed to make timely payment of
any obligation accruing under  | 
the preceding sentence, the employer shall,
in addition to all  | 
other payments required by this Section, be liable for a
 | 
penalty equal to 20% of the overdue obligation or $2,500,  | 
whichever is
greater, for each year or part thereof that  | 
obligation is overdue.
All or part of such a penalty may be  | 
waived by the Commission for
good cause shown.
 | 
 The Chairman of the Illinois Workers' Compensation  | 
Commission shall, annually, furnish to the
Director of the  | 
Department of Insurance a list of the amounts paid into the
 | 
Second Injury Fund and the Rate Adjustment Fund by each  | 
 | 
insurance company
on behalf of their insured employers. The  | 
Director shall verify to the
Chairman that the amounts paid by  | 
each insurance company are accurate as
best as the Director  | 
can determine from the records available to the
Director. The  | 
Chairman shall verify that the amounts paid by each
 | 
self-insurer are accurate as best as the Chairman can  | 
determine from
records available to the Chairman. The Chairman  | 
may require each
self-insurer to provide information  | 
concerning the total compensation
payments made upon which  | 
contributions to the Second Injury Fund and the
Rate  | 
Adjustment Fund are predicated and any additional information
 | 
establishing that such payments have been made into these  | 
funds. Any
deficiencies in payments noted by the Director or  | 
Chairman shall be subject
to the penalty provisions of this  | 
Act.
 | 
 The State Treasurer, or his duly authorized  | 
representative, shall be
named as a party to all proceedings  | 
in all cases involving claim for the
loss of, or the permanent  | 
and complete loss of the use of one eye, one
foot, one leg, one  | 
arm or one hand.
 | 
 The State Treasurer or his duly authorized agent shall  | 
have the same
rights as any other party to the proceeding,  | 
including the right to
petition for review of any award. The  | 
reasonable expenses of
litigation, such as medical  | 
examinations, testimony, and transcript of
evidence, incurred  | 
by the State Treasurer or his duly authorized
representative,  | 
 | 
shall be borne by the Second Injury Fund.
 | 
 If the award is not paid within 30 days after the date the  | 
award has
become final, the Commission shall proceed to take  | 
judgment thereon in
its own name as is provided for other  | 
awards by paragraph (g) of Section
19 of this Act and take the  | 
necessary steps to collect the award.
 | 
 Any person, corporation or organization who has paid or  | 
become liable
for the payment of burial expenses of the  | 
deceased employee may in his
or its own name institute  | 
proceedings before the Commission for the
collection thereof.
 | 
 For the purpose of administration, receipts and  | 
disbursements, the
Special Fund provided for in paragraph (f)  | 
of this Section shall be
administered jointly with the Special  | 
Fund provided for in Section 7,
paragraph (f) of the Workers'  | 
Occupational Diseases Act.
 | 
 (g) All compensation, except for burial expenses provided  | 
in this
Section to be paid in case accident results in death,  | 
shall be paid in
installments equal to the percentage of the  | 
average earnings as provided
for in Section 8, paragraph (b)  | 
of this Act, at the same intervals at
which the wages or  | 
earnings of the employees were paid. If this is not
feasible,  | 
then the installments shall be paid weekly. Such compensation
 | 
may be paid in a lump sum upon petition as provided in Section  | 
9 of this
Act. However, in addition to the benefits provided by  | 
Section 9 of this
Act where compensation for death is payable  | 
to the deceased's widow,
widower or to the deceased's widow,  | 
 | 
widower and one or more children,
and where a partial lump sum  | 
is applied for by such beneficiary or
beneficiaries within 18  | 
months after the deceased's death, the
Commission may, in its  | 
discretion, grant a partial lump sum of not to
exceed 100 weeks  | 
of the compensation capitalized at their present value
upon  | 
the basis of interest calculated at 3% per annum with annual  | 
rests,
upon a showing that such partial lump sum is for the  | 
best interest of
such beneficiary or beneficiaries.
 | 
 (h) In case the injured employee is under 16 years of age  | 
at the
time of the accident and is illegally employed, the  | 
amount of
compensation payable under paragraphs (a), (b), (c),  | 
(d) and (f) of this
Section shall be increased 50%.
