Public Act 103-0309
 
HB2395 EnrolledLRB103 28370 AMQ 54750 b

    AN ACT concerning regulation.
 
    Be it enacted by the People of the State of Illinois,
represented in the General Assembly:
 
    Section 5. The Regulatory Sunset Act is amended by
changing Sections 4.34 and 4.39 as follows:
 
    (5 ILCS 80/4.34)
    Sec. 4.34. Acts and Section repealed on January 1, 2024.
The following Acts and Section of an Act are repealed on
January 1, 2024:
        The Crematory Regulation Act.
        The Electrologist Licensing Act.
        The Illinois Certified Shorthand Reporters Act of
    1984.
        The Illinois Occupational Therapy Practice Act.
        The Illinois Public Accounting Act.
        The Private Detective, Private Alarm, Private
    Security, Fingerprint Vendor, and Locksmith Act of 2004.
        The Registered Surgical Assistant and Registered
    Surgical Technologist Title Protection Act.
        Section 2.5 of the Illinois Plumbing License Law.
        The Veterinary Medicine and Surgery Practice Act of
    2004.
(Source: P.A. 102-291, eff. 8-6-21.)
 
    (5 ILCS 80/4.39)
    Sec. 4.39. Acts repealed on January 1, 2029 and December
31, 2029.
    (a) The following Act is repealed on January 1, 2029:
        The Electrologist Licensing Act.
        The Environmental Health Practitioner Licensing Act.
        The Illinois Public Accounting Act.
        The Private Detective, Private Alarm, Private
    Security, Fingerprint Vendor, and Locksmith Act of 2004.
        Section 2.5 of the Illinois Plumbing License Law.
        The Veterinary Medicine and Surgery Practice Act of
    2004.
    (b) The following Act is repealed on December 31, 2029:
        The Structural Pest Control Act.
(Source: P.A. 100-716, eff. 8-3-18; 100-796, eff. 8-10-18;
101-81, eff. 7-12-19.)
 
    Section 10. The Veterinary Medicine and Surgery Practice
Act of 2004 is amended by changing Sections 3, 4, 8, 10, 10.5,
11, 12, 14.1, 25, 25.2, 25.6, 25.7, 25.9, 25.15, 25.17, and 27
and by adding Sections 3.5 and 4.5 as follows:
 
    (225 ILCS 115/3)  (from Ch. 111, par. 7003)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 3. Definitions. The following terms have the meanings
indicated, unless the context requires otherwise:
    "Accredited college of veterinary medicine" means a
veterinary college, school, or division of a university or
college that offers the degree of Doctor of Veterinary
Medicine or its equivalent and that is accredited by the
Council on Education of the American Veterinary Medical
Association (AVMA).
    "Address of record" means the designated address recorded
by the Department in the applicant's or licensee's application
file or license file as maintained by the Department's
licensure maintenance unit. It is the duty of the applicant or
licensee to inform the Department of any change of address,
and those changes must be made either through the Department's
website or by contacting the Department.
    "Accredited program in veterinary technology" means any
post-secondary educational program that is accredited by the
AVMA's Committee on Veterinary Technician Education and
Activities or any veterinary technician program that is
recognized as its equivalent by the AVMA's Committee on
Veterinary Technician Education and Activities.
    "Animal" means any animal, vertebrate or invertebrate,
other than a human.
    "Board" means the Veterinary Licensing and Disciplinary
Board.
    "Certified veterinary technician" means a person who is
validly and currently licensed to practice veterinary
technology in this State.
    "Client" means an entity, person, group, or corporation
that has entered into an agreement with a veterinarian for the
purposes of obtaining veterinary medical services.
    "Complementary, alternative, and integrative therapies"
means a heterogeneous group of diagnostic and therapeutic
philosophies and practices, which at the time they are
performed may differ from current scientific knowledge, or
whose theoretical basis and techniques may diverge from
veterinary medicine routinely taught in accredited veterinary
medical colleges, or both. "Complementary, alternative, and
integrative therapies" include, but are not limited to,
veterinary acupuncture, acutherapy, and acupressure;
veterinary homeopathy; veterinary manual or manipulative
therapy or therapy based on techniques practiced in
osteopathy, chiropractic medicine, or physical medicine and
therapy; veterinary nutraceutical therapy; veterinary
phytotherapy; and other therapies as defined by rule.
    "Consultation" means when a veterinarian receives advice
in person, telephonically, electronically, or by any other
method of communication from a veterinarian licensed in this
or any other state or other person whose expertise, in the
opinion of the veterinarian, would benefit a patient. Under
any circumstance, the responsibility for the welfare of the
patient remains with the veterinarian receiving consultation.
    "Department" means the Department of Financial and
Professional Regulation.
    "Direct supervision" means the supervising veterinarian is
readily available on the premises where the animal is being
treated.
    "Email address of record" means the designated email
address recorded by the Department in the applicant's
application file or the licensee's license file, as maintained
by the Department's licensure maintenance unit.
    "Immediate supervision" means the supervising veterinarian
is in the immediate area, within audible and visual range of
the animal patient and the person treating the patient.
    "Impaired veterinarian" means a veterinarian who is unable
to practice veterinary medicine with reasonable skill and
safety because of a physical or mental disability as evidenced
by a written determination or written consent based on
clinical evidence, including deterioration through the aging
process, loss of motor skills, or abuse of drugs or alcohol of
sufficient degree to diminish a person's ability to deliver
competent patient care.
    "Indirect supervision" means the supervising veterinarian
need not be on the premises, but has given either written or
oral instructions for the treatment of the animal and is
available by telephone or other form of communication.
    "Licensed veterinarian" means a person who is validly and
currently licensed to practice veterinary medicine in this
State.
    "Patient" means an animal or group of animals that is
examined or treated by a veterinarian.
    "Person" means an individual, firm, partnership (general,
limited, or limited liability), association, joint venture,
cooperative, corporation, limited liability company, or any
other group or combination acting in concert, whether or not
acting as a principal, partner, member, trustee, fiduciary,
receiver, or any other kind of legal or personal
representative, or as the successor in interest, assignee,
agent, factor, servant, employee, director, officer, or any
other representative of such person.
    "Practice of veterinary medicine" means to diagnose,
prognose, treat, correct, change, alleviate, or prevent animal
disease, illness, pain, deformity, defect, injury, or other
physical, dental, or mental conditions by any method or mode,
such as telemedicine, ; including the performance of one or
more of the following:
        (1) Prescribing, dispensing, administering, applying,
    or ordering the administration of any drug, medicine,
    biologic, apparatus, anesthetic, or other therapeutic or
    diagnostic substance, or medical or surgical technique.
        (2) (Blank).
        (3) Performing upon an animal a surgical or dental
    operation.
        (3.5) Performing upon an animal complementary,
    alternative, or integrative therapy.
        (4) Performing upon an animal any manual or mechanical
    procedure for reproductive management, including the
    diagnosis or treatment of pregnancy, sterility, or
    infertility.
        (4.5) The rendering of advice or recommendation by any
    means, including telephonic and other electronic
    communications, with regard to the performing upon an
    animal any manual or mechanical procedure for reproductive
    management, including the diagnosis or treatment of
    pregnancy, sterility, or infertility.
        (5) Determining the health and fitness of an animal.
        (6) Representing oneself, directly or indirectly, as
    engaging in the practice of veterinary medicine.
        (7) Using any word, letters, or title under such
    circumstances as to induce the belief that the person
    using them is qualified to engage in the practice of
    veterinary medicine or any of its branches. Such use shall
    be prima facie evidence of the intention to represent
    oneself as engaging in the practice of veterinary
    medicine.
    "Secretary" means the Secretary of Financial and
Professional Regulation.
    "Supervising veterinarian" means a veterinarian who
assumes responsibility for the professional care given to an
animal by a person working under his or her direction in either
an immediate, direct, or indirect supervision arrangement. The
supervising veterinarian must have examined the animal at such
time as acceptable veterinary medical practices requires,
consistent with the particular delegated animal health care
task.
    "Therapeutic" means the treatment, control, and prevention
of disease.
    "Veterinarian" means a person who is validly and currently
licensed to practice veterinary medicine in this State.
    "Veterinarian-client-patient relationship" means that all
of the following conditions have been met:
        (1) The veterinarian has assumed the responsibility
    for making clinical judgments regarding the health of an
    animal and the need for medical treatment and the client,
    owner, or other caretaker has agreed to follow the
    instructions of the veterinarian;
        (2) There is sufficient knowledge of an animal by the
    veterinarian to initiate at least a general or preliminary
    diagnosis of the medical condition of the animal. This
    means that the veterinarian has recently seen and is
    personally acquainted with the keeping and care of the
    animal by virtue of an in-person examination of the animal
    or by medically appropriate and timely visits to the
    premises where the animal is kept, or the veterinarian has
    access to the animal patient's records and has been
    designated by the veterinarian with the prior relationship
    to provide reasonable and appropriate medical care if the
    veterinarian with the prior relationship he or she is
    unavailable; and
        (3) The practicing veterinarian is readily available
    for follow-up in case of adverse reactions or failure of
    the treatment regimen or, if unavailable, has designated
    another available veterinarian who has access to the
    animal patient's records to provide reasonable and
    appropriate medical care.
    "Veterinarian-client-patient relationship" does not mean a
relationship solely based on telephonic or other electronic
communications.
    "Veterinary medicine" means all branches and specialties
included within the practice of veterinary medicine.
    "Veterinary premises" means any premises or facility where
the practice of veterinary medicine occurs, including, but not
limited to, a mobile clinic, outpatient clinic, satellite
clinic, or veterinary hospital or clinic. "Veterinary
premises" does not mean the premises of a veterinary client,
research facility, a federal military base, or an accredited
college of veterinary medicine.
    "Veterinary prescription drugs" means those drugs
restricted to use by or on the order of a licensed veterinarian
in accordance with Section 503(f) of the Federal Food, Drug,
and Cosmetic Act (21 U.S.C. 353).
    "Veterinary specialist" means a veterinarian: (1) who has
been awarded and maintains certification from a veterinary
specialty organization recognized by the American Board of
Veterinary Specialties; (2) who has been awarded and maintains
certification from a veterinary certifying organization whose
standards have been found by the Board to be equivalent to or
more stringent than those of American Board of Veterinary
Specialties-recognized veterinary specialty organizations; or
(3) who otherwise meets criteria that may be established by
the Board to support a claim to be a veterinary specialist that
a veterinarian is a diplomate within an AVMA-recognized
veterinary specialty organization.
    "Veterinary technology" means the performance of services
within the field of veterinary medicine by a person who, for
compensation or personal profit, is employed by a licensed
veterinarian to perform duties that require an understanding
of veterinary medicine necessary to carry out the orders of
the veterinarian. Those services, however, shall not include
diagnosing, prognosing, prescribing writing prescriptions, or
surgery.
(Source: P.A. 98-339, eff. 12-31-13.)
 
    (225 ILCS 115/3.5 new)
    Sec. 3.5. Address of record; email address of record. All
applicants and licensees shall:
        (1) provide a valid address and email address to the
    Department, which shall serve as the address of record and
    email address of record, respectively, at the time of
    application for licensure or renewal of a license; and
        (2) inform the Department of any change of address of
    record or email address of record within 14 days after
    such change either through the Department's website or by
    contacting the Department's licensure maintenance unit.
 
    (225 ILCS 115/4)  (from Ch. 111, par. 7004)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 4. Exemptions. Nothing in this Act shall apply to any
of the following:
        (1) Veterinarians employed by the federal or State
    government while engaged in their official duties.
        (2) Licensed veterinarians from other states who are
    invited to Illinois for consultation by a veterinarian
    licensed in Illinois.
        (3) Veterinarians employed by colleges or universities
    while engaged in the performance of their official duties,
    or faculty engaged in animal husbandry or animal
    management programs of colleges or universities.
        (3.5) A veterinarian or veterinary technician from
    another state or country who (A) is not licensed under
    this Act; (B) is currently licensed as a veterinarian or
    veterinary technician in another state or country, or
    otherwise exempt from licensure in the other state; (C) is
    an invited guest of a professional veterinary association,
    veterinary training program, or continuing education
    provider approved by the Department; and (D) engages in
    professional education through lectures, clinics, or
    demonstrations.
        (4) A veterinarian employed by an accredited college
    of veterinary medicine providing assistance requested by a
    veterinarian licensed in Illinois, acting with informed
    consent from the client and acting under the direct or
    indirect supervision and control of the licensed
    veterinarian. Providing assistance involves hands-on
    active participation in the treatment and care of the
    patient. The licensed veterinarian shall maintain
    responsibility for the veterinarian-client-patient
    relationship.
        (5) Veterinary students in an accredited college of
    veterinary medicine, university, department of a
    university, or other institution of veterinary medicine
    and surgery engaged in duties assigned by their
    instructors or working under the immediate or direct
    supervision of a licensed veterinarian.
        (5.5) Students of an accredited program in veterinary
    technology performing veterinary technology duties or
    actions assigned by instructors or working under the
    immediate or direct supervision of a licensed
    veterinarian.
        (6) Any person engaged in bona fide scientific
    research which requires the use of animals.
        (7) An owner of livestock and any of the owner's
    employees or the owner and employees of a service and care
    provider of livestock caring for and treating livestock
    belonging to the owner or under a provider's care,
    including but not limited to, the performance of husbandry
    and livestock management practices such as dehorning,
    castration, emasculation, or docking of cattle, horses,
    sheep, goats, and swine, artificial insemination, and
    drawing of semen. Nor shall this Act be construed to
    prohibit any person from administering in a humane manner
    medicinal or surgical treatment to any livestock in the
    care of such person. However, any such services shall
    comply with the Humane Care for Animals Act.
        (8) An owner of an animal, or an agent of the owner
    acting with the owner's approval, in caring for, training,
    or treating an animal belonging to the owner, so long as
    that individual or agent does not represent himself or
    herself as a veterinarian or use any title associated with
    the practice of veterinary medicine or surgery or
    diagnose, prescribe drugs, or perform surgery. The agent
    shall provide the owner with a written statement
    summarizing the nature of the services provided and obtain
    a signed acknowledgment from the owner that they accept
    the services provided. The services shall comply with the
    Humane Care for Animals Act. The provisions of this item
    (8) do not apply to a person who is exempt under item (7).
        (9) A member in good standing of another licensed or
    regulated profession within any state or a member of an
    organization or group approved by the Department by rule
    providing assistance that is requested in writing by a
    veterinarian licensed in this State acting within a
    veterinarian-client-patient relationship and with
    informed consent from the client and the member is acting
    under the immediate, direct, or indirect supervision and
    control of the licensed veterinarian. Providing assistance
    involves hands-on active participation in the treatment
    and care of the patient, as defined by rule. The licensed
    veterinarian shall maintain responsibility for the
    veterinarian-client-patient relationship, but shall be
    immune from liability, except for willful and wanton
    conduct, in any civil or criminal action if a member
    providing assistance does not meet the requirements of
    this item (9).
        (10) A graduate of a non-accredited college of
    veterinary medicine who is in the process of obtaining a
    certificate of educational equivalence and is performing
    duties or actions assigned by instructors in an approved
    college of veterinary medicine.
        (10.5) A veterinarian who is enrolled in a
    postgraduate instructional program in an accredited
    college of veterinary medicine performing duties or
    actions assigned by instructors or working under the
    immediate or direct supervision of a licensed veterinarian
    or a faculty member of the College of Veterinary Medicine
    at the University of Illinois.
        (11) A certified euthanasia technician who is
    authorized to perform euthanasia in the course and scope
    of his or her employment only as permitted by the Humane
    Euthanasia in Animal Shelters Act.
        (12) A person who, without expectation of
    compensation, provides emergency veterinary care in an
    emergency or disaster situation so long as the person he
    or she does not represent oneself himself or herself as a
    veterinarian or use a title or degree pertaining to the
    practice of veterinary medicine and surgery.
        (13) Any certified veterinary technician or other
    employee of a licensed veterinarian performing permitted
    duties other than diagnosis, prognosis, prescribing
    prescription, or surgery under the appropriate direction
    and supervision of the veterinarian, who shall be
    responsible for the performance of the employee.
        (13.5) Any pharmacist licensed in the State, merchant,
    or manufacturer selling at a his or her regular place of
    business medicines, feed, appliances, or other products
    used in the prevention or treatment of animal diseases as
    permitted by law and provided that the services provided
    he or she provides do not include diagnosing, prognosing,
    prescribing writing prescriptions, or surgery.
        (14) An approved humane investigator regulated under
    the Humane Care for Animals Act or employee of a shelter
    licensed under the Animal Welfare Act, working under the
    indirect supervision of a licensed veterinarian.
        (15) An individual providing equine dentistry services
    requested by a veterinarian licensed to practice in this
    State, an owner, or an owner's agent. For the purposes of
    this item (15), "equine dentistry services" means floating
    teeth without the use of drugs or extraction.
        (15.5) In the event of an emergency or disaster, a
    veterinarian or veterinary technician not licensed in this
    State who (A) is responding to a request for assistance
    from the Illinois Department of Agriculture, the Illinois
    Department of Public Health, the Illinois Emergency
    Management Agency, or other State agency as determined by
    the Department; (B) is licensed and in good standing in
    another state; and (C) has been granted a temporary waiver
    from licensure by the Department.
        (16) Private treaty sale of animals unless otherwise
    provided by law.
(Source: P.A. 98-339, eff. 12-31-13.)
 
