(110 ILCS 992/20-40)
    Sec. 20-40. Additional investigation and examination authority. In addition to any authority allowed under this Act, the Secretary shall have the authority to conduct investigations and examinations as follows:
        (1) For purposes of initial licensing, license renewal, license suspension, license
    
conditioning, license revocation or termination, or general or specific inquiry or investigation to determine compliance with this Act, the Secretary shall have the authority to access, receive, and use any books, accounts, records, files, documents, information, or evidence, including, but not limited to, the following:
            (A) criminal, civil, and administrative history information, including
        
nonconviction data as specified in the Criminal Code of 2012;
            (B) personal history and experience information, including independent credit
        
reports obtained from a consumer reporting agency described in Section 603(p) of the federal Fair Credit Reporting Act; and
            (C) any other documents, information, or evidence the Secretary deems relevant
        
to the inquiry or investigation, regardless of the location, possession, control, or custody of the documents, information, or evidence.
        (2) For the purposes of investigating violations or complaints arising under this Act or
    
for the purposes of examination, the Secretary may review, investigate, or examine any licensee, individual, or person subject to this Act as often as necessary in order to carry out the purposes of this Act. The Secretary may direct, subpoena, or order the attendance of and examine under oath all persons whose testimony may be required about the loans or the business or subject matter of any such examination or investigation, and may direct, subpoena, or order the person to produce books, accounts, records, files, and any other documents the Secretary deems relevant to the inquiry.
        (3) Each licensee, individual, or person subject to this Act shall make available to the
    
Secretary upon request the books and records relating to the operations of the licensee, individual, or person subject to this Act. The Secretary shall have access to those books and records and interview the officers, principals, employees, independent contractors, agents, and customers of the licensee, individual, or person subject to this Act concerning their business.
        (4) Each licensee, individual, or person subject to this Act shall make or compile
    
reports or prepare other information as directed by the Secretary in order to carry out the purposes of this Section, including, but not limited to:
            (A) accounting compilations;
            (B) information lists and data concerning loan transactions in a format
        
prescribed by the Secretary; or
            (C) other information deemed necessary to carry out the purposes of this
        
Section.
        (5) In making any examination or investigation authorized by this Act, the Secretary may
    
control access to any documents and records of the licensee or person under examination or investigation. The Secretary may take possession of the documents and records or place a person in exclusive charge of the documents and records in the place where they are usually kept. During the period of control, no person shall remove or attempt to remove any of the documents or records, except pursuant to a court order or with the consent of the Secretary. Unless the Secretary has reasonable grounds to believe the documents or records of the licensee have been, or are at risk of being altered or destroyed for purposes of concealing a violation of this Act, the licensee or owner of the documents and records shall have access to the documents or records as necessary to conduct its ordinary business affairs.
        (6) In order to carry out the purposes of this Section, the Secretary may:
            (A) retain attorneys, accountants, or other professionals and specialists as
        
examiners, auditors, or investigators to conduct or assist in the conduct of examinations or investigations;
            (B) enter into agreements or relationships with other government officials or
        
regulatory associations in order to improve efficiencies and reduce regulatory burden by sharing resources, standardized or uniform methods or procedures, and documents, records, information, or evidence obtained under this Section;
            (C) use, hire, contract, or employ public or privately available analytical
        
systems, methods, or software to examine or investigate the licensee, individual, or person subject to this Act;
            (D) accept and rely on examination or investigation reports made by other
        
government officials, within or outside this State; or
            (E) accept audit reports made by an independent certified public accountant for
        
the licensee, individual, or person subject to this Act in the course of that part of the examination covering the same general subject matter as the audit and may incorporate the audit report in the report of the examination, report of investigation, or other writing of the Secretary.
        (7) The authority of this Section shall remain in effect, whether such a licensee,
    
individual, or person subject to this Act acts or claims to act under any licensing or registration law of this State or claims to act without the authority.
        (8) No licensee, individual, or person subject to investigation or examination under
    
this Section may knowingly withhold, abstract, remove, mutilate, destroy, or secrete any books, records, computer records, or other information.
(Source: P.A. 100-540, eff. 12-31-18.)