 | 
 Nothing herein contained repeals or amends the provisions  | 
of the Child
Labor Law relating to the employment of minors  | 
under the age of 16 years.
 | 
 However, where an employer has on file an employment  | 
certificate
issued pursuant to the Child Labor Law or work  | 
permit issued pursuant
to the Federal Fair Labor Standards  | 
Act, as amended, or a birth
certificate properly and duly  | 
issued, such certificate, permit or birth
certificate is  | 
conclusive evidence as to the age of the injured minor
 | 
employee for the purposes of this Section only.
 | 
 (i) Whenever the dependents of a deceased employee are  | 
noncitizens aliens not
residing in the United States, Mexico  | 
or Canada, the amount of
compensation payable is limited to  | 
the beneficiaries described in
paragraphs (a), (b) and (c) of  | 
 | 
this Section and is 50% of the
compensation provided in  | 
paragraphs (a), (b) and (c) of this Section,
except as  | 
otherwise provided by treaty.
 | 
 In a case where any of the persons who would be entitled to
 | 
compensation is living at any place outside of the United  | 
States, then
payment shall be made to the personal  | 
representative of the deceased
employee. The distribution by  | 
such personal representative to the
persons entitled shall be  | 
made to such persons and in such manner as the
Commission  | 
orders.
 | 
(Source: P.A. 93-721, eff. 1-1-05; 94-277, eff. 7-20-05;  | 
94-695, eff. 11-16-05.)
 | 
 Section 150. The Workers' Occupational Diseases Act is  | 
amended by changing Section 1 as follows:
 | 
 (820 ILCS 310/1) (from Ch. 48, par. 172.36)
 | 
 Sec. 1. This Act shall be known and may be cited as the  | 
"Workers'
Occupational Diseases Act".
 | 
 (a) The term "employer" as used in this Act shall be  | 
construed to
be:
 | 
  1. The State and each county, city, town, township,  | 
 incorporated
village, school district, body politic, or  | 
 municipal corporation
therein.
 | 
  2. Every person, firm, public or private corporation,  | 
 including
hospitals, public service, eleemosynary,  | 
 | 
 religious or charitable
corporations or associations, who  | 
 has any person in service or under any
contract for hire,  | 
 express or implied, oral or written.
 | 
  3. Where an employer operating under and subject to  | 
 the provisions
of this Act loans an employee to another  | 
 such employer and such loaned
employee sustains a  | 
 compensable occupational disease in the employment
of such  | 
 borrowing employer and where such borrowing employer does  | 
 not
provide or pay the benefits or payments due such  | 
 employee, such loaning
employer shall be liable to provide  | 
 or pay all benefits or payments due
such employee under  | 
 this Act and as to such employee the liability of
such  | 
 loaning and borrowing employers shall be joint and  | 
 several,
provided that such loaning employer shall in the  | 
 absence of agreement to
the contrary be entitled to  | 
 receive from such borrowing employer full
reimbursement  | 
 for all sums paid or incurred pursuant to this paragraph
 | 
 together with reasonable attorneys' fees and expenses in  | 
 any hearings
before the Illinois Workers' Compensation  | 
 Commission or in any action to secure such
reimbursement.  | 
 Where any benefit is provided or paid by such loaning
 | 
 employer, the employee shall have the duty of rendering  | 
 reasonable
co-operation in any hearings, trials or  | 
 proceedings in the case,
including such proceedings for  | 
 reimbursement.
 | 
  Where an employee files an Application for Adjustment  | 
 | 
 of Claim with
the Illinois Workers' Compensation  | 
 Commission alleging that his or her claim is covered by
 | 
 the provisions of the preceding paragraph, and joining  | 
 both the alleged
loaning and borrowing employers, they and  | 
 each of them, upon written
demand by the employee and  | 
 within 7 days after receipt of such demand,
shall have the  | 
 duty of filing with the Illinois Workers' Compensation  | 
 Commission a written
admission or denial of the allegation  | 
 that the claim is covered by the
provisions of the  | 
 preceding paragraph and in default of such filing or
if  | 
 any such denial be ultimately determined not to have been  | 
 bona fide
then the provisions of Paragraph K of Section 19  | 
 of this Act shall
apply.