    (225 ILCS 115/4.5 new)
    Sec. 4.5. Telemedicine. Telemedicine occurs when either
the animal who is receiving the care is located in the State
when receiving telemedicine treatment or the veterinarian
providing the care to the animal is located in the State when
providing telemedicine treatment, pursuant to the provisions
of Section 5. Telemedicine may only be used when a
veterinarian has an established veterinarian-client-patient
relationship. Telemedicine may be used in the following
circumstance:
        (1) when a physical examination of the patient has
    been conducted within one year; and
        (2) if it is possible to make a diagnosis and create a
    treatment plan without a recent physical examination based
    on professional standards of care.
    A veterinarian shall not substitute telehealth,
teleadvice, telemedicine, or teletriage when a physical
examination is warranted or necessary for an accurate
diagnosis of any medical condition or creation of an
appropriate treatment plan. All minimum standards of practice
and provisions under this Act and rules shall be maintained.
    A veterinarian shall ensure that any technology used in
the provision of telemedicine is sufficient and of appropriate
quality to provide accurate remote assessment and diagnosis. A
veterinarian shall meet all recordkeeping requirements
pursuant to subsection (c) of Section 25.17.
    A supervising veterinarian may delegate telemedicine
services to a certified veterinary technician who is acting
under direct or indirect supervision and in accordance with
the Act and rules. A valid veterinarian-client-patient
relationship established by a physical examination conducted
by the supervising veterinarian must exist for the certified
veterinary technician to provide delegated telemedicine
services.
    A veterinarian and a certified veterinary technician
providing telemedicine services shall, at the time of service,
provide the veterinarian or certified veterinary technician's
contact information, including the veterinarian or certified
veterinary technician's full name, to the client or practice
using the service. All telemedicine records shall be provided
to the client upon request.
 
    (225 ILCS 115/8)  (from Ch. 111, par. 7008)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 8. Qualifications. A person is qualified to receive a
license if the applicant he or she: (1) is of good moral
character; (2) has graduated from an accredited college or
school of veterinary medicine; and (3) has passed the
examination authorized by the Department to determine fitness
to hold a license.
    Applicants for licensure from non-accredited veterinary
schools are required to successfully complete a program of
educational equivalency as established by rule. At a minimum,
this program shall include all of the following:
        (1) A certified transcript indicating graduation from
    such college.
        (2) Successful completion of a communication ability
    examination designed to assess communication skills,
    including a command of the English language.
        (3) Successful completion of an examination or
    assessment mechanism designed to evaluate educational
    equivalence, including both preclinical and clinical
    competencies.
        (4) Any other reasonable assessment mechanism designed
    to ensure an applicant possesses the educational
    background necessary to protect the public health and
    safety.
    Successful completion of the criteria set forth in this
Section shall establish education equivalence as one of the
criteria for licensure set forth in this Act. Applicants under
this Section must also meet all other statutory criteria for
licensure prior to the issuance of any such license, including
graduation from veterinary school.
    A graduate of a non-approved veterinary school who was
issued a work permit by the Department before the effective
date of this amendatory Act of the 93rd General Assembly may
continue to work under the direct supervision of a licensed
veterinarian until the expiration of his or her permit.
    In determining moral character under this Section, the
Department may take into consideration any felony conviction
of the applicant, but such a conviction shall not operate as a
bar to obtaining a license. The Department may also request
the applicant to submit and may consider as evidence of moral
character, endorsements from 2 individuals licensed under this
Act.
(Source: P.A. 93-281, eff. 12-31-03.)
 
    (225 ILCS 115/10)  (from Ch. 111, par. 7010)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 10. Application for licensure. A person who desires
to obtain a license as a veterinarian or a certificate as a
veterinary technician shall apply to the Department on forms
provided by the Department. Each application shall be
accompanied by proof of qualifications and shall be verified
by the applicant under oath and be accompanied by the required
fee.
    If an applicant neglects, fails, or refuses to take an
examination or fails to pass an examination for a license or
otherwise fails to complete the application process under this
Act within 3 years after filing the applicant's application,
the application shall be denied. However, such applicant may
make a new application for examination accompanied by the
required fee and must furnish proof of meeting qualifications
for examination in effect at the time of new application.
(Source: P.A. 88-424.)
 
    (225 ILCS 115/10.5)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 10.5. Social Security Number or individual taxpayer
identification number on license application. In addition to
any other information required to be contained in the
application, every application for an original license under
this Act shall include the applicant's Social Security Number
or individual taxpayer identification number, which shall be
retained in the agency's records pertaining to the license. As
soon as practical, the Department shall assign a customer's
identification number to each applicant for a license.
    Every application for a renewal or restored license shall
require the applicant's customer identification number.
(Source: P.A. 97-400, eff. 1-1-12.)
 
    (225 ILCS 115/11)  (from Ch. 111, par. 7011)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 11. Practice pending licensure. A person holding the
degree of Doctor of Veterinary Medicine, or its equivalent,
from an accredited college of veterinary medicine, and who has
applied in writing to the Department for a license to practice
veterinary medicine and surgery in any of its branches, and
who has fulfilled the requirements of Section 8 of this Act,
with the exception of receipt of notification of his or her
examination results, may practice under the direct supervision
of a veterinarian who is licensed in this State, until: (1) the
applicant has been notified of his or her failure to pass the
examination authorized by the Department; (2) the applicant
has withdrawn his or her application; (3) the applicant has
received a license from the Department after successfully
passing the examination authorized by the Department; or (4)
the applicant has been notified by the Department to cease and
desist from practicing.
    The applicant shall perform only those acts that may be
prescribed by and incidental to his or her employment and
those acts shall be performed under the direction of a
supervising veterinarian who is licensed in this State. The
applicant shall not be entitled to otherwise engage in the
practice of veterinary medicine until fully licensed in this
State.
    The Department shall immediately notify, by certified
mail, the supervising veterinarian employing the applicant and
the applicant that the applicant shall immediately cease and
desist from practicing if the applicant (1) practices outside
his or her employment under a licensed veterinarian; (2)
violates any provision of this Act; or (3) becomes ineligible
for licensure under this Act.
(Source: P.A. 96-571, eff. 8-18-09; 96-638, eff. 8-24-09;
96-1000, eff. 7-2-10.)
 
    (225 ILCS 115/12)  (from Ch. 111, par. 7012)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 12. Renewal and inactive status; restoration;
military service.
    (a) The expiration date and renewal period for each
license or certificate shall be set by rule.
    (b) A licensee who has permitted his or her license to
expire or who has had his or her license on inactive status may
have the license restored by making application to the
Department by filing proof acceptable to the Department of his
or her fitness to have the license restored and by paying the
required fees. Proof of fitness may include sworn evidence
certifying to active lawful practice in another jurisdiction.
If the licensee has not maintained an active practice in
another jurisdiction satisfactory to the Department, the
Department shall determine, by an evaluation program
established by rule, his or her fitness for restoration of the
license and shall establish procedures and requirements for
restoration.
    (c) A licensee whose license expired while the licensee he
or she was (1) in federal service on active duty with the Armed
Forces of the United States or the State Militia called into
service or training or (2) in training or education under the
supervision of the United States before induction into the
military service, may have the license restored without paying
any lapsed renewal fees if within 2 years after honorable
termination of the service, training, or education the
licensee he or she furnishes the Department with satisfactory
evidence to the effect that the licensee he or she has been so
engaged and that the licensee's his or her service, training,
or education has been so terminated.
    (d) Any licensee who notifies the Department in writing on
the prescribed form may place the licensee's his or her license
or certification on an inactive status and shall, subject to
rule, be exempt from payment of the renewal fee until the
licensee he or she notifies the Department in writing of the
licensee's his or her intention to resume active status.
    (e) Any veterinarian or certified veterinary technician
requesting restoration from inactive or expired status shall
be required to complete the continuing education requirements
for a single license or certificate renewal period, pursuant
to rule, and pay the current renewal fee to restore the renewal
applicant's his or her license or certification as provided in
this Act.
    (f) Any licensee whose license is in inactive, expired, or
suspended status shall not practice veterinary medicine and
surgery in this State.
(Source: P.A. 98-339, eff. 12-31-13.)
 
    (225 ILCS 115/14.1)  (from Ch. 111, par. 7014.1)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 14.1. Returned checks; fines. Any person who delivers
a check or other payment to the Department that is returned to
the Department unpaid by the financial institution upon which
it is drawn shall pay to the Department, in addition to the
amount already owed to the Department, a fine of $50. The fines
imposed by this Section are in addition to any other
discipline provided under this Act for unlicensed practice or
practice on a nonrenewed license or certificate. The
Department shall notify the person that payment of fees and
fines shall be paid to the Department by certified check or
money order within 30 calendar days of the notification. If,
after the expiration of 30 days from the date of the
notification, the person has failed to submit the necessary
remittance, the Department shall automatically terminate the
license or certificate or deny the application, without
hearing. If, after termination or denial, the person seeks a
license or certificate, the person he or she shall apply to the
Department for restoration or issuance of the license or
certificate and pay all fees and fines due to the Department.
The Department may establish a fee for the processing of an
application for restoration of a license or certificate to pay
all expenses of processing this application. The Secretary may
waive the fines due under this Section in individual cases
where the Secretary finds that the fines would be unreasonable
or unnecessarily burdensome.
(Source: P.A. 96-1322, eff. 7-27-10.)
 
    (225 ILCS 115/25)  (from Ch. 111, par. 7025)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 25. Disciplinary actions.
    1. The Department may refuse to issue or renew, or may
revoke, suspend, place on probation, reprimand, or take other
disciplinary or non-disciplinary action as the Department may
deem appropriate, including imposing fines not to exceed
$10,000 for each violation and the assessment of costs as
provided for in Section 25.3 of this Act, with regard to any
license or certificate for any one or combination of the
following:
        A. Material misstatement in furnishing information to
    the Department.
        B. Violations of this Act, or of the rules adopted
    pursuant to this Act.
        C. Conviction by plea of guilty or nolo contendere,
    finding of guilt, jury verdict, or entry of judgment or by
    sentencing of any crime, including, but not limited to,
    convictions, preceding sentences of supervision,
    conditional discharge, or first offender probation, under
    the laws of any jurisdiction of the United States that is
    (i) a felony or (ii) a misdemeanor, an essential element
    of which is dishonesty, or that is directly related to the
    practice of the profession.
        D. Fraud or any misrepresentation in applying for or
    procuring a license under this Act or in connection with
    applying for renewal of a license under this Act.
        E. Professional incompetence.
        F. Malpractice.
        G. Aiding or assisting another person in violating any
    provision of this Act or rules.
        H. Failing, within 60 days, to provide information in
    response to a written request made by the Department.
        I. Engaging in dishonorable, unethical, or
    unprofessional conduct of a character likely to deceive,
    defraud, or harm the public.
        J. Habitual or excessive use or abuse of drugs defined
    in law as controlled substances, alcohol, or any other
    substance that results in the inability to practice with
    reasonable judgment, skill, or safety.
        K. Discipline by another state, unit of government,
    government agency, District of Columbia, territory, or
    foreign nation, if at least one of the grounds for the
    discipline is the same or substantially equivalent to
    those set forth herein.
        L. Charging for professional services not rendered,
    including filing false statements for the collection of
    fees for which services are not rendered.
        M. A finding by the Board that the licensee or
    certificate holder, after having his license or
    certificate placed on probationary status, has violated
    the terms of probation.
        N. Willfully making or filing false records or reports
    in his practice, including but not limited to false
    records filed with State agencies or departments.
        O. Physical illness, including but not limited to,
    deterioration through the aging process, or loss of motor
    skill which results in the inability to practice under
    this Act with reasonable judgment, skill, or safety.
        P. Solicitation of professional services other than
    permitted advertising.
        Q. Allowing one's license under this Act to be used by
    an unlicensed person in violation of this Act.
        R. Conviction of or cash compromise of a charge or
    violation of the Harrison Act or the Illinois Controlled
    Substances Act, regulating narcotics.
        S. Fraud or dishonesty in applying, treating, or
    reporting on tuberculin or other biological tests.
        T. Failing to report, as required by law, or making
    false report of any contagious or infectious diseases.
        U. Fraudulent use or misuse of any health certificate,
    shipping certificate, brand inspection certificate, or
    other blank forms used in practice that might lead to the
    dissemination of disease or the transportation of diseased
    animals dead or alive; or dilatory methods, willful
    neglect, or misrepresentation in the inspection of milk,
    meat, poultry, and the by-products thereof.
        V. Conviction on a charge of cruelty to animals.
        W. Failure to keep one's premises and all equipment
    therein in a clean and sanitary condition.
        X. Failure to provide satisfactory proof of having
    participated in approved continuing education programs.
        Y. Mental illness or disability that results in the
    inability to practice under this Act with reasonable
    judgment, skill, or safety.
        Z. (Blank). Conviction by any court of competent
    jurisdiction, either within or outside this State, of any
    violation of any law governing the practice of veterinary
    medicine, if the Department determines, after
    investigation, that the person has not been sufficiently
    rehabilitated to warrant the public trust.
        AA. Promotion of the sale of drugs, devices,
    appliances, or goods provided for a patient in any manner
    to exploit the client for financial gain of the
    veterinarian.
        BB. Gross, willful, or continued overcharging for
    professional services.
        CC. Practicing under a false or, except as provided by
    law, an assumed name.
        DD. Violating state or federal laws or regulations
    relating to controlled substances or legend drugs.
        EE. Cheating on or attempting to subvert the licensing
    examination administered under this Act.
        FF. Using, prescribing, or selling a prescription drug
    or the extra-label use of a prescription drug by any means
    in the absence of a valid veterinarian-client-patient
    relationship.
        GG. Failing to report a case of suspected aggravated
    cruelty, torture, or animal fighting pursuant to Section
    3.07 or 4.01 of the Humane Care for Animals Act or Section
    26-5 or 48-1 of the Criminal Code of 1961 or the Criminal
    Code of 2012.
    All fines imposed under this Section shall be paid within
60 days after the effective date of the order imposing the fine
or in accordance with the terms set forth in the order imposing
the fine.
    2. The determination by a circuit court that a licensee or
certificate holder is subject to involuntary admission or
judicial admission as provided in the Mental Health and
Developmental Disabilities Code operates as an automatic
suspension. The suspension will end only upon a finding by a
court that the patient is no longer subject to involuntary
admission or judicial admission and issues an order so finding
and discharging the patient. In any case where a license is
suspended under this provision, the licensee shall file a
petition for restoration and shall include evidence acceptable
to the Department that the licensee can resume practice in
compliance with acceptable and prevailing standards of his or
her profession.
    3. All proceedings to suspend, revoke, place on
probationary status, or take any other disciplinary action as
the Department may deem proper, with regard to a license or
certificate on any of the foregoing grounds, must be commenced
within 5 years after receipt by the Department of a complaint
alleging the commission of or notice of the conviction order
for any of the acts described in this Section. Except for
proceedings brought for violations of items (CC), (DD), or
(EE), no action shall be commenced more than 5 years after the
date of the incident or act alleged to have violated this
Section. In the event of the settlement of any claim or cause
of action in favor of the claimant or the reduction to final
judgment of any civil action in favor of the plaintiff, the
claim, cause of action, or civil action being grounded on the
allegation that a person licensed or certified under this Act
was negligent in providing care, the Department shall have an
additional period of one year from the date of the settlement
or final judgment in which to investigate and begin formal
disciplinary proceedings under Section 25.2 of this Act,
except as otherwise provided by law. The time during which the
holder of the license or certificate was outside the State of
Illinois shall not be included within any period of time
limiting the commencement of disciplinary action by the
Department.
    4. The Department may refuse to issue or may suspend
without hearing, as provided for in the Illinois Code of Civil
Procedure, the license of any person who fails to file a
return, to pay the tax, penalty, or interest shown in a filed
return, or to pay any final assessment of tax, penalty, or
interest as required by any tax Act administered by the
Illinois Department of Revenue, until such time as the
requirements of any such tax Act are satisfied in accordance
with subsection (g) of Section 2105-15 of the Civil
Administrative Code of Illinois.
    5. In enforcing this Section, the Department, upon a
showing of a possible violation, may compel any individual who
is registered under this Act or any individual who has applied
for registration to submit to a mental or physical examination
or evaluation, or both, which may include a substance abuse or
sexual offender evaluation, at the expense of the Department.
The Department shall specifically designate the examining
physician licensed to practice medicine in all of its branches
or, if applicable, the multidisciplinary team involved in
providing the mental or physical examination and evaluation.
The multidisciplinary team shall be led by a physician
licensed to practice medicine in all of its branches and may
consist of one or more or a combination of physicians licensed
to practice medicine in all of its branches, licensed
chiropractic physicians, licensed clinical psychologists,
licensed clinical social workers, licensed clinical
professional counselors, and other professional and
administrative staff. Any examining physician or member of the
multidisciplinary team may require any person ordered to
submit to an examination and evaluation pursuant to this
Section to submit to any additional supplemental testing
deemed necessary to complete any examination or evaluation
process, including, but not limited to, blood testing,
urinalysis, psychological testing, or neuropsychological
testing.
    The Department may order the examining physician or any
member of the multidisciplinary team to provide to the
Department any and all records, including business records,
that relate to the examination and evaluation, including any
supplemental testing performed. The Department may order the
examining physician or any member of the multidisciplinary
team to present testimony concerning this examination and
evaluation of the registrant or applicant, including testimony
concerning any supplemental testing or documents relating to
the examination and evaluation. No information, report,
record, or other documents in any way related to the
examination and evaluation shall be excluded by reason of any
common law or statutory privilege relating to communication
between the licensee or applicant and the examining physician
or any member of the multidisciplinary team. No authorization
is necessary from the registrant or applicant ordered to
undergo an evaluation and examination for the examining
physician or any member of the multidisciplinary team to
provide information, reports, records, or other documents or
to provide any testimony regarding the examination and
evaluation. The individual to be examined may have, at his or
her own expense, another physician of his or her choice
present during all aspects of the examination.
    Failure of any individual to submit to mental or physical
examination or evaluation, or both, when directed, shall
result in an automatic suspension without hearing, until such
time as the individual submits to the examination. If the
Department finds a registrant unable to practice because of
the reasons set forth in this Section, the Department shall
require such registrant to submit to care, counseling, or
treatment by physicians approved or designated by the
Department as a condition for continued, reinstated, or
renewed registration.
    In instances in which the Secretary immediately suspends a
registration under this Section, a hearing upon such person's
registration must be convened by the Department within 15 days
after such suspension and completed without appreciable delay.
The Department shall have the authority to review the
registrant's record of treatment and counseling regarding the
impairment to the extent permitted by applicable federal
statutes and regulations safeguarding the confidentiality of
medical records.
    Individuals registered under this Act who are affected
under this Section, shall be afforded an opportunity to
demonstrate to the Department that they can resume practice in
compliance with acceptable and prevailing standards under the
provisions of their registration.
    6. (Blank).
    7. In cases where the Department of Healthcare and Family
Services has previously determined a licensee or a potential
licensee is more than 30 days delinquent in the payment of
child support and has subsequently certified the delinquency
to the Department, the Department may refuse to issue or renew
or may revoke or suspend that person's license or may take
other disciplinary action against that person based solely
upon the certification of delinquency made by the Department
of Healthcare and Family Services in accordance with paragraph
(5) of subsection (a) of Section 2105-15 of the Civil
Administrative Code of Illinois.
(Source: P.A. 99-78, eff. 7-20-15; 100-872, eff. 8-14-18.)
 
    (225 ILCS 115/25.2)  (from Ch. 111, par. 7025.2)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 25.2. Investigation; notice and hearing. The
Department may investigate the actions of any applicant or of
any person or persons holding or claiming to hold a license or
certificate. The Department shall, before refusing to issue,
to renew or discipline a license or certificate under Section
25, at least 30 days prior to the date set for the hearing,
notify the applicant or licensee in writing of the nature of
the charges and the time and place for a hearing on the
charges. The Department shall direct the applicant,
certificate holder, or licensee to file a written answer to
the charges with the Board under oath within 20 days after the
service of the notice and inform the applicant, certificate
holder, or licensee that failure to file an answer will result
in default being taken against the applicant, certificate
holder, or licensee. At the time and place fixed in the notice,
the Department shall proceed to hear the charges and the
parties or their counsel shall be accorded ample opportunity
to present any pertinent statements, testimony, evidence, and
arguments. The Department may continue the hearing from time
to time. In case the person, after receiving the notice, fails
to file an answer, his or her license may, in the discretion of
the Department, be revoked, suspended, placed on probationary
status, or the Department may take whatever disciplinary
action considered proper, including limiting the scope,
nature, or extent of the person's practice or the imposition
of a fine, without a hearing, if the act or acts charged
constitute sufficient grounds for that action under the Act.
The written notice and any notice in the subsequent proceeding
may be served by registered or certified mail to the
licensee's address of record or, if in the course of the
administrative proceeding the party has previously designated
a specific email address at which to accept electronic service
for that specific proceeding, by sending a copy by email to an
email address on record.
(Source: P.A. 98-339, eff. 12-31-13.)
 
    (225 ILCS 115/25.6)  (from Ch. 111, par. 7025.6)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 25.6. Board report. At the conclusion of the hearing
the Board shall present to the Secretary a written report of
its findings of fact, conclusions of law, and recommendations.
The report shall contain a finding whether or not the accused
person violated this Act or failed to comply with the
conditions required in this Act. The Board shall specify the
nature of the violation or failure to comply, and shall make
its recommendations to the Secretary.
    The report of findings of fact, conclusions of law and
recommendation of the Board shall be the basis for the
Secretary's Department's order for refusing to issue, restore,
or renew a license, or otherwise disciplining a licensee, or
for the granting of a license, certificate, or permit. If the
Secretary disagrees in any regard with the report of the
Board, then the Secretary may issue an order in contravention
thereof. The finding is not admissible in evidence against the
person in a criminal prosecution brought for the violation of
this Act, but the hearing and finding are not a bar to a
criminal prosecution brought for the violation of this Act.
(Source: P.A. 98-339, eff. 12-31-13.)
 
    (225 ILCS 115/25.7)  (from Ch. 111, par. 7025.7)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 25.7. Motion for rehearing; procedure upon refusal to
license or issue certificate. In any hearing involving the
refusal to issue, renew, or discipline a license or
certificate, a copy of the Board's report shall be served upon
the respondent by the Department, either personally or as
provided in this Act for the service of the notice of hearing.
Within 20 days after service, the respondent may present to
the Secretary Department a motion in writing for a rehearing.
The motion shall specify the particular grounds for the
rehearing. If no motion for rehearing is filed, then upon the
expiration of the time specified for filing a motion, or if a
motion for rehearing is denied, then upon the denial, then the
Secretary may enter an order in accordance with
recommendations of the Board except as provided in Section
25.6 of this Act. If the respondent orders from the reporting
service, and pays for a transcript of the record within the
time for filing a motion for rehearing, the 20-day 20 day
period within which such a motion may be filed shall commence
upon the delivery of the transcript to the respondent.
(Source: P.A. 98-339, eff. 12-31-13.)
 
    (225 ILCS 115/25.9)  (from Ch. 111, par. 7025.9)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 25.9. Hearing officers; reports; review. The
Secretary shall have the authority to appoint any attorney
duly licensed to practice law in the State of Illinois to serve
as the hearing officer in any action for refusal to issue,
renew, or discipline of a license, certificate, or permit. The
hearing officer shall have full authority to conduct the
hearing. The hearing officer shall report his or her findings
of fact, conclusions of law, and recommendations to the Board
and the Secretary. The Board shall have 60 days from receipt of
the report to review the report of the hearing officer and
present its findings of fact, conclusions of law, and
recommendations to the Secretary. If the Board fails to
present its report within the 60-day 60 day period, then the
Secretary may issue an order based on the report of the hearing
officer. If the Secretary disagrees with the recommendation of
the Board or hearing officer, then the Secretary may issue an
order in contravention of the report.
(Source: P.A. 98-339, eff. 12-31-13.)
 
    (225 ILCS 115/25.15)  (from Ch. 111, par. 7025.15)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 25.15. Certification of record. The Department shall
not be required to certify any record to the Court or file any
answer in court or otherwise appear in any court in a judicial
review proceeding, unless and until the Department has
received from the plaintiff payment of the costs of furnishing
and certifying the record, which costs shall be determined by
the Department. Exhibits shall be certified without cost.
Failure on the part of the plaintiff to file a receipt in Court
shall be grounds for dismissal of the action.
(Source: P.A. 98-339, eff. 12-31-13.)
 
    (225 ILCS 115/25.17)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 25.17. Disclosure of patient records; maintenance.
    (a) No veterinarian shall be required to disclose any
information concerning the veterinarian's care of an animal
except on written authorization or other waiver by the
veterinarian's client or on appropriate court order or
subpoena. Any veterinarian releasing information under written
authorization, or other waiver by the client, or court order
of subpoena is not liable to the client or any other person.
The privilege provided by this Section is waived to the extent
that the veterinarian's client or the owner of the animal
places the care and treatment or the nature and extent of
injuries to the animal at issue in any civil or criminal
proceeding. When communicable disease laws, cruelty to animal
laws, or laws providing for public health and safety are
involved, the privilege provided by this Section is waived.
    (b) Copies of patient records must be released to the
client upon written request as provided for by rule.
    (c) Each person who provides veterinary medical services
shall maintain appropriate patient records as defined by rule.
The patient records are the property of the practice and the
practice owner. Patient records shall, if applicable, include
the following:
        (1) patient identification;
        (2) client identification;
        (3) dated reason for visit and pertinent history;
        (4) physical exam findings;
        (5) diagnostic, medical, surgical or therapeutic
    procedures performed;
        (6) all medical treatment must include identification
    of each medication given in the practice, together with
    the date, dosage, and route of administration and
    frequency and duration of treatment;
        (7) all medicines dispensed or prescribed must be
    recorded, including directions for use and quantity;
        (8) any changes in medications or dosages, including
    telephonically or electronically initiated changes, must
    be recorded;
        (9) if a necropsy is performed, then the record must
    reflect the findings;
        (10) any written records and notes, radiographs,
    sonographic images, video recordings, photographs or other
    images, and laboratory reports;
        (11) other information received as the result of
    consultation;
        (12) identification of any designated agent of the
    client for the purpose of authorizing veterinary medical
    or animal health care decisions; and
        (13) any authorizations, releases, waivers, or other
    related documents.
    (d) Patient records must be maintained for a minimum of 5
years from the date of the last known contact with a an animal
patient.
    (e) Information and records related to patient care shall
remain confidential except as provided in subsections (a) and
(b) of this Section.
(Source: P.A. 96-1322, eff. 7-27-10.)
 
    (225 ILCS 115/27)  (from Ch. 111, par. 7027)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 27. Administrative Procedure Act. The Illinois
Administrative Procedure Act is hereby expressly adopted and
incorporated into this Act as if all of the provisions of that
Act were included in this Act, except that the provision of
subsection (d) of Section 10-65 of the Illinois Administrative
Procedure Act that provides that at hearings the licensee or
certificate holder has the right to show compliance with all
lawful requirements for retention, continuation, or renewal of
the license or certificate is specifically excluded. For the
purpose of this Act the notice required under Section 10-25 of
the Illinois Administrative Procedure Act is considered
sufficient when mailed to the last known address of record or
sent electronically to the last known email address of record.
(Source: P.A. 98-339, eff. 12-31-13.)
 
    (225 ILCS 115/23 rep.)
    Section 15. The Veterinary Medicine and Surgery Practice
Act of 2004 is amended by repealing Section 23.
 
    Section 20. The Landscape Architecture Registration Act is
amended by changing Section 10 and by adding Section 53 as
follows:
 
    (225 ILCS 316/10)
    (Section scheduled to be repealed on January 1, 2027)
    Sec. 10. Definitions. As used in this Act:
    "Address of record" means the designated address recorded
by the Department in the applicant's application file or
registrant's registration file as maintained by the
Department.
    "Board" means the Registered Landscape Architecture
Registration Board.
    "Department" means the Department of Financial and
Professional Regulation.
    "Email address of record" means the designated email
address of record by the Department in the applicant's
application file or registrant's registration file as
maintained by the Department.
    "Landscape architecture" means the art and science of
arranging land, together with the spaces and objects upon it,
for the purpose of creating a safe, efficient, healthful, and
aesthetically pleasing physical environment for human use and
enjoyment, as performed by landscape architects.
    "Landscape architectural practice" means the offering or
furnishing of professional services in connection with a
landscape architecture project that do not require the seal of
an architect, land surveyor, professional engineer, or
structural engineer. These services may include, but are not
limited to, providing preliminary studies; developing design
concepts; planning for the relationships of physical
improvements and intended uses of the site; establishing form
and aesthetic elements; developing those technical details on
the site that are exclusive of any building or structure;
preparing and coordinating technical submissions; and
conducting site observation of a landscape architecture
project.
    "Registered landscape architect" means a person who, based
on education, experience, and examination in the field of
landscape architecture, is registered under this Act.
    "Secretary" means the Secretary of Financial and
Professional Regulation. The Secretary may designate his or
her duties under this Act to a designee of his or her choice,
including, but not limited to, the Director of Professional
Regulation.
(Source: P.A. 102-284, eff. 8-6-21.)
 
    (225 ILCS 316/53 new)
    Sec. 53. Continuing education. The Department may adopt
rules of continuing education for persons registered under
this Act. The Department shall consider the recommendations of
the Board in establishing the guidelines for the continuing
education requirements. The requirements of this Section apply
to any person seeking renewal or restoration under Section 50.
 
    Section 25. The Electrologist Licensing Act is amended by
changing Sections 10, 32, 40, 90, and 120 and by adding Section
12 as follows:
 
    (225 ILCS 412/10)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 10. Definitions. In this Act:
    "Address of Record" means the designated address recorded
by the Department in the applicant's or licensee's application
file or license file as maintained by the Department's
licensure maintenance unit. It is the duty of the applicant or
licensee to inform the Department of any change of address,
and those changes must be made either through the Department's
website or by contacting the Department.
    "Department" means the Department of Financial and
Professional Regulation.
    "Electrologist" means an individual licensed to practice
electrology pursuant to the provisions of this Act.
    "Electrology" means the practice or teaching of services
for permanent hair removal utilizing only solid probe
electrode type epilation, which may include thermolysis
(shortwave, high frequency), electrolysis (galvanic), or a
combination of both (superimposed or sequential blend).
    "Email address of record" means the designated email
address recorded by the Department in the applicant's
application file or in a licensee's license file, as
maintained by the Department's licensure maintenance unit.
    "Secretary" means the Secretary of Financial and
Professional Regulation.
(Source: P.A. 98-363, eff. 8-16-13.)
 