 | 
  An employer whose business or enterprise or a  | 
 substantial part
thereof consists of hiring, procuring or  | 
 furnishing employees to or for
other employers operating  | 
 under and subject to the provisions of this
Act for the  | 
 performance of the work of such other employers and who  | 
 pays
such employees their salary or wage notwithstanding  | 
 that they are doing
the work of such other employers shall  | 
 be deemed a loaning employer
within the meaning and  | 
 provisions of this Section.
 | 
 (b) The term "employee" as used in this Act, shall be  | 
construed to
mean:
 | 
  1. Every person in the service of the State, county,  | 
 city, town,
township, incorporated village or school  | 
 | 
 district, body politic or
municipal corporation therein,  | 
 whether by election, appointment or
contract of hire,  | 
 express or implied, oral or written, including any
 | 
 official of the State, or of any county, city, town,  | 
 township,
incorporated village, school district, body  | 
 politic or municipal
corporation therein and except any  | 
 duly appointed member of the fire
department in any city  | 
 whose population exceeds 500,000 according to the
last  | 
 Federal or State census, and except any member of a fire  | 
 insurance
patrol maintained by a board of underwriters in  | 
 this State. One employed
by a contractor who has  | 
 contracted with the State, or a county, city,
town,  | 
 township, incorporated village, school district, body  | 
 politic or
municipal corporation therein, through its  | 
 representatives, shall not be
considered as an employee of  | 
 the State, county, city, town, township,
incorporated  | 
 village, school district, body politic or municipal
 | 
 corporation which made the contract.
 | 
  2. Every person in the service of another under any  | 
 contract of
hire, express or implied, oral or written, who  | 
 contracts an occupational
disease while working in the  | 
 State of Illinois, or who contracts an
occupational  | 
 disease while working outside of the State of Illinois but
 | 
 where the contract of hire is made within the State of  | 
 Illinois, and any
person whose employment is principally  | 
 localized within the State of
Illinois, regardless of the  | 
 | 
 place where the disease was contracted or
place where the  | 
 contract of hire was made, including noncitizens aliens,  | 
 and minors
who, for the purpose of this Act, except  | 
 Section 3 hereof, shall be
considered the same and have  | 
 the same power to contract, receive
payments and give  | 
 quittances therefor, as adult employees. An employee
or  | 
 his or her dependents under this Act who shall have a cause  | 
 of action
by reason of an occupational disease,  | 
 disablement or death arising out
of and in the course of  | 
 his or her employment may elect or pursue
his or her remedy  | 
 in the State where the disease was contracted, or in the
 | 
 State where the contract of hire is made, or in the State  | 
 where the
employment is principally localized.
 | 
 (c) "Commission" means the Illinois Workers' Compensation  | 
Commission created by the
Workers' Compensation Act, approved  | 
July 9, 1951, as amended.
 | 
 (d) In this Act the term "Occupational Disease" means a  | 
disease
arising out of and in the course of the employment or  | 
which has become
aggravated and rendered disabling as a result  | 
of the exposure of the
employment. Such aggravation shall  | 
arise out of a risk peculiar to or
increased by the employment  | 
and not common to the general public.
 | 
 A disease shall be deemed to arise out of the employment if  | 
there is
apparent to the rational mind, upon consideration of  | 
all the
circumstances, a causal connection between the  | 
conditions under which
the work is performed and the  | 
 | 
occupational disease. The disease need not
to have been  | 
foreseen or expected but after its contraction it must
appear  | 
to have had its origin or aggravation in a risk connected with
 | 
the employment and to have flowed from that source as a  | 
rational
consequence.
 | 
 An employee shall be conclusively deemed to have been  | 
exposed to the
hazards of an occupational disease when, for  | 
any length of time however
short, he or she is employed in an  | 
occupation or process in which the
hazard of the disease  | 
exists; provided however, that in a claim of
exposure to  | 
atomic radiation, the fact of such exposure must be verified
 | 
by the records of the central registry of radiation exposure  | 
maintained
by the Department of Public Health or by some other  | 
recognized
governmental agency maintaining records of such  | 
exposures whenever and
to the extent that the records are on  | 
file with the Department of Public
Health or the agency. | 
 Any injury to or disease or death of an employee arising  | 
from the administration of a vaccine, including without  | 
limitation smallpox vaccine, to prepare for, or as a response  | 
to, a threatened or potential bioterrorist incident to the  | 
employee as part of a voluntary inoculation program in  | 
connection with the person's employment or in connection with  | 
any governmental program or recommendation for the inoculation  | 
of workers in the employee's occupation, geographical area, or  | 
other category that includes the employee is deemed to arise  | 
out of and in the course of the employment for all purposes  | 
 | 
under this Act. This paragraph added by Public Act 93-829 is  | 
declarative of existing law and is not a new enactment.