    (225 ILCS 412/12 new)
    Sec. 12. Address of record and email address of record.
All applicants and licensees shall:
        (1) provide a valid physical address and email address
    to the Department, which shall serve as the address of
    record and email address of record, respectively, at the
    time of application for licensure or renewal of a license;
    and
        (2) inform the Department of any change of address of
    record or email address of record within 14 days. Those
    changes must be made either through the Department's
    website or by contacting the Department through the
    Department's licensure maintenance unit.
 
    (225 ILCS 412/32)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 32. Social Security number or individual taxpayer
identification number on license application. In addition to
any other information required to be contained in the
application, every application for an original license under
this Act shall include the applicant's social security number
or individual taxpayer identification number, which shall be
retained in the agency's records pertaining to the license. As
soon as practical, the Department shall assign a customer's
identification number to each applicant for a license.
    Every application for a renewed, reinstated, or restored
license shall require the applicant's customer identification
number.
(Source: P.A. 97-400, eff. 1-1-12; 98-363, eff. 8-16-13.)
 
    (225 ILCS 412/40)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 40. Administrative Procedure Act. The Illinois
Administrative Procedure Act is hereby expressly adopted and
incorporated in this Act as if all of the provisions of the
Illinois Administrative Procedure Act where included in this
Act, except that the provision of paragraph (d) of Section
10-65 of the Illinois Administrative Procedure Act, which
provides that at hearings the licensee has the right to show
compliance with all lawful requirements for retention,
continuation, or renewal of the license, is specifically
excluded. For the purposes of this Act, the notice required
under Section 10-25 of the Illinois Administrative Procedure
Act is considered to be sufficient when mailed to the
licensee's address of record or email address of record.
(Source: P.A. 98-363, eff. 8-16-13.)
 
    (225 ILCS 412/90)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 90. Investigations; notice and hearing.
    (a) The Department may investigate the actions of an
applicant or a person holding or claiming to hold a license.
    (b) Before refusing to issue or renew a license or take any
disciplinary or non-disciplinary action against a licensed
electrologist pursuant to Section 75 of this Act, the
Department shall notify in writing the applicant or the
licensee of the nature of the charges and that a hearing will
be held on the date designated, which shall be at least 30 days
after the date of the notice. The Department shall direct the
applicant or licensee to file a written answer to the
Department under oath within 20 days after the service of the
notice and inform the applicant or licensee that failure to
file an answer will result in default being taken against the
applicant or licensee and that the license may be suspended,
revoked, placed on probationary status, or other disciplinary
or non-disciplinary action may be taken, including limiting
the scope, nature, or extent of business as the Secretary may
deem proper. Written notice may be served by certified or
registered mail sent to the licensee's address of record.
    The written notice and any notice in the subsequent
proceeding may be served electronically to the licensee's
email address of record, or, if in the course of the
administrative proceeding the party has previously designated
a specific email address at which to accept electronic service
for that specific proceeding, by sending a copy by email to the
email address on record.
    If the applicant or licensee fails to file an answer after
receiving notice, the license may, in the discretion of the
Department, be suspended, revoked, or placed on probationary
status, or the Department may take whatever disciplinary
action considered proper including limiting the scope, nature,
or extent of the person's practice or the imposition of a fine,
without a hearing if the act or acts charged constitute
sufficient grounds for such action under this Act.
    At the time and place fixed in the notice, the Department
shall proceed to hear the charges, and the parties or their
counsel shall be accorded ample opportunity to present any
pertinent statements, testimony, evidence, and argument. The
Department may continue a hearing from time to time.
(Source: P.A. 98-363, eff. 8-16-13.)
 
    (225 ILCS 412/120)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 120. Motion for rehearing. In any case involving the
refusal to issue or renew a license, or the discipline of a
licensee, a copy of the hearing officer's report shall be
served upon the respondent by the Secretary Department, either
personally or as provided in this Act for the service of the
notice of hearing. Within 20 days after service, the
respondent may present to the Department a motion in writing
for a rehearing which shall specify the particular grounds for
rehearing. If no motion for rehearing is filed, then upon the
expiration of the time specified for filing a motion, or if a
motion for rehearing is denied, then upon denial, the
Secretary may enter an order in accordance with the
recommendation of the hearing officer. If the respondent
orders from the reporting service, and pays for a transcript
of the record within the time for filing a motion for
rehearing, the 20-day period within which a motion may be
filed shall commence upon the delivery of the transcript to
the respondent.
(Source: P.A. 98-363, eff. 8-16-13.)
 
    Section 30. The Private Detective, Private Alarm, Private
Security, Fingerprint Vendor, and Locksmith Act of 2004 is
amended by changing Sections 5-10, 10-5, 10-20, 10-37, 10-45,
15-5, 15-10, 15-15, 15-25, 20-10, 20-15, 20-20, 25-5, 25-10,
25-15, 25-20, 25-30, 30-5, 30-10, 30-15, 30-20, 30-30, 31-5,
31-10, 31-15, 31-20, 35-5, 35-10, 35-15, 35-25, 35-30, 35-35,
35-43, 35-45, 40-5, 40-10, 40-20, 40-25, 40-30, 45-10, 45-15,
45-40, 45-55, 50-5, 50-10, 50-15, 50-20, and 50-45 as follows:
 
    (225 ILCS 447/5-10)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 5-10. Definitions. As used in this Act:
    "Address of record" means the designated address recorded
by the Department in the applicant's application file or the
licensee's license file, as maintained by the Department's
licensure maintenance unit.
    "Advertisement" means any public media, including printed
or electronic material, that is published or displayed in a
phone book, newspaper, magazine, pamphlet, newsletter,
website, or other similar type of publication or electronic
format that is intended to either attract business or merely
provide contact information to the public for an agency or
licensee. Advertisement shall not include a licensee's or an
agency's letterhead, business cards, or other stationery used
in routine business correspondence or customary name, address,
and number type listings in a telephone directory.
    "Alarm system" means any system, including an electronic
access control system, a surveillance video system, a security
video system, a burglar alarm system, a fire alarm system, or
any other electronic system that activates an audible,
visible, remote, or recorded signal that is designed for the
protection or detection of intrusion, entry, theft, fire,
vandalism, escape, or trespass, or other electronic systems
designed for the protection of life by indicating the
existence of an emergency situation. "Alarm system" also
includes an emergency communication system and a mass
notification system.
    "Applicant" means a person or business applying for
licensure, registration, or authorization under this Act. Any
applicant or person who holds oneself himself or herself out
as an applicant is considered a licensee or registrant for the
purposes of enforcement, investigation, hearings, and the
Illinois Administrative Procedure Act.
    "Armed employee" means a licensee or registered person who
is employed by an agency licensed or an armed proprietary
security force registered under this Act who carries a weapon
while engaged in the performance of official duties within the
course and scope of the employee's his or her employment
during the hours and times the employee is scheduled to work or
is commuting between the employee's his or her home or place of
employment.
    "Armed proprietary security force" means a security force
made up of one or more armed individuals employed by a
commercial or industrial operation or by a financial
institution as security officers for the protection of persons
or property.
    "Board" means the Private Detective, Private Alarm,
Private Security, Fingerprint Vendor, and Locksmith Board.
    "Branch office" means a business location removed from the
place of business for which an agency license has been issued,
including, but not limited to, locations where active employee
records that are required to be maintained under this Act are
kept, where prospective new employees are processed, or where
members of the public are invited in to transact business. A
branch office does not include an office or other facility
located on the property of an existing client that is utilized
solely for the benefit of that client and is not owned or
leased by the agency.
    "Canine handler" means a person who uses or handles a
trained dog to protect persons or property or to conduct
investigations.
    "Canine handler authorization card" means a card issued by
the Department that authorizes the holder to use or handle a
trained dog to protect persons or property or to conduct
investigations during the performance of the holder's his or
her duties as specified in this Act.
    "Canine trainer" means a person who acts as a dog trainer
for the purpose of training dogs to protect persons or
property or to conduct investigations.
    "Canine trainer authorization card" means a card issued by
the Department that authorizes the holder to train a dog to
protect persons or property or to conduct investigations
during the performance of the holder's his or her duties as
specified in this Act.
    "Canine training facility" means a facility operated by a
licensed private detective agency or private security
contractor agency wherein dogs are trained for the purposes of
protecting persons or property or to conduct investigations.
    "Corporation" means an artificial person or legal entity
created by or under the authority of the laws of a state,
including without limitation a corporation, limited liability
company, or any other legal entity.
    "Department" means the Department of Financial and
Professional Regulation.
    "Email address of record" means the designated email
address recorded by the Department in the applicant's
application file or the licensee's license file, as maintained
by the Department's licensure maintenance unit.
    "Emergency communication system" means any system that
communicates information about emergencies, including but not
limited to fire, terrorist activities, shootings, other
dangerous situations, accidents, and natural disasters.
    "Employee" means a person who works for a person or agency
that has the right to control the details of the work performed
and is not dependent upon whether or not federal or state
payroll taxes are withheld.
    "Fingerprint vendor" means a person that offers,
advertises, or provides services to fingerprint individuals,
through electronic or other means, for the purpose of
providing fingerprint images and associated demographic data
to the Illinois State Police for processing fingerprint based
criminal history record information inquiries.
    "Fingerprint vendor agency" means a person, firm,
corporation, or other legal entity that engages in the
fingerprint vendor business and employs, in addition to the
fingerprint vendor licensee-in-charge, at least one other
person in conducting that business.
    "Fingerprint vendor licensee-in-charge" means a person who
has been designated by a fingerprint vendor agency to be the
licensee-in-charge of an agency who is a full-time management
employee or owner who assumes sole responsibility for
maintaining all records required by this Act and who assumes
sole responsibility for assuring the licensed agency's
compliance with its responsibilities as stated in this Act.
The Department shall adopt rules mandating licensee-in-charge
participation in agency affairs.
    "Fire alarm system" means any system that is activated by
an automatic or manual device in the detection of smoke, heat,
or fire that activates an audible, visible, or remote signal
requiring a response.
    "Firearm control card" means a card issued by the
Department that authorizes the holder, who has complied with
the training and other requirements of this Act, to carry a
weapon during the performance of the holder's his or her
duties as specified in this Act.
    "Firm" means an unincorporated business entity, including
but not limited to proprietorships and partnerships.
    "Licensee" means a person or business licensed under this
Act. Anyone who holds oneself himself or herself out as a
licensee or who is accused of unlicensed practice is
considered a licensee for purposes of enforcement,
investigation, hearings, and the Illinois Administrative
Procedure Act.
    "Locksmith" means a person who engages in a business or
holds oneself himself out to the public as providing a service
that includes, but is not limited to, the servicing,
installing, originating first keys, re-coding, repairing,
maintaining, manipulating, or bypassing of a mechanical or
electronic locking device, access control or video
surveillance system at premises, vehicles, safes, vaults, safe
deposit boxes, or automatic teller machines.
    "Locksmith agency" means a person, firm, corporation, or
other legal entity that engages in the locksmith business and
employs, in addition to the locksmith licensee-in-charge, at
least one other person in conducting such business.
    "Locksmith licensee-in-charge" means a person who has been
designated by agency to be the licensee-in-charge of an
agency, who is a full-time management employee or owner who
assumes sole responsibility for maintaining all records
required by this Act, and who assumes sole responsibility for
assuring the licensed agency's compliance with its
responsibilities as stated in this Act. The Department shall
adopt rules mandating licensee-in-charge participation in
agency affairs.
    "Mass notification system" means any system that is used
to provide information and instructions to people in a
building or other space using voice communications, including
visible signals, text, graphics, tactile, or other
communication methods.
    "Peace officer" or "police officer" means a person who, by
virtue of office or public employment, is vested by law with a
duty to maintain public order or to make arrests for offenses,
whether that duty extends to all offenses or is limited to
specific offenses. Officers, agents, or employees of the
federal government commissioned by federal statute to make
arrests for violations of federal laws are considered peace
officers.
    "Permanent employee registration card" means a card issued
by the Department to an individual who has applied to the
Department and meets the requirements for employment by a
licensed agency under this Act.
    "Person" means a natural person.
    "Private alarm contractor" means a person who engages in a
business that individually or through others undertakes,
offers to undertake, purports to have the capacity to
undertake, or submits a bid to sell, install, design, monitor,
maintain, test, inspect, alter, repair, replace, or service
alarm and other security-related systems or parts thereof,
including fire alarm systems, at protected premises or
premises to be protected or responds to alarm systems at a
protected premises on an emergency basis and not as a
full-time security officer. "Private alarm contractor" does
not include a person, firm, or corporation that manufactures
or sells alarm systems only from its place of business and does
not sell, install, monitor, maintain, alter, repair, replace,
service, or respond to alarm systems at protected premises or
premises to be protected.
    "Private alarm contractor agency" means a person,
corporation, or other entity that engages in the private alarm
contracting business and employs, in addition to the private
alarm contractor-in-charge, at least one other person in
conducting such business.
    "Private alarm contractor licensee-in-charge" means a
person who has been designated by an agency to be the
licensee-in-charge of an agency, who is a full-time management
employee or owner who assumes sole responsibility for
maintaining all records required by this Act, and who assumes
sole responsibility for assuring the licensed agency's
compliance with its responsibilities as stated in this Act.
The Department shall adopt rules mandating licensee-in-charge
participation in agency affairs.
    "Private detective" means any person who by any means,
including, but not limited to, manual, canine odor detection,
or electronic methods, engages in the business of, accepts
employment to furnish, or agrees to make or makes
investigations for a fee or other consideration to obtain
information relating to:
        (1) Crimes or wrongs done or threatened against the
    United States, any state or territory of the United
    States, or any local government of a state or territory.
        (2) The identity, habits, conduct, business
    occupation, honesty, integrity, credibility, knowledge,
    trustworthiness, efficiency, loyalty, activity,
    movements, whereabouts, affiliations, associations,
    transactions, acts, reputation, or character of any
    person, firm, or other entity by any means, manual or
    electronic.
        (3) The location, disposition, or recovery of lost or
    stolen property.
        (4) The cause, origin, or responsibility for fires,
    accidents, or injuries to individuals or real or personal
    property.
        (5) The truth or falsity of any statement or
    representation.
        (6) Securing evidence to be used before any court,
    board, or investigating body.
        (7) The protection of individuals from bodily harm or
    death (bodyguard functions).
        (8) Service of process in criminal and civil
    proceedings.
    "Private detective agency" means a person, firm,
corporation, or other legal entity that engages in the private
detective business and employs, in addition to the
licensee-in-charge, one or more persons in conducting such
business.
    "Private detective licensee-in-charge" means a person who
has been designated by an agency to be the licensee-in-charge
of an agency, who is a full-time management employee or owner
who assumes sole responsibility for maintaining all records
required by this Act, and who assumes sole responsibility for
assuring the licensed agency's compliance with its
responsibilities as stated in this Act. The Department shall
adopt rules mandating licensee-in-charge participation in
agency affairs.
    "Private security contractor" means a person who engages
in the business of providing a private security officer,
watchman, patrol, guard dog, canine odor detection, or a
similar service by any other title or name on a contractual
basis for another person, firm, corporation, or other entity
for a fee or other consideration and performing one or more of
the following functions:
        (1) The prevention or detection of intrusion, entry,
    theft, vandalism, abuse, fire, or trespass on private or
    governmental property.
        (2) The prevention, observation, or detection of any
    unauthorized activity on private or governmental property.
        (3) The protection of persons authorized to be on the
    premises of the person, firm, or other entity for which
    the security contractor contractually provides security
    services.
        (4) The prevention of the misappropriation or
    concealment of goods, money, bonds, stocks, notes,
    documents, or papers.
        (5) The control, regulation, or direction of the
    movement of the public for the time specifically required
    for the protection of property owned or controlled by the
    client.
        (6) The protection of individuals from bodily harm or
    death (bodyguard functions).
    "Private security contractor agency" means a person, firm,
corporation, or other legal entity that engages in the private
security contractor business and that employs, in addition to
the licensee-in-charge, one or more persons in conducting such
business.
    "Private security contractor licensee-in-charge" means a
person who has been designated by an agency to be the
licensee-in-charge of an agency, who is a full-time management
employee or owner who assumes sole responsibility for
maintaining all records required by this Act, and who assumes
sole responsibility for assuring the licensed agency's
compliance with its responsibilities as stated in this Act.
The Department shall adopt rules mandating licensee-in-charge
participation in agency affairs.
    "Public member" means a person who is not a licensee or
related to a licensee, or who is not an employer or employee of
a licensee. The term "related to" shall be determined by the
rules of the Department.
    "Secretary" means the Secretary of the Department of
Financial and Professional Regulation.
(Source: P.A. 102-152, eff. 1-1-22; 102-538, eff. 8-20-21;
102-813, eff. 5-13-22.)
 
    (225 ILCS 447/10-5)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 10-5. Requirement of license.
    (a) It is unlawful for a person to act as or provide the
functions of a private detective, private security contractor,
private alarm contractor, fingerprint vendor, or locksmith or
to advertise or to assume to act as any one of these, or to use
these or any other title implying that the person is engaged in
any of these activities unless licensed as such by the
Department. An individual or sole proprietor who does not
employ any employees other than himself or herself may operate
under a "doing business as" or assumed name certification
without having to obtain an agency license, so long as the
assumed name is first registered with the Department.
    (b) It is unlawful for a person, firm, corporation, or
other legal entity to act as an agency licensed under this Act,
to advertise, or to assume to act as a licensed agency or to
use a title implying that the person, firm, or other entity is
engaged in the practice as a private detective agency, private
security contractor agency, private alarm contractor agency,
fingerprint vendor agency, or locksmith agency unless licensed
by the Department.
    (c) No agency shall operate a branch office without first
applying for and receiving a branch office license for each
location.
    (d) It Beginning 12 months after the adoption of rules
providing for the licensure of fingerprint vendors under this
Act, it is unlawful for a person to operate live scan
fingerprint equipment or other equipment designed to obtain
fingerprint images for the purpose of providing fingerprint
images and associated demographic data to the Illinois State
Police, unless the person he or she has successfully completed
a fingerprint training course conducted or authorized by the
Illinois State Police and is licensed as a fingerprint vendor.
    (e) No Beginning 12 months after the adoption of rules
providing for the licensure of canine handlers and canine
trainers under this Act, no person shall operate a canine
training facility unless licensed as a private detective
agency or private security contractor agency under this Act,
and no person shall act as a canine trainer unless the person
he or she is licensed as a private detective or private
security contractor or is a registered employee of a private
detective agency or private security contractor agency
approved by the Department.
(Source: P.A. 102-538, eff. 8-20-21.)
 
    (225 ILCS 447/10-20)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 10-20. Application for license; forms.
    (a) Each license application shall be on forms provided by
the Department.
    (b) Application for a license by endorsement shall be made
in accordance with the provisions of Section 10-40.
    (c) Every application for an original license shall
include the applicant's Social Security number or individual
taxpayer identification number, which shall be retained in the
agency's records pertaining to the license. As soon as
practical, the Department shall assign a customer's
identification number to each applicant for a license.
    Every application for a renewal or restored license shall
require the applicant's customer identification number.
(Source: P.A. 97-400, eff. 1-1-12.)
 
    (225 ILCS 447/10-37)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 10-37. Address of record; email address of record.
All applicants and licensees shall:
        (1) provide a valid address and email address to the
    Department, which serves as the address of record and
    email address of record, respectively, at the time of
    application for licensure or renewal of a license; and
        (2) It is the duty of the applicant or licensee to
    inform the Department of any change of address within 14
    days after such change either through the Department's
    website or by contacting the Department's licensure
    maintenance unit.
(Source: P.A. 96-1445, eff. 8-20-10.)
 
    (225 ILCS 447/10-45)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 10-45. Emergency care without a fee. A license
holder, agency, or registered employee of a private security
contractor, as defined in Section 5-10 of this Act, who in good
faith provides emergency care without fee to any person or
takes actions in good faith that directly relate to the
employee's job responsibilities to protect people and
property, as defined by the areas in which registered security
officers receive training under Sections 20-20 and 25-20 shall
not, as a result of those his or her acts or omissions, except
willful and wanton misconduct, in providing the care, be
liable to a person to whom such care is provided for civil
damages.
(Source: P.A. 93-438, eff. 8-5-03.)
 
    (225 ILCS 447/15-5)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 15-5. Exemptions; private detective. The provisions
of this Act relating to the licensure of private detectives do
not apply to any of the following:
        (1) An employee of the United States, Illinois, or a
    political subdivision of either while the employee is
    engaged in the performance of the employee's his or her
    official duties within the scope of the employee's his or
    her employment. However, any such person who offers his or
    her services as a private detective or uses a similar
    title when these services are performed for compensation
    or other consideration, whether received directly or
    indirectly, is subject to this Act.
        (2) A person, firm, or other entity engaged
    exclusively in tracing and compiling lineage or ancestry
    who does not hold oneself himself or herself out to be a
    private detective.
        (3) A person engaged exclusively in obtaining and
    furnishing information, including providing reports, as to
    the financial rating or creditworthiness of persons in
    connection with (i) consumer credit transactions, (ii)
    information for employment purposes, or (iii) information
    for the underwriting of consumer insurance.
        (4) Insurance adjusters employed or under contract as
    adjusters who engage in no other investigative activities
    other than those directly connected with adjustment of
    claims against an insurance company or a self-insured
    entity by which they are employed or with which they have a
    contract. No insurance adjuster or company may use the
    term "investigation" or any derivative thereof, in its
    name or in its advertising.
        (5) A person, firm, or other entity engaged in
    providing computer forensics services so long as the
    person, firm, or other entity does not hold oneself
    himself or herself out to be a private detective. For the
    purposes of this item (5), "computer forensics services"
    means a branch of forensic science pertaining to the
    recovery and analysis of electronically stored
    information.
        (6) A person employed as an investigator exclusively
    by only one employer in connection with the exclusive
    activities of that employer and who does not hold oneself
    himself or herself out to be a private detective.
        (7) A person appointed by the circuit court pursuant
    to the Code of Civil Procedure to make service of process
    in a specific case, provided that such person is not
    otherwise engaged in the business of serving process.
        (8) A person appointed by the circuit court pursuant
    to the Code of Civil Procedure who is an honorably
    discharged veteran of the armed forces of the United
    States and is self-employed as a process server.
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/15-10)
    (Section scheduled to be repealed January 1, 2024)
    Sec. 15-10. Qualifications for licensure as a private
detective.
    (a) A person is qualified for licensure as a private
detective if the person he or she meets all of the following
requirements:
        (1) Is at least 21 years of age.
        (2) Has not been convicted of any felony in any
    jurisdiction or at least 10 years have elapsed since the
    time of full discharge from a sentence imposed for a
    felony conviction.
        (3) Is of good moral character. Good character is a
    continuing requirement of licensure. Conviction of crimes
    other than felonies may be used in determining moral
    character, but shall not constitute an absolute bar to
    licensure, except where the applicant is a registered sex
    offender.
        (4) Has not been declared by any court of competent
    jurisdiction to be incompetent by reason of mental or
    physical defect or disease, unless a court has
    subsequently declared him or her to be competent.
        (5) Is not suffering from dependence on alcohol or
    from narcotic addiction or dependence.
        (6) Has a minimum of 3 years experience of the 5 years
    immediately preceding application working full-time for a
    licensed private detective agency as a registered private
    detective agency employee or with 3 years experience of
    the 5 years immediately preceding his or her application
    employed as a full-time investigator for a licensed
    attorney, for an in-house investigative unit for a
    corporation having 100 or more employees, for any of the
    armed forces of the United States, or in a law enforcement
    agency of the federal government, a state, or a state
    political subdivision, which shall include a state's
    attorney's office or a public defender's office. The Board
    and the Department shall approve such full-time
    investigator experience and may accept, in lieu of the
    experience requirement in this item (6), alternative
    experience working full-time for a private detective
    agency licensed in another state or for a private
    detective agency in a state that does not license such
    agencies if the experience is substantially equivalent to
    that gained working for an Illinois licensed private
    detective agency. An applicant who has a baccalaureate
    degree, or higher, in law enforcement or a related field
    or a business degree from an accredited college or
    university shall be given credit for 2 of the 3 years of
    the required experience. An applicant who has an associate
    degree in law enforcement or in a related field or in
    business from an accredited college or university shall be
    given credit for one of the 3 years of the required
    experience. An applicant who has completed a non-degree
    military training program in law enforcement or a related
    field shall be given credit for one of the 3 years of the
    required experience if the Board and the Department
    determine that such training is substantially equivalent
    to that received in an associate degree program.
        (7) Has not been dishonorably discharged from the
    armed forces of the United States or has not been
    discharged from a law enforcement agency of the United
    States or of any state or of any political subdivision
    thereof, which shall include a state's attorney's office,
    for reasons relating to his or her conduct as an employee
    of that law enforcement agency.
        (8) Has passed an examination authorized by the
    Department.
        (9) Submits the applicant's his or her fingerprints,
    proof of having general liability insurance required under
    subsection (b), and the required license fee.
        (10) Has not violated Section 10-5 of this Act.
    (b) It is the responsibility of the applicant to obtain
general liability insurance in an amount and coverage
appropriate for the applicant's circumstances as determined by
rule. The applicant shall provide evidence of insurance to the
Department before being issued a license. Failure to maintain
general liability insurance and to provide the Department with
written proof of the insurance shall result in cancellation of
the license without hearing.
    (c) (Blank). Any person who has been providing canine odor
detection services for hire prior to January 1, 2005 is exempt
from the requirements of item (6) of subsection (a) of this
Section and may be granted a private detective license if (i)
he or she meets the requirements of items (1) through (5) and
items (7) through (10) of subsection (a) of this Section, (ii)
pays all applicable fees, and (iii) presents satisfactory
evidence to the Department of the provision of canine odor
detection services for hire since January 1, 2005.
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/15-15)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 15-15. Qualifications for licensure as a private
detective agency.
    (a) Upon receipt of the required fee and proof that the
applicant has a full-time Illinois licensed private detective
licensee-in-charge, which is a continuing requirement for
agency licensure, the Department shall issue a license as a
private detective agency to any of the following:
        (1) An individual who submits an application and is a
    licensed private detective under this Act.
        (2) A firm that submits an application and all of the
    members of the firm are licensed private detectives under
    this Act.
        (3) A corporation or limited liability company doing
    business in Illinois that is authorized to engage in the
    business of conducting a private detective agency,
    provided at least one full-time executive employee is
    licensed as a private detective under this Act and all
    unlicensed officers and directors of the corporation or
    limited liability company are determined by the Department
    to be persons of good moral character.
    (b) No private detective may be the licensee-in-charge for
more than one private detective agency. Upon written request
by a representative of an agency, within 10 days after the loss
of a licensee-in-charge of an agency because of the death of
that individual or because of the termination of the
employment of that individual, the Department shall issue a
temporary certificate of authority allowing the continuing
operation of the licensed agency. No temporary certificate of
authority shall be valid for more than 90 days. An extension of
an additional 90 days may be granted upon written request by
the representative of the agency. Not more than 2 extensions
may be granted to any agency. No temporary permit shall be
issued for a loss of the licensee-in-charge because of
disciplinary action by the Department related to the
licensee-in-charge's his or her conduct on behalf of the
agency.
    (c) Upon issuance of the temporary certificate of
authority as provided for in subsection (b) of this Section,
and at any time thereafter while the temporary certificate of
authority is in effect, the Department may request in writing
additional information from the agency regarding the loss of
its licensee-in-charge, the selection of a new
licensee-in-charge, and the management of the agency. Failure
of the agency to respond or respond to the satisfaction of the
Department shall cause the Department to deny any extension of
the temporary certificate of authority. While the temporary
certificate of authority is in effect, the Department may
disapprove the selection of a new licensee-in-charge by the
agency if the person's license is not operative or the
Department has good cause to believe that the person selected
will not fully exercise the responsibilities of a
licensee-in-charge. If the Department has disapproved the
selection of a new licensee-in-charge and the temporary
certificate of authority expires or is about to expire without
the agency selecting another new licensee-in-charge, the
Department shall grant an extension of the temporary
certificate of authority for an additional 90 days, except as
otherwise prohibited in subsection (b) or this subsection (c).
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/15-25)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 15-25. Training; private detective and employees.
    (a) Registered employees of a private detective agency
shall complete, within 30 days of their employment, a minimum
of 20 hours of basic training provided by a qualified
instructor. The substance of the training shall be related to
the work performed by the registered employee. The training
may be classroom-based or online Internet-based but shall not
be conducted as on-the-job training.
    (a-5) In addition to the basic training required in
subsection (a), registered employees of a private detective
agency shall complete an additional minimum of 8 hours of
annual training for every calendar year, commencing with the
calendar year beginning after the employee's hire date.
    (a-10) Annual training for registered employees shall be
based on subjects related to the work performed as determined
by the employer and may be conducted in a classroom or seminar
setting or via Internet-based online learning programs. Annual
training may not be conducted as on-the-job training.
    (b) It is the responsibility of the employer to certify,
on a form provided by the Department, that the employee has
successfully completed the basic and annual training. The
original form or a copy shall be a permanent record of training
completed by the employee and shall be placed in the
employee's file with the employer for the period the employee
remains with the employer. The original form or a copy shall be
given to the employee when the employee's his or her
employment is terminated. Failure to return the original form
or a copy to the employee is grounds for disciplinary action.
The employee shall not be required to repeat the required
training once the employee has been issued the form. An
employer may provide or require additional training.
    (c) (Blank).
    (d) All private detectives shall complete a minimum of 8
hours of annual training on a topic of their choosing,
provided that the subject matter is reasonably related to
their private detective practice. The annual training for
private detectives may be completed utilizing any combination
of hours obtained in a classroom or seminar setting or via
Internet-based online learning programs. The Department shall
adopt rules to administer this subsection.
    (e) The annual training requirements for private
detectives shall not apply until the calendar year following
the issuance of the private detective license.
    (f) It shall be the responsibility of the private
detective to keep and maintain a personal log of all training
hours earned along with sufficient documentation for the
Department to verify the annual training completed for at
least 5 years. The personal training log and documentation
shall be provided to the Department in the same manner as other
documentation and records required under this Act.
    (g) If the private detective owns or is employed by a
private detective agency, the private detective agency shall
maintain a record of the annual training. The private
detective agency must make the record of annual training
available to the Department upon request.
    (h) Recognizing the diverse professional practices of
private detectives licensed under this Act, it is the intent
of the training requirements in this Section to allow for a
broad interpretation of the coursework, seminar subjects, or
class topics to be considered reasonably related to the
practice of any profession licensed under this Act.
    (i) Notwithstanding any other professional license a
private detective holds under this Act, no more than 8 hours of
annual training shall be required for any one year.
(Source: P.A. 102-152, eff. 1-1-22.)
 