 | 
 The employer liable for the compensation in this Act  | 
provided shall
be the employer in whose employment the  | 
employee was last exposed to the
hazard of the occupational  | 
disease claimed upon regardless of the length
of time of such  | 
last exposure, except, in cases of silicosis or
asbestosis,  | 
the only employer liable shall be the last employer in whose
 | 
employment the employee was last exposed during a period of 60  | 
days or
more after the effective date of this Act, to the  | 
hazard of such
occupational disease, and, in such cases, an  | 
exposure during a period of
less than 60 days, after the  | 
effective date of this Act, shall not be
deemed a last  | 
exposure. If a miner who is suffering or suffered from
 | 
pneumoconiosis was employed for 10 years or more in one or more  | 
coal
mines there shall, effective July 1, 1973 be a rebuttable  | 
presumption
that his or her pneumoconiosis arose out of such  | 
employment.
 | 
 If a deceased miner was employed for 10 years or more in  | 
one or more
coal mines and died from a respirable disease there  | 
shall, effective
July 1, 1973, be a rebuttable presumption  | 
that his or her death was due
to pneumoconiosis.
 | 
 Any condition or impairment of health of an employee  | 
employed as a
firefighter, emergency medical technician (EMT),  | 
emergency medical technician-intermediate (EMT-I), advanced  | 
emergency medical technician (A-EMT), or paramedic which  | 
 | 
results
directly or indirectly from any bloodborne pathogen,  | 
lung or respiratory
disease
or
condition, heart
or vascular  | 
disease or condition, hypertension, tuberculosis, or cancer
 | 
resulting
in any disability (temporary, permanent, total, or  | 
partial) to the employee
shall be rebuttably presumed to arise  | 
out of and in the course of the
employee's firefighting, EMT,  | 
EMT-I, A-EMT, or paramedic employment and, further, shall be
 | 
rebuttably presumed to be causally connected to the hazards or  | 
exposures of
the employment. This presumption shall also apply  | 
to any hernia or hearing
loss suffered by an employee employed  | 
as a firefighter, EMT, EMT-I, A-EMT, or paramedic.
However,  | 
this presumption shall not apply to any employee who has been  | 
employed
as a firefighter, EMT, EMT-I, A-EMT, or paramedic for  | 
less than 5 years at the time he or she files an Application  | 
for Adjustment of Claim concerning this condition or  | 
impairment with the Illinois Workers' Compensation Commission.  | 
The rebuttable presumption established under this subsection,  | 
however, does not apply to an emergency medical technician  | 
(EMT), emergency medical technician-intermediate (EMT-I),  | 
advanced emergency medical technician (A-EMT), or paramedic  | 
employed by a private employer if the employee spends the  | 
preponderance of his or her work time for that employer  | 
engaged in medical transfers between medical care facilities  | 
or non-emergency medical transfers to or from medical care  | 
facilities. The changes made to this subsection by this  | 
amendatory Act of the 98th General Assembly shall be narrowly  | 
 | 
construed. The Finding and Decision of the Illinois Workers'  | 
Compensation Commission under only the rebuttable presumption  | 
provision of this paragraph shall not be admissible or be  | 
deemed res judicata in any disability claim under the Illinois  | 
Pension Code arising out of the same medical condition;  | 
however, this sentence makes no change to the law set forth in  | 
Krohe v. City of Bloomington, 204 Ill.2d 392.
 | 
 The insurance carrier liable shall be the carrier whose  | 
policy was in
effect covering the employer liable on the last  | 
day of the exposure
rendering such employer liable in  | 
accordance with the provisions of this
Act.