    (225 ILCS 447/20-10)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 20-10. Qualifications for licensure as a private
alarm contractor.
    (a) A person is qualified for licensure as a private alarm
contractor if the person he or she meets all of the following
requirements:
        (1) Is at least 21 years of age.
        (2) Has not been convicted of any felony in any
    jurisdiction or at least 10 years have elapsed since the
    time of full discharge from a sentence imposed for a
    felony conviction.
        (3) Is of good moral character. Good moral character
    is a continuing requirement of licensure. Conviction of
    crimes other than felonies may be used in determining
    moral character, but shall not constitute an absolute bar
    to licensure, except where the applicant is a registered
    sex offender.
        (4) Has not been declared by any court of competent
    jurisdiction to be incompetent by reason of mental or
    physical defect or disease, unless a court has
    subsequently declared him or her to be competent.
        (5) Is not suffering from dependence on alcohol or
    from narcotic addiction or dependence.
        (6) Has a minimum of 3 years experience during the 5
    years immediately preceding the application (i) working as
    a full-time manager for a licensed private alarm
    contractor agency or (ii) working for a government, one of
    the armed forces of the United States, or private entity
    that inspects, reviews, designs, sells, installs,
    operates, services, or monitors alarm systems that, in the
    judgment of the Board, satisfies the standards of alarm
    industry competence. The Board and the Department may
    accept, in lieu of the experience requirement in this item
    (6), alternative experience working as a full-time manager
    for a private alarm contractor agency licensed in another
    state or for a private alarm contractor agency in a state
    that does not license such agencies, if the experience is
    substantially equivalent to that gained working for an
    Illinois licensed private alarm contractor agency. An
    applicant who has received a 4-year degree or higher in
    electrical engineering or a related field from a program
    approved by the Board or a business degree from an
    accredited college or university shall be given credit for
    2 years of the required experience. An applicant who has
    successfully completed a national certification program
    approved by the Board shall be given credit for one year of
    the required experience.
        (7) Has not been dishonorably discharged from the
    armed forces of the United States.
        (8) Has passed an examination authorized by the
    Department.
        (9) Submits the applicant's his or her fingerprints,
    proof of having general liability insurance required under
    subsection (c), and the required license fee.
        (10) Has not violated Section 10-5 of this Act.
    (b) (Blank).
    (c) It is the responsibility of the applicant to obtain
general liability insurance in an amount and coverage
appropriate for the applicant's circumstances as determined by
rule. The applicant shall provide evidence of insurance to the
Department before being issued a license. Failure to maintain
general liability insurance and to provide the Department with
written proof of the insurance shall result in cancellation of
the license without hearing.
(Source: P.A. 98-253, eff. 8-9-13; 99-174, eff. 7-29-15.)
 
    (225 ILCS 447/20-15)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 20-15. Qualifications for licensure as a private
alarm contractor agency.
    (a) Upon receipt of the required fee and proof that the
applicant has a full-time Illinois licensed private alarm
contractor licensee-in-charge, which is a continuing
requirement for agency licensure, the Department shall issue a
license as a private alarm contractor agency to any of the
following:
        (1) An individual who submits an application and is a
    licensed private alarm contractor under this Act.
        (2) A firm that submits an application and all of the
    members of the firm are licensed private alarm contractors
    under this Act.
        (3) A corporation or limited liability company doing
    business in Illinois that is authorized by its articles of
    incorporation or organization to engage in the business of
    conducting a private alarm contractor agency if at least
    one executive employee is licensed as a private alarm
    contractor under this Act and all unlicensed officers and
    directors of the corporation or limited liability company
    are determined by the Department to be persons of good
    moral character.
    (b) No private alarm contractor may be the
licensee-in-charge for more than one private alarm contractor
agency. Upon written request by a representative of an agency,
within 10 days after the loss of a licensee-in-charge of an
agency because of the death of that individual or because of
the termination of the employment of that individual, the
Department shall issue a temporary certificate of authority
allowing the continuing operation of the licensed agency. No
temporary certificate of authority shall be valid for more
than 90 days. An extension of an additional 90 days may be
granted upon written request by the representative of the
agency. Not more than 2 extensions may be granted to any
agency. No temporary permit shall be issued for loss of the
licensee-in-charge because of disciplinary action by the
Department related to the licensee-in-charge's his or her
conduct on behalf of the agency.
    (c) No private alarm contractor, private alarm contractor
agency, or person may install or connect an alarm system or
fire alarm system that connects automatically and directly to
a governmentally operated police or fire dispatch system in a
manner that violates subsection (a) of Section 15.2 of the
Emergency Telephone System Act. In addition to the penalties
provided by the Emergency Telephone System Act, a private
alarm contractor agency that violates this Section shall pay
the Department an additional penalty of $250 per occurrence.
    (d) Upon issuance of the temporary certificate of
authority as provided for in subsection (b) of this Section
and at any time thereafter while the temporary certificate of
authority is in effect, the Department may request in writing
additional information from the agency regarding the loss of
its licensee-in-charge, the selection of a new
licensee-in-charge, and the management of the agency. Failure
of the agency to respond or respond to the satisfaction of the
Department shall cause the Department to deny any extension of
the temporary certificate of authority. While the temporary
certificate of authority is in effect, the Department may
disapprove the selection of a new licensee-in-charge by the
agency if the person's license is not operative or the
Department has good cause to believe that the person selected
will not fully exercise the responsibilities of a
licensee-in-charge. If the Department has disapproved the
selection of another new licensee-in-charge and the temporary
certificate of authority expires or is about to expire without
the agency selecting a new licensee-in-charge, the Department
shall grant an extension of the temporary certificate of
authority for an additional 90 days, except as otherwise
prohibited in subsection (b) or this subsection (d).
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/20-20)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 20-20. Training; private alarm contractor and
employees.
    (a) Registered employees of the private alarm contractor
agency who carry a firearm and respond to alarm systems shall
complete, within 30 days of their employment, a minimum of 20
hours of classroom training provided by a qualified instructor
and shall include all of the following subjects:
        (1) The law regarding arrest and search and seizure as
    it applies to the private alarm industry.
        (2) Civil and criminal liability for acts related to
    the private alarm industry.
        (3) The use of force, including but not limited to the
    use of nonlethal force (i.e., disabling spray, baton,
    stungun, or similar weapon).
        (4) Arrest and control techniques.
        (5) The offenses under the Criminal Code of 2012 that
    are directly related to the protection of persons and
    property.
        (6) The law on private alarm forces and on reporting
    to law enforcement agencies.
        (7) Fire prevention, fire equipment, and fire safety.
        (8) Civil rights and public relations.
        (9) The identification of terrorists, acts of
    terrorism, and terrorist organizations, as defined by
    federal and State statutes.
    Pursuant to directives set forth by the U.S. Department of
Homeland Security and the provisions set forth by the National
Fire Protection Association in the National Fire Alarm Code
and the Life Safety Code, training may include the
installation, repair, and maintenance of emergency
communication systems and mass notification systems.
    (b) All other employees of a private alarm contractor
agency shall complete a minimum of 20 hours of basic training
provided by a qualified instructor within 30 days of their
employment. The training may be provided in a classroom or
seminar setting or via Internet-based online learning
programs. The substance of the training shall be related to
the work performed by the registered employee.
    (c) It is the responsibility of the employer to certify,
on forms provided by the Department, that the employee has
successfully completed the training. The original form or a
copy shall be a permanent record of training completed by the
employee and shall be placed in the employee's file with the
employer for the term the employee is retained by the
employer. A private alarm contractor agency may place a copy
of the Department form in lieu of the original into the
permanent employee registration card file. The original form
or a copy shall be returned to the employee when the employee's
his or her employment is terminated. Failure to return the
original form or a copy to the employee is grounds for
discipline. The employee shall not be required to complete the
training required under this Act once the employee has been
issued a form.
    (d) Nothing in this Act prevents any employer from
providing or requiring additional training beyond the required
20 hours that the employer feels is necessary and appropriate
for competent job performance.
    (e) Any certification of completion of the 20-hour basic
training issued under the Private Detective, Private Alarm,
Private Security, and Locksmith Act of 1993 or any prior Act
shall be accepted as proof of training under this Act.
(Source: P.A. 102-152, eff. 1-1-22.)
 
    (225 ILCS 447/25-5)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 25-5. Exemptions; private security contractor. The
provisions of this Act related to licensure of a private
security contractor do not apply to any of the following:
        (1) An employee of the United States, Illinois, or a
    political subdivision of either while the employee is
    engaged in the performance of the employee's his or her
    official duties within the scope of the employee's his or
    her employment. However, any such person who offers the
    person's his or her services as a private security
    contractor or uses a similar title when these services are
    performed for compensation or other consideration, whether
    received directly or indirectly, is subject to this Act.
        (2) A person employed as either an armed or unarmed
    security officer at a nuclear energy, storage, weapons, or
    development site or facility regulated by the United
    States Nuclear Regulatory Commission who has completed the
    background screening and training mandated by the
    regulations of the United States Nuclear Regulatory
    Commission.
        (3) A person, watchman, or proprietary security
    officer employed exclusively by only one employer in
    connection with the exclusive activities of that employer.
(Source: P.A. 93-438, eff. 8-5-03.)
 
    (225 ILCS 447/25-10)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 25-10. Qualifications for licensure as a private
security contractor.
    (a) A person is qualified for licensure as a private
security contractor if the person he or she meets all of the
following requirements:
        (1) Is at least 21 years of age.
        (2) Has not been convicted of any felony in any
    jurisdiction or at least 10 years have elapsed since the
    time of full discharge from a sentence imposed for a
    felony conviction.
        (3) Is of good moral character. Good character is a
    continuing requirement of licensure. Conviction of crimes
    other than felonies may be used in determining moral
    character, but shall not constitute an absolute bar to
    licensure, except where the applicant is a registered sex
    offender.
        (4) Has not been declared by any court of competent
    jurisdiction to be incompetent by reason of mental or
    physical defect or disease, unless a court has
    subsequently declared him or her to be competent.
        (5) Is not suffering from dependence on alcohol or
    from narcotic addiction or dependence.
        (6) Has a minimum of 3 years experience of the 5 years
    immediately preceding application working as a full-time
    manager for a licensed private security contractor agency
    or a manager of a proprietary security force of 30 or more
    persons registered with the Department or with 3 years
    experience of the 5 years immediately preceding his or her
    application employed as a full-time supervisor for an
    in-house security unit for a corporation having 100 or
    more employees, for a military police or related security
    unit in any of the armed forces of the United States, or in
    a law enforcement agency of the federal government, a
    state, or a state political subdivision, which shall
    include a state's attorney's office, a public defender's
    office, or the Department of Corrections. The Board and
    the Department shall approve such full-time supervisory
    experience and may accept, in lieu of the experience
    requirement in this subsection, alternative experience
    working as a full-time manager for a private security
    contractor agency licensed in another state or for a
    private security contractor agency in a state that does
    not license such agencies if the experience is
    substantially equivalent to that gained working for an
    Illinois licensed private security contractor agency. An
    applicant who has a baccalaureate degree or higher in
    police science or a related field or a business degree
    from an accredited college or university shall be given
    credit for 2 of the 3 years of the required experience. An
    applicant who has completed a non-degree military training
    program in police science or a related field shall be
    given credit for one of the 3 years of the required
    experience if the Board and the Department determine that
    such training is substantially equivalent to that received
    in an associate degree program. An applicant who has an
    associate degree in police science or in a related field
    or in business from an accredited college or university
    shall be given credit for one of the 3 years of the
    required experience.
        (7) Has not been dishonorably discharged from the
    armed forces of the United States.
        (8) Has passed an examination authorized by the
    Department.
        (9) Submits the applicant's his or her fingerprints,
    proof of having general liability insurance required under
    subsection (b), and the required license fee.
        (10) Has not violated Section 10-5 of this Act.
    (b) It is the responsibility of the applicant to obtain
general liability insurance in an amount and coverage
appropriate for the applicant's circumstances as determined by
rule. The applicant shall provide evidence of insurance to the
Department before being issued a license. Failure to maintain
general liability insurance and to provide the Department with
written proof of the insurance shall result in cancellation of
the license without hearing.
    (c) (Blank). Any person who has been providing canine odor
detection services for hire prior to January 1, 2005 is exempt
from the requirements of item (6) of subsection (a) of this
Section and may be granted a private security contractor
license if (i) he or she meets the requirements of items (1)
through (5) and items (7) through (10) of subsections (a) of
this Section, (ii) pays all applicable fees, and (iii)
presents satisfactory evidence to the Department of the
provision of canine odor detection services for hire since
January 1, 2005.
(Source: P.A. 100-181, eff. 8-18-17.)
 
    (225 ILCS 447/25-15)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 25-15. Qualifications for licensure as a private
security contractor agency.
    (a) Upon receipt of the required fee and proof that the
applicant has a full-time Illinois licensed private security
licensee-in-charge, which is a continuing requirement for
agency licensure, the Department shall issue a license as a
private security contractor agency to any of the following:
        (1) An individual who submits an application and is a
    licensed private security contractor under this Act.
        (2) A firm that submits an application and all of the
    members of the firm are licensed private security
    contractors under this Act.
        (3) A corporation or limited liability company doing
    business in Illinois that is authorized to engage in the
    business of conducting a private security contractor
    agency if at least one officer or executive employee is
    licensed as a private security contractor under this Act
    and all unlicensed officers and directors of the
    corporation or limited liability company are determined by
    the Department to be persons of good moral character.
    (b) No private security contractor may be the
licensee-in-charge for more than one private security
contractor agency. Upon written request by a representative of
the agency, within 10 days after the loss of a
licensee-in-charge of an agency because of the death of that
individual or because of the termination of the employment of
that individual, the Department shall issue a temporary
certificate of authority allowing the continuing operation of
the licensed agency. No temporary certificate of authority
shall be valid for more than 90 days. An extension of an
additional 90 days may be granted upon written request by the
representative of the agency. Not more than 2 extensions may
be granted to any agency. No temporary permit shall be issued
for loss of the licensee-in-charge because of disciplinary
action by the Department related to the licensee-in-charge's
his or her conduct on behalf of the agency.
    (c) Upon issuance of the temporary certificate of
authority as provided for in subsection (b) of this Section
and at any time thereafter while the temporary certificate of
authority is in effect, the Department may request in writing
additional information from the agency regarding the loss of
its licensee-in-charge, the selection of a new
licensee-in-charge, and the management of the agency. Failure
of the agency to respond or respond to the satisfaction of the
Department shall cause the Department to deny any extension of
the temporary certificate of authority. While the temporary
certificate of authority is in effect, the Department may
disapprove the selection of a new licensee-in-charge by the
agency if the person's license is not operative or the
Department has good cause to believe that the person selected
will not fully exercise the responsibilities of a
licensee-in-charge. If the Department has disapproved the
selection of a new licensee-in-charge and the temporary
certificate of authority expires or is about to expire without
the agency selecting another new licensee-in-charge, the
Department shall grant an extension of the temporary
certificate of authority for an additional 90 days, except as
otherwise prohibited in subsection (b) or this subsection (c).
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/25-20)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 25-20. Training; private security contractor and
employees.
    (a) Registered employees of the private security
contractor agency who provide traditional guarding or other
private security related functions or who respond to alarm
systems shall complete, within 30 days of their employment, a
minimum of 20 hours of basic training, which may be provided in
a classroom or seminar setting or via Internet-based online
learning programs, and shall be provided by a qualified
instructor, which shall include the following subjects:
        (1) The law regarding arrest and search and seizure as
    it applies to private security.
        (2) Civil and criminal liability for acts related to
    private security.
        (3) The use of force, including but not limited to the
    use of nonlethal force (i.e., disabling spray, baton,
    stungun, taser, or similar weapon).
        (4) Verbal communication skills.
        (5) The offenses under the Criminal Code of 2012 that
    are directly related to the protection of persons and
    property.
        (6) Private security officers and the criminal justice
    system.
        (7) Fire prevention, fire equipment, and fire safety.
        (8) Report writing and observation techniques.
        (9) Customer service, civil rights, and public
    relations.
        (10) The identification of terrorists, acts of
    terrorism, and terrorist organizations, as defined by
    federal and State statutes.
    (b) All other employees of a private security contractor
agency shall complete a minimum of 20 hours of basic training
provided by the qualified instructor within 30 days of their
employment. The training may be provided in a classroom or
seminar setting or via Internet-based online learning
programs. The substance of the training shall be related to
the work performed by the registered employee.
    (c) Registered employees of the private security
contractor agency who provide guarding or other private
security related functions, in addition to the basic training
required under subsection (a), within 6 months of their
employment, shall complete an additional 8 hours of training
on subjects to be determined by the employer, which training
may be site-specific and may be conducted on the job. The
training may be provided in a classroom or seminar setting or
via Internet-based online learning programs.
    (d) In addition to the basic training provided for in
subsections (a) and (c), registered employees of the private
security contractor agency who provide guarding or other
private security related functions shall complete an
additional 8 hours of refresher training on subjects to be
determined by the employer each calendar year commencing with
the calendar year following the employee's first employment
anniversary date, which refresher training may be
site-specific and may be conducted on the job.
    (e) It is the responsibility of the employer to certify,
on a form provided by the Department, that the employee has
successfully completed the basic and refresher training. The
original form or a copy shall be a permanent record of training
completed by the employee and shall be placed in the
employee's file with the employer for the period the employee
remains with the employer. The original form or a copy shall be
given to the employee when the employee's his or her
employment is terminated. Failure to return the original form
or a copy to the employee is grounds for disciplinary action.
The employee shall not be required to repeat the required
training once the employee has been issued the form. An
employer may provide or require additional training.
    (f) (Blank).
    (g) All private security contractors shall complete a
minimum of 4 hours of annual training on a topic of their
choosing, provided that the subject matter of the training is
reasonably related to their private security contractor
practice. The training may be provided in a classroom setting
or seminar setting or via Internet-based online learning
programs. The Department shall adopt rules to administer this
subsection.
    (h) It shall be the responsibility of the private security
contractor to keep and maintain a personal log of all training
hours earned along with sufficient documentation necessary for
the Department to verify the annual training completed for at
least 5 years. The personal training log and documentation
shall be provided to the Department in the same manner as other
documentation and records required under this Act.
    (i) If the private security contractor owns or is employed
by a private security contractor agency, the private security
contractor agency shall maintain a record of the annual
training. The private security contractor agency must make the
record of annual training available to the Department upon
request.
    (j) Recognizing the diverse professional practices of
private security contractors licensed under this Act, it is
the intent of the training requirements in this Section to
allow for a broad interpretation of the coursework, seminar
subjects, or class topics to be considered reasonably related
to the practice of any profession licensed under this Act.
    (k) Notwithstanding any other professional license a
private security contractor holds under this Act, no more than
4 hours of annual training shall be required for any one year.
    (l) The annual training requirements for private security
contractors shall not apply until the calendar year following
the issuance of the private security contractor license.
(Source: P.A. 102-152, eff. 1-1-22.)
 