 | 
 (e) "Disablement" means an impairment or partial  | 
impairment,
temporary or permanent, in the function of the  | 
body or any of the
members of the body, or the event of  | 
becoming disabled from earning full
wages at the work in which  | 
the employee was engaged when last exposed to
the hazards of  | 
the occupational disease by the employer from whom he or
she  | 
claims compensation, or equal wages in other suitable  | 
employment;
and "disability" means the state of being so  | 
incapacitated.
 | 
 (f) No compensation shall be payable for or on account of  | 
any
occupational disease unless disablement, as herein  | 
defined, occurs
within two years after the last day of the last  | 
exposure to the hazards
of the disease, except in cases of  | 
occupational disease caused by
berylliosis or by the  | 
inhalation of silica dust or asbestos dust and, in
such cases,  | 
 | 
within 3 years after the last day of the last exposure to
the  | 
hazards of such disease and except in the case of occupational
 | 
disease caused by exposure to radiological materials or  | 
equipment, and
in such case, within 25 years after the last day  | 
of last exposure to the
hazards of such disease.
 | 
 (g)(1) In any proceeding before the Commission in which  | 
the employee is a COVID-19 first responder or front-line  | 
worker as defined in this subsection, if the employee's injury  | 
or occupational disease resulted from exposure to and  | 
contraction of COVID-19, the exposure and contraction shall be  | 
rebuttably presumed to have arisen out of and in the course of  | 
the employee's first responder or front-line worker employment  | 
and the injury or occupational disease shall be rebuttably  | 
presumed to be causally connected to the hazards or exposures  | 
of the employee's first responder or front-line worker  | 
employment. | 
 (2) The term "COVID-19 first responder or front-line  | 
worker" means: all individuals employed as police, fire  | 
personnel, emergency medical technicians, or paramedics; all  | 
individuals employed and considered as first responders; all  | 
workers for health care providers, including nursing homes and  | 
rehabilitation facilities and home care workers; corrections  | 
officers; and any individuals employed by essential businesses  | 
and operations as defined in Executive Order 2020-10 dated  | 
March 20, 2020, as long as individuals employed by essential  | 
businesses and operations are required by their employment to  | 
 | 
encounter members of the general public or to work in  | 
employment locations of more than 15 employees. For purposes  | 
of this subsection only, an employee's home or place of  | 
residence is not a place of employment, except for home care  | 
workers. | 
 (3) The presumption created in this subsection may be  | 
rebutted by evidence, including, but not limited to, the  | 
following: | 
  (A) the employee was working from his or her home, on  | 
 leave from his or her employment, or some combination  | 
 thereof, for a period of 14 or more consecutive days  | 
 immediately prior to the employee's injury, occupational  | 
 disease, or period of incapacity resulted from exposure to  | 
 COVID-19; or | 
  (B) the employer was engaging in and applying to the  | 
 fullest extent possible or enforcing to the best of its  | 
 ability industry-specific workplace sanitation, social  | 
 distancing, and health and safety practices based on  | 
 updated guidance issued by the Centers for Disease Control  | 
 and Prevention or Illinois Department of Public Health or  | 
 was using a combination of administrative controls,  | 
 engineering controls, or personal protective equipment to  | 
 reduce the transmission of COVID-19 to all employees for  | 
 at least 14 consecutive days prior to the employee's  | 
 injury, occupational disease, or period of incapacity  | 
 resulting from exposure to COVID-19. For purposes of this  | 
 | 
 subsection, "updated" means the guidance in effect at  | 
 least 14 days prior to the COVID-19 diagnosis. For  | 
 purposes of this subsection, "personal protective  | 
 equipment" means industry-specific equipment worn to  | 
 minimize exposure to hazards that cause illnesses or  | 
 serious injuries, which may result from contact with  | 
 biological, chemical, radiological, physical, electrical,  | 
 mechanical, or other workplace hazards. "Personal  | 
 protective equipment" includes, but is not limited to,  | 
 items such as face coverings, gloves, safety glasses,  | 
 safety face shields, barriers, shoes, earplugs or muffs,  | 
 hard hats, respirators, coveralls, vests, and full body  | 