    (225 ILCS 447/25-30)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 25-30. Uniforms.
    (a) No licensee under this Act or any employee of a
licensed agency shall wear or display a badge, shoulder patch
or other identification that contains the words "law" or
"enforcement". No license holder or employee of a licensed
agency shall imply in any manner that the person is an employee
or agent of a governmental entity, display a badge or
identification card, emblem, or uniform using the words
"police", "sheriff", "highway patrol", "trooper", "law
enforcement" or any similar term.
    (b) All military-style uniforms, if worn by employees of a
licensed private security contractor agency, must bear the
name of the private security contractor agency, which shall be
plainly visible on a patch, badge, or other insignia.
    (c) All uniforms, if worn by employees of a licensed
private security contractor agency, may only be worn in the
performance of their duties or while commuting directly to or
from the employee's place or places of employment.
    (d) Employees shall return any uniform, badge,
identification card, or equipment issued, but not sold, to the
employee by the agency and any badge or identification card
issued to the employee by the agency within 72 hours of
termination of employment.
    (e) Licensees under this Act of any employee of a licensed
agency are prohibited from using the Illinois State Seal on
badges, company logos, identification cards, patches, or other
insignia.
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/30-5)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 30-5. Exemptions; locksmith. The provisions of this
Act do not apply to any of the following if the person
performing the service does not hold himself or herself out as
a locksmith:
        (1) Automobile service dealers who service, install,
    repair, or rebuild automobile locks.
        (2) Police officers, firefighters, or municipal
    employees who open a lock in an emergency situation.
        (3) A retail merchant selling locks or similar
    security accessories, duplicating keys, or installing,
    programming, repairing, maintaining, reprogramming,
    rebuilding, or servicing electronic garage door devices.
        (4) A member of the building trades who installs or
    removes complete locks or locking devices in the course of
    residential or commercial new construction or remodeling.
        (5) An employee of a towing service, repossessor,
    roadside assistance service, or automobile club opening
    automotive locks in the normal course of the employee's
    his or her duties. Additionally, this Act shall not
    prohibit an employee of a towing service or roadside
    assistance service from opening motor vehicles to enable a
    vehicle to be moved without towing, provided the towing
    service or roadside assistance service does not hold
    itself out to the public, by directory advertisement,
    through a sign at the facilities of the towing service or
    roadside assistance service, or by any other form of
    advertisement, as a locksmith.
        (6) A student in the course of study in locksmith
    programs approved by the Department.
        (7) Warranty service by a lock manufacturer or its
    employees on the manufacturer's own products.
        (8) A maintenance employee of a property management
    company at a multi-family residential building who
    services, installs, repairs, or opens locks for tenants.
        (9) A person employed exclusively by only one employer
    in connection with the exclusive activities of that
    employer, providing that person does not hold oneself
    himself or herself out to the public as a locksmith.
        (10) Persons who have no access to confidential or
    security information and who otherwise do not provide
    traditional locksmith services, as defined in this Act,
    are exempt from employee registration. Examples of exempt
    employees include, but are not limited to, employees
    working in the capacity of key cutters, cashiers, drivers,
    and reception personnel. Confidential or security
    information is that which pertains to employee files,
    scheduling, client contracts, master key charts, access
    codes, or technical security and alarm data.
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/30-10)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 30-10. Qualifications for licensure as a locksmith.
    (a) A person is qualified for licensure as a locksmith if
the person he or she meets all of the following requirements:
        (1) Is at least 18 years of age.
        (2) Has not been convicted of any felony in any
    jurisdiction or at least 10 years have elapsed since the
    time of full discharge from a sentence imposed for a
    felony conviction.
        (3) Is of good moral character. Good moral character
    is a continuing requirement of licensure. Conviction of
    crimes other than felonies may be used in determining
    moral character, but shall not constitute an absolute bar
    to licensure, except where the applicant is a registered
    sex offender.
        (4) Has not been declared by any court of competent
    jurisdiction to be incompetent by reason of mental or
    physical defect or disease, unless a court has
    subsequently declared him or her to be competent.
        (5) Is not suffering from dependence on alcohol or
    from narcotic addiction or dependence.
        (6) Has not been dishonorably discharged from the
    armed forces of the United States.
        (7) Has passed an examination authorized by the
    Department.
        (8) Submits the applicant's his or her fingerprints,
    proof of having general liability insurance required under
    subsection (b), and the required license fee.
        (9) Has not violated Section 10-5 of this Act.
    (b) It is the responsibility of the applicant to obtain
general liability insurance in an amount and coverage
appropriate for the applicant's circumstances as determined by
rule. The applicant shall provide evidence of insurance to the
Department before being issued a license. Failure to maintain
general liability insurance and to provide the Department with
written proof of the insurance shall result in cancellation of
the license without hearing. A locksmith employed by a
licensed locksmith agency or employed by a private concern may
provide proof that the locksmith's his or her actions as a
locksmith are covered by the liability insurance of the
locksmith's his or her employer.
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/30-15)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 30-15. Qualifications for licensure as a locksmith
agency.
    (a) Upon receipt of the required fee and proof that the
applicant has a full-time Illinois licensed locksmith
licensee-in-charge, which is a continuing requirement for
agency licensure, the Department shall issue a license as a
locksmith agency to any of the following:
        (1) An individual who submits an application and is a
    licensed locksmith under this Act.
        (2) A firm that submits an application and all of the
    members of the firm are licensed locksmiths under this
    Act.
        (3) A corporation or limited liability company doing
    business in Illinois that is authorized to engage in the
    business of conducting a locksmith agency if at least one
    officer or executive employee is a licensed locksmith
    under this Act and all unlicensed officers and directors
    of the corporation or limited liability company are
    determined by the Department to be persons of good moral
    character.
    (b) An individual licensed as a locksmith operating under
a business name other than the licensed locksmith's own name
shall not be required to obtain a locksmith agency license if
that licensed locksmith does not employ any persons to engage
in the practice of locksmithing and registers under the
Assumed Business Name Act.
    (c) No locksmith may be the licensee in-charge for more
than one locksmith agency. Upon written request by a
representative of the agency, within 10 days after the loss of
a licensee-in-charge of an agency because of the death of that
individual or because of the termination of the employment of
that individual, the Department shall issue a temporary
certificate of authority allowing the continuing operation of
the licensed agency. No temporary certificate of authority
shall be valid for more than 90 days. An extension of an
additional 90 days may be granted upon written request by the
representative of the agency. Not more than 2 extensions may
be granted to any agency. No temporary permit shall be issued
for loss of the licensee-in-charge because of disciplinary
action by the Department related to the licensee-in-charge's
his or her conduct on behalf of the agency.
    (c-1) Upon issuance of the temporary certificate of
authority as provided for in subsection (c) of this Section
and at any time thereafter while the temporary certificate of
authority is in effect, the Department may request in writing
additional information from the agency regarding the loss of
its licensee-in-charge, the selection of a new
licensee-in-charge, and the management of the agency. Failure
of the agency to respond to the satisfaction of the Department
shall cause the Department to deny any extension of the
temporary certificate of authority. While the temporary
certificate of authority is in effect, the Department may
disapprove the selection of a new licensee-in-charge by the
agency if the person's license is not operative or the
Department has good cause to believe that the person selected
will not fully exercise the responsibilities of a
licensee-in-charge. If the Department has disapproved the
selection of a new licensee-in-charge and the temporary
certificate of authority expires or is about to expire without
the agency selecting another new licensee-in-charge, the
Department shall grant an extension of the temporary
certificate of authority for an additional 90 days, except as
otherwise prohibited in subsection (c) or this subsection
(c-1).
    (d) The Department shall require without limitation all of
the following information from each applicant for licensure as
a locksmith agency under this Act:
        (1) The name, full business address, and telephone
    number of the locksmith agency. The business address for
    the locksmith agency shall be a complete street address
    from which business is actually conducted, shall be
    located within the State, and may not be a P.O. Box. The
    applicant shall submit proof that the business location is
    or will be used to conduct the locksmith agency's
    business. The Department may approve of an out-of-state
    business location if it is not over 50 miles in distance
    from the borders of this State.
        (2) All trade or business names used by the licensee.
        (3) The type of ownership or operation, such as a
    partnership, corporation, or sole proprietorship.
        (4) The name of the owner or operator of the locksmith
    agency, including:
            (A) if a person, then the name and address of
        record of the person;
            (B) if a partnership, then the name and address of
        record of each partner and the name of the
        partnership;
            (C) if a corporation, then the name, address of
        record, and title of each corporate officer and
        director, the corporate names, and the name of the
        state of incorporation; and
            (D) if a sole proprietorship, then the full name
        and address of record of the sole proprietor and the
        name of the business entity.
        (5) The name and license number of the
    licensee-in-charge for the locksmith agency.
        (6) Any additional information required by the
    Department by rule.
    (e) A licensed locksmith agency may operate under a "doing
business as" or assumed name certification without having to
obtain a separate locksmith agency license if the "doing
business as" or assumed name is first registered with the
Department. A licensed locksmith agency may register no more
than one assumed name.
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/30-20)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 30-20. Training; locksmith and employees.
    (a) Registered employees of a licensed locksmith agency
shall complete a minimum of 20 hours of training provided by a
qualified instructor within 30 days of their employment. The
substance of the training shall be prescribed by rule.
    (b) It is the responsibility of the employer to certify,
on a form provided by the Department, that the employee has
successfully completed the training. The form shall be a
permanent record of training completed by the employee and
shall be placed in the employee's file with the employer for
the period the employee remains with the employer. An agency
may place a notarized copy of the Department form in lieu of
the original into the permanent employee registration card
file. The original form or a copy shall be given to the
employee when the employee's his or her employment is
terminated. Failure to return the original form or a copy to
the employee is grounds for disciplinary action. The employee
shall not be required to repeat the required training once the
employee has been issued the form. An employer may provide or
require additional training.
    (c) Any certification of completion of the 20-hour basic
training issued under the Private Detective, Private Alarm,
Private Security and Locksmith Act of 1993 or any prior Act
shall be accepted as proof of training under this Act.
(Source: P.A. 93-438, eff. 8-5-03.)
 
    (225 ILCS 447/30-30)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 30-30. Consumer protection; required information for
consumers.
    (a) A licensee providing any locksmith services shall
document on a work order, invoice, or receipt the name,
address, and telephone number of the person requesting the
work to be done.
    (b) The locksmith who performs the services shall include
on the work order, invoice, or receipt the locksmith's his or
her name and license number.
    (c) If the locksmith who performs the services is employed
by a locksmith agency, then the name, address, and license
number of the locksmith agency and the name and license or
registration number of the locksmith who performed the
services shall be included on the work order, invoice, or
receipt.
    (d) A copy of the work order, invoice, or receipt shall be
provided to the customer at the time of service and the
original copy of the work order, invoice, or receipt shall be
kept by the licensed locksmith or locksmith agency for a
period of 2 years.
    (e) The name, address, and license number of the locksmith
or locksmith agency, if applicable, shall be pre-printed on
the work order, invoice, or receipt required under this
Section.
    (f) A locksmith may be disciplined by the Department
pursuant to this Act for gross or willful overcharging for
professional locksmith services, including filing false
statements for the collection of fees for services not
rendered.
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/31-5)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 31-5. Exemptions.
    (a) The provisions of this Act regarding fingerprint
vendors do not apply to any of the following, if the person
performing the service does not hold oneself himself or
herself out as a fingerprint vendor or fingerprint vendor
agency:
        (1) An employee of the United States, Illinois, or a
    political subdivision, including public school districts,
    of either while the employee is engaged in the performance
    of the employee's his or her official duties within the
    scope of the employee's his or her employment. However,
    any such person who offers the person's his or her
    services as a fingerprint vendor or uses a similar title
    when these services are performed for compensation or
    other consideration, whether received directly or
    indirectly, is subject to this Act.
        (2) A person employed exclusively by only one employer
    in connection with the exclusive activities of that
    employer, provided that person does not hold oneself
    himself or herself out to the public as a fingerprint
    vendor.
        (3) Any member of local law enforcement in the
    performance of his or her duties for criminal justice
    purposes, notwithstanding whether the local law
    enforcement agency charges a reasonable fee related to the
    cost of offering fingerprinting services.
    (b) The provisions of this Act regarding fingerprint
vendors do not apply to any member of a local law enforcement
agency, acting on behalf of the local law enforcement agency
that is registered with the Illinois State Police to provide
fingerprinting services for non-criminal justice purposes,
notwithstanding whether the local law enforcement agency
charges a reasonable fee related to the cost of offering
fingerprinting services.
(Source: P.A. 102-538, eff. 8-20-21.)
 