 suits; or | 
  (C) the employee was exposed to COVID-19 by an  | 
 alternate source. | 
 (4) The rebuttable presumption created in this subsection  | 
applies to all cases tried after June 5, 2020 (the effective  | 
date of Public Act 101-633) and in which the diagnosis of  | 
COVID-19 was made on or after March 9, 2020 and on or before  | 
June 30, 2021 (including the period between December 31, 2020  | 
and the effective date of this amendatory Act of the 101st  | 
General Assembly). | 
 (5) Under no circumstances shall any COVID-19 case  | 
increase or affect any employer's workers' compensation  | 
insurance experience rating or modification, but COVID-19  | 
costs may be included in determining overall State loss costs. | 
 | 
 (6) In order for the presumption created in this  | 
subsection to apply at trial, for COVID-19 diagnoses occurring  | 
on or before June 15, 2020, an employee must provide a  | 
confirmed medical diagnosis by a licensed medical practitioner  | 
or a positive laboratory test for COVID-19 or for COVID-19  | 
antibodies; for COVID-19 diagnoses occurring after June 15,  | 
2020, an employee must provide a positive laboratory test for  | 
COVID-19 or for COVID-19 antibodies. | 
 (7) The presumption created in this subsection does not  | 
apply if the employee's place of employment was solely the  | 
employee's home or residence for a period of 14 or more  | 
consecutive days immediately prior to the employee's injury,  | 
occupational disease, or period of incapacity resulted from  | 
exposure to COVID-19. | 
 (8) The date of injury or the beginning of the employee's  | 
occupational disease or period of disability is either the  | 
date that the employee was unable to work due to contraction of  | 
COVID-19 or was unable to work due to symptoms that were later  | 
diagnosed as COVID-19, whichever came first. | 
 (9) An employee who contracts COVID-19, but fails to  | 
establish the rebuttable presumption is not precluded from  | 
filing for compensation under this Act or under the Workers'  | 
Compensation Act. | 
 (10) To qualify for temporary total disability benefits  | 
under the presumption created in this subsection, the employee  | 
must be certified for or recertified for temporary disability. | 
 | 
 (11) An employer is entitled to a credit against any  | 
liability for temporary total disability due to an employee as  | 
a result of the employee contracting COVID-19 for (A) any sick  | 
leave benefits or extended salary benefits paid to the  | 
employee by the employer under Emergency Family Medical Leave  | 
Expansion Act, Emergency Paid Sick Leave Act of the Families  | 
First Coronavirus Response Act, or any other federal law, or  | 
(B) any other credit to which an employer is entitled under the  | 
Workers' Compensation Act.  | 
(Source: P.A. 101-633, eff. 6-5-20; 101-653, eff. 2-28-21.)
 | 
 Section 155. The Unemployment Insurance Act is amended by  | 
changing Sections 211.4 and 614 as follows:
 | 
 (820 ILCS 405/211.4) (from Ch. 48, par. 321.4)
 | 
 Sec. 211.4. A. Notwithstanding any other provision of this  | 
Act, the
term "employment" shall include service performed  | 
after December 31,
1977, by an individual in agricultural  | 
labor as defined in Section 214
when:
 | 
  1. Such service is performed for an employing unit  | 
 which (a) paid
cash wages of $20,000 or more during any  | 
 calendar quarter in either the
current or preceding  | 
 calendar year to an individual or individuals
employed in  | 
 agricultural labor (not taking into account service in
 | 
 agricultural labor performed before January 1, 1980, by a  | 
 noncitizen an alien
referred to in paragraph 2); or (b)  | 
 | 
 employed in agricultural labor (not
taking into account  | 
 service in agricultural labor performed before
January 1,  | 
 1980, by a noncitizen an alien referred to in paragraph 2)  | 
 10 or more
individuals within each of 20 or more calendar  | 
 weeks (but not
necessarily simultaneously and irrespective  | 
 of whether the same
individuals are or were employed in  | 
 each such week), whether or not such
weeks are or were  | 
 consecutive, within either the current or preceding
 | 
 calendar year.
 | 
  2. Such service is not performed in agricultural labor  | 
 if performed
before January 1, 1980 or on or after the  | 
 effective date of this amendatory Act of the 96th General  | 
 Assembly, by an individual who is a noncitizen an alien  | 
 admitted to the
United States to perform service in  | 
 agricultural labor pursuant to
Sections 214(c) and  | 
 101(a)(15)(H) of the Immigration and Nationality
Act.