    (225 ILCS 447/31-10)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 31-10. Qualifications for licensure as a fingerprint
vendor.
    (a) A person is qualified for licensure as a fingerprint
vendor if the person he or she meets all of the following
requirements:
        (1) Is at least 18 years of age.
        (2) Has not been convicted of any felony in any
    jurisdiction or at least 10 years have elapsed since the
    time of full discharge from a sentence imposed for a
    felony conviction.
        (3) Is of good moral character. Good moral character
    is a continuing requirement of licensure. Conviction of
    crimes other than felonies may be used in determining
    moral character, but shall not constitute an absolute bar
    to licensure, except where the applicant is a registered
    sex offender.
        (4) Has not been declared by any court of competent
    jurisdiction to be incompetent by reason of mental or
    physical defect or disease, unless a court has
    subsequently declared him or her to be competent.
        (5) Is not suffering from dependence on alcohol or
    from narcotic addiction or dependence.
        (6) Has not been dishonorably discharged from the
    armed forces of the United States.
        (7) Submits certification issued by the Illinois State
    Police that the applicant has successfully completed a
    fingerprint vendor training course conducted or authorized
    by the Illinois State Police.
        (8) Submits the applicant's his or her fingerprints,
    in accordance with subsection (b) of this Section.
        (9) Has not violated any provision of this Act or any
    rule adopted under this Act.
        (10) Provides evidence satisfactory to the Department
    that the applicant has obtained general liability
    insurance in an amount and with coverage as determined by
    rule. Failure to maintain general liability insurance and
    failure to provide the Department with written proof of
    the insurance, upon request, shall result in cancellation
    of the license without hearing. A fingerprint vendor
    employed by a licensed fingerprint vendor agency may
    provide proof that the employee's his or her actions as a
    fingerprint vendor are covered by the liability insurance
    of the employee's his or her employer.
        (11) Pays the required licensure fee.
        (12) (Blank).
        (13) Submits proof that the applicant maintains a
    business office located in the State of Illinois.
        (14) Provides proof of compliance with subsection (e)
    of Section 31-15 of this Act if the applicant is not
    required to obtain a fingerprint vendor agency license
    pursuant to subsection (b) of Section 31-15 of this Act.
    (b) Each applicant for a fingerprint vendor license shall
have the applicant's his or her fingerprints submitted to the
Illinois State Police in an electronic format that complies
with the form and manner for requesting and furnishing
criminal history record information as prescribed by the
Illinois State Police. These fingerprints shall be checked
against the Illinois State Police and Federal Bureau of
Investigation criminal history record databases now and
hereafter filed. The Illinois State Police shall charge
applicants a fee for conducting the criminal history records
check, which shall be deposited in the State Police Services
Fund and shall not exceed the actual cost of the records check.
The Illinois State Police shall furnish, pursuant to positive
identification, records of Illinois convictions to the
Department. The Department may require applicants to pay a
separate fingerprinting fee, either to the Department or
directly to the vendor. The Department, in its discretion, may
allow an applicant who does not have reasonable access to a
designated vendor to provide the applicant's his or her
fingerprints in an alternative manner. The Department, in its
discretion, may also use other procedures in performing or
obtaining criminal background checks of applicants. Instead of
submitting the applicant's his or her fingerprints, an
individual may submit proof that is satisfactory to the
Department that an equivalent security clearance has been
conducted. Also, an individual who has retired as a peace
officer within 12 months of application may submit
verification, on forms provided by the Department and signed
by the applicant's his or her employer, of the applicant's his
or her previous full-time employment as a peace officer.
(Source: P.A. 102-538, eff. 8-20-21.)
 
    (225 ILCS 447/31-15)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 31-15. Qualifications for licensure as a fingerprint
vendor agency.
    (a) Upon receipt of the required fee, compliance with
subsection (e) of this Section, and proof that the applicant
has a full-time Illinois licensed fingerprint vendor
licensee-in-charge, which is a continuing requirement for
agency licensure, the Department may issue a license as a
fingerprint vendor agency to any of the following:
        (1) An individual who submits an application and is a
    licensed fingerprint vendor under this Act.
        (2) A firm that submits an application and all of the
    members of the firm are licensed fingerprint vendors under
    this Act.
        (3) A corporation or limited liability company doing
    business in Illinois that is authorized to engage in the
    business of conducting a fingerprint vendor agency if at
    least one officer or executive employee is a licensed
    fingerprint vendor under this Act and all unlicensed
    officers and directors of the corporation or limited
    liability company are determined by the Department to be
    persons of good moral character.
    (b) An individual licensed as a fingerprint vendor
operating under a business name other than the licensed
fingerprint vendor's own name shall not be required to obtain
a fingerprint vendor agency license if that licensed
fingerprint vendor does not employ any persons to provide
fingerprinting services. However, in either circumstance, the
individual shall comply with the requirements of subsection
(e) of this Section as a requirement for licensure.
    (c) No fingerprint vendor may be the licensee-in-charge
for more than one fingerprint vendor agency. Upon written
request by a representative of the agency, within 10 days
after the loss of a licensee-in-charge of an agency because of
the death of that individual or because of the termination of
the employment of that individual, the Department shall issue
a temporary certificate of authority allowing the continuing
operation of the licensed agency. No temporary certificate of
authority shall be valid for more than 90 days. An extension of
an additional 90 days may be granted upon written request by
the representative of the agency. Not more than 2 extensions
may be granted to any agency. No temporary permit shall be
issued for loss of the licensee-in-charge because of
disciplinary action by the Department related to the
licensee-in-charge's his or her conduct on behalf of the
agency.
    (d) Upon issuance of the temporary certificate of
authority as provided for in subsection (c) of this Section
and at any time thereafter while the temporary certificate of
authority is in effect, the Department may request in writing
additional information from the agency regarding the loss of
its licensee-in-charge, the selection of a new
licensee-in-charge, and the management of the agency. Failure
of the agency to respond or respond to the satisfaction of the
Department shall cause the Department to deny any extension of
the temporary certificate of authority. While the temporary
certificate of authority is in effect, the Department may
disapprove the selection of a new licensee-in-charge by the
agency if the person's license is not operative or the
Department has good cause to believe that the person selected
will not fully exercise the responsibilities of a
licensee-in-charge. If the Department has disapproved the
selection of a new licensee-in-charge and the temporary
certificate of authority expires or is about to expire without
the agency selecting another new licensee-in-charge, the
Department shall grant an extension of the temporary
certificate of authority for an additional 90 days, except as
otherwise prohibited in subsection (c) or this subsection (d).
    (e) An applicant shall submit certification issued by the
Illinois State Police that the applicant's fingerprinting
equipment and software meets all specifications required by
the Illinois State Police. Compliance with Illinois State
Police fingerprinting equipment and software specifications is
a continuing requirement for licensure.
(Source: P.A. 102-538, eff. 8-20-21.)
 
    (225 ILCS 447/31-20)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 31-20. Training; fingerprint vendor and employees.
    (a) Registered employees of a licensed fingerprint vendor
agency shall complete a minimum of 20 hours of training
provided by a qualified instructor within 30 days of their
employment. The substance of the training shall be prescribed
by rule.
    (b) It is the responsibility of the employer to certify,
on a form provided by the Department, that the employee has
successfully completed the training. The form shall be a
permanent record of training completed by the employee and
shall be placed in the employee's file with the employer for
the period the employee remains with the employer. An agency
may place a notarized copy of the Department form, in lieu of
the original, into the permanent employee registration card
file. The original form or a copy shall be given to the
employee when the employee's his or her employment is
terminated. Failure to return the original form or a copy to
the employee is grounds for disciplinary action. The employee
shall not be required to repeat the required training once the
employee has been issued the form. An employer may provide or
require additional training.
    (c) Any certification of completion of the 20-hour basic
training issued under this Act the Private Detective, Private
Alarm, Private Security, and Locksmith Act of 2004 or any
prior Act shall be accepted as proof of training under this
Act.
    (d) No registered employee of a licensed fingerprint
vendor agency may operate live scan fingerprint equipment or
other equipment designed to obtain fingerprint images for the
purpose of providing fingerprint images and associated
demographic data to the Illinois State Police.
(Source: P.A. 102-538, eff. 8-20-21.)
 
    (225 ILCS 447/35-5)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 35-5. Display of license. Each licensee shall
prominently display the licensee's his or her individual,
agency, or branch office license at each place where business
is being conducted, as required under this Act. A
licensee-in-charge is required to post the licensee's his or
her license only at the agency office.
(Source: P.A. 93-438, eff. 8-5-03.)
 
    (225 ILCS 447/35-10)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 35-10. Inspection of facilities. Each licensee or
registrant shall permit the licensee's or registrant's his or
her office facilities, business premises, canine training
facilities, firearm training facilities, and registered
employee files to be audited or inspected at reasonable times
and in a reasonable manner by the Department.
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/35-15)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 35-15. Advertisements; penalties.
    (a) No licensee providing services regulated by this Act
may knowingly advertise those services without including the
licensee's his or her license number in the advertisement. The
publisher of the advertising, however, is not required to
verify the accuracy of the advertisement or the license
number.
    (b) A licensee who advertises services regulated by this
Act who knowingly (i) fails to display the licensee's his or
her license at the licensee's his or her place of business,
(ii) fails to provide the publisher with the current license
number, or (iii) provides the publisher with a false license
number or a license number other than that of the person or
agency doing the advertising or a licensee who knowingly
allows the licensee's his or her license number to be
displayed or used by another person or agency to circumvent
any provision of this subsection, is guilty of a Class A
misdemeanor. Each day an advertisement is published or a
licensee allows the licensee's his or her license to be used in
violation of this Section constitutes a separate offense. In
addition to the penalties and remedies provided in this
Section, a licensee who violates any provision of this Section
shall be subject to the disciplinary action, fines, and civil
penalty provisions of this Act.
(Source: P.A. 93-438, eff. 8-5-03.)
 
    (225 ILCS 447/35-25)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 35-25. Duplicate licenses. If a license, permanent
employee registration card, or firearm control card is lost, a
duplicate shall be issued upon proof of such loss together
with the payment of the required fee. If a licensee decides to
change the licensee's his or her name, the Department shall
issue a license in the new name upon proof that the change was
done pursuant to law and payment of the required fee.
Notification of a name change shall be made to the Department
within 30 days after the change.
(Source: P.A. 95-613, eff. 9-11-07.)
 
    (225 ILCS 447/35-30)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 35-30. Employee requirements. All employees of a
licensed agency, other than those exempted, shall apply for a
permanent employee registration card. The holder of an agency
license issued under this Act, known in this Section as
"employer", may employ in the conduct of the employer's his or
her business employees under the following provisions:
    (a) No person shall be issued a permanent employee
registration card who:
        (1) Is younger than 18 years of age.
        (2) Is younger than 21 years of age if the services
    will include being armed.
        (3) Has been determined by the Department to be unfit
    by reason of conviction of an offense in this or another
    state, including registration as a sex offender, but not
    including a traffic offense. Persons convicted of felonies
    involving bodily harm, weapons, violence, or theft within
    the previous 10 years shall be presumed to be unfit for
    registration. The Department shall adopt rules for making
    those determinations that shall afford the applicant due
    process of law.
        (4) Has had a license or permanent employee
    registration card denied, suspended, or revoked under this
    Act (i) within one year before the date the person's
    application for permanent employee registration card is
    received by the Department; and (ii) that refusal, denial,
    suspension, or revocation was based on any provision of
    this Act other than Section 40-50, item (6) or (8) of
    subsection (a) of Section 15-10, subsection (b) of Section
    15-10, item (6) or (8) of subsection (a) of Section 20-10,
    subsection (b) of Section 20-10, item (6) or (8) of
    subsection (a) of Section 25-10, subsection (b) of Section
    25-10, item (7) of subsection (a) of Section 30-10,
    subsection (b) of Section 30-10, or Section 10-40.
        (5) Has been declared incompetent by any court of
    competent jurisdiction by reason of mental disease or
    defect and has not been restored.
        (6) Has been dishonorably discharged from the armed
    services of the United States.
    (b) No person may be employed by a private detective
agency, private security contractor agency, private alarm
contractor agency, fingerprint vendor agency, or locksmith
agency under this Section until the person he or she has
executed and furnished to the employer, on forms furnished by
the Department, a verified statement to be known as
"Employee's Statement" setting forth:
        (1) The person's full name, age, and residence
    address.
        (2) The business or occupation engaged in for the 5
    years immediately before the date of the execution of the
    statement, the place where the business or occupation was
    engaged in, and the names of employers, if any.
        (3) That the person has not had a license or employee
    registration denied, revoked, or suspended under this Act
    (i) within one year before the date the person's
    application for permanent employee registration card is
    received by the Department; and (ii) that refusal, denial,
    suspension, or revocation was based on any provision of
    this Act other than Section 40-50, item (6) or (8) of
    subsection (a) of Section 15-10, subsection (b) of Section
    15-10, item (6) or (8) of subsection (a) of Section 20-10,
    subsection (b) of Section 20-10, item (6) or (8) of
    subsection (a) of Section 25-10, subsection (b) of Section
    25-10, item (7) of subsection (a) of Section 30-10,
    subsection (b) of Section 30-10, or Section 10-40.
        (4) Any conviction of a felony or misdemeanor.
        (5) Any declaration of incompetence by a court of
    competent jurisdiction that has not been restored.
        (6) Any dishonorable discharge from the armed services
    of the United States.
        (7) Any other information as may be required by any
    rule of the Department to show the good character,
    competency, and integrity of the person executing the
    statement.
    (c) Each applicant for a permanent employee registration
card shall have the applicant's his or her fingerprints
submitted to the Illinois State Police in an electronic format
that complies with the form and manner for requesting and
furnishing criminal history record information as prescribed
by the Illinois State Police. These fingerprints shall be
checked against the Illinois State Police and Federal Bureau
of Investigation criminal history record databases now and
hereafter filed. The Illinois State Police shall charge
applicants a fee for conducting the criminal history records
check, which shall be deposited in the State Police Services
Fund and shall not exceed the actual cost of the records check.
The Illinois State Police shall furnish, pursuant to positive
identification, records of Illinois convictions to the
Department. The Department may require applicants to pay a
separate fingerprinting fee, either to the Department or
directly to the vendor. The Department, in its discretion, may
allow an applicant who does not have reasonable access to a
designated vendor to provide the applicant's his or her
fingerprints in an alternative manner. The Department, in its
discretion, may also use other procedures in performing or
obtaining criminal background checks of applicants. Instead of
submitting the applicant's his or her fingerprints, an
individual may submit proof that is satisfactory to the
Department that an equivalent security clearance has been
conducted. Also, an individual who has retired as a peace
officer within 12 months of application may submit
verification, on forms provided by the Department and signed
by the applicant's his or her employer, of the applicant's his
or her previous full-time employment as a peace officer.
    (d) The Department shall issue a permanent employee
registration card, in a form the Department prescribes, to all
qualified applicants. The holder of a permanent employee
registration card shall carry the card at all times while
actually engaged in the performance of the duties of the
employee's his or her employment. Expiration and requirements
for renewal of permanent employee registration cards shall be
established by rule of the Department. Possession of a
permanent employee registration card does not in any way imply
that the holder of the card is employed by an agency unless the
permanent employee registration card is accompanied by the
employee identification card required by subsection (f) of
this Section.
    (e) Each employer shall maintain a record of each employee
that is accessible to the duly authorized representatives of
the Department. The record shall contain the following
information:
        (1) A photograph taken within 10 days of the date that
    the employee begins employment with the employer. The
    photograph shall be replaced with a current photograph
    every 3 calendar years.
        (2) The Employee's Statement specified in subsection
    (b) of this Section.
        (3) All correspondence or documents relating to the
    character and integrity of the employee received by the
    employer from any official source or law enforcement
    agency.
        (4) In the case of former employees, the employee
    identification card of that person issued under subsection
    (f) of this Section. Each employee record shall duly note
    if the employee is employed in an armed capacity. Armed
    employee files shall contain a copy of an active firearm
    owner's identification card and a copy of an active
    firearm control card. Each employer shall maintain a
    record for each armed employee of each instance in which
    the employee's weapon was discharged during the course of
    the employee's his or her professional duties or
    activities. The record shall be maintained on forms
    provided by the Department, a copy of which must be filed
    with the Department within 15 days of an instance. The
    record shall include the date and time of the occurrence,
    the circumstances involved in the occurrence, and any
    other information as the Department may require. Failure
    to provide this information to the Department or failure
    to maintain the record as a part of each armed employee's
    permanent file is grounds for disciplinary action. The
    Department, upon receipt of a report, shall have the
    authority to make any investigation it considers
    appropriate into any occurrence in which an employee's
    weapon was discharged and to take disciplinary action