 | 
 B. For the purposes of this Section, any individual who is  | 
a member
of a crew furnished by a crew leader to perform  | 
service in agricultural
labor for any other employing unit  | 
shall be treated as performing
service in the employ of such  | 
crew leader if (1) the leader holds a
valid certificate of  | 
registration under the Farm Labor Contractor
Registration Act  | 
of 1963, or substantially all the members of such crew
operate  | 
or maintain tractors, mechanized harvesting or crop dusting
 | 
equipment, or any other mechanized equipment, which is  | 
provided by the
crew leader; and (2) the service of such  | 
 | 
individual is not in employment
for such other employing unit  | 
within the meaning of subsections A and C
of Section 212, and  | 
of Section 213.
 | 
 C. For the purposes of this Section, any individual who is  | 
furnished
by a crew leader to perform service in agricultural  | 
labor for any other
employing unit, and who is not treated as  | 
performing service in the
employ of such crew leader under  | 
subsection B, shall be treated as
performing service in the  | 
employ of such other employing unit, and such
employing unit  | 
shall be treated as having paid cash wages to such
individual  | 
in an amount equal to the amount of cash wages paid to the
 | 
individual by the crew leader (either on his own behalf or on  | 
behalf of
such other employing unit) for the service in  | 
agricultural labor
performed for such other employing unit.
 | 
 D. For the purposes of this Section, the term "crew  | 
leader" means an
individual who (1) furnishes individuals to  | 
perform service in
agricultural labor for any other employing  | 
unit; (2) pays (either on his
own behalf or on behalf of such  | 
other employing unit) the individuals so
furnished by him for  | 
the service in agricultural labor performed by
them; and (3)  | 
has not entered into a written agreement with such other
 | 
employing unit under which an individual so furnished by him  | 
is
designated as performing services in the employ of such  | 
other employing
unit.
 | 
(Source: P.A. 96-1208, eff. 1-1-11.)
 | 
 | 
 (820 ILCS 405/614) (from Ch. 48, par. 444)
 | 
 Sec. 614. Noncitizens Non-resident aliens - ineligibility.  | 
A noncitizen An alien shall be ineligible
for benefits for any  | 
week which begins after December 31, 1977, on the basis
of  | 
wages for services performed by such noncitizen alien, unless  | 
the noncitizen alien was an individual
who was lawfully  | 
admitted for permanent residence at the
time such services  | 
were performed or otherwise was permanently
residing in the  | 
United States under color of law at the time such
services were  | 
performed (including a noncitizen an alien who
was lawfully  | 
present in the United States as a result of the application
of  | 
the provisions of Section 212(d) (5) of the Immigration
and  | 
Nationality Act); provided, that any modifications of the  | 
provisions
of Section 3304(a) (14) of the Federal Unemployment  | 
Tax Act which
 | 
  A. Specify other conditions or another effective date  | 
 than stated herein
for ineligibility for benefits based on  | 
 wages for services performed by noncitizens aliens, and
 | 
  B. Are required to be implemented under this Act as a  | 
 condition for the
Federal approval of this Act requisite  | 
 to the full tax credit against the
tax imposed by the  | 
 Federal Act for contributions paid by employers pursuant
 | 
 to this Act, shall be applicable under the provisions of  | 
 this Section.
 | 
 Any data or information required of individuals who claim  | 
benefits for
the purpose of determining whether benefits are  | 
 | 
not payable to them pursuant
to this Section shall be  | 
uniformly required of all individuals who claim benefits.
 | 
 If an individual would otherwise be eligible for benefits,  | 
no determination
shall be made that such individual is  | 
ineligible for benefits pursuant to
this Section because of  | 
the individual's noncitizen alien status, except upon a  | 
preponderance
of the evidence.
 | 
(Source: P.A. 86-3; 87-122.)
 | 
 Section 995. No acceleration or delay. Where this Act  | 
makes changes in a statute that is represented in this Act by  | 
text that is not yet or no longer in effect (for example, a  | 
Section represented by multiple versions), the use of that  | 
text does not accelerate or delay the taking effect of (i) the  | 
changes made by this Act or (ii) provisions derived from any  | 
other Public Act.
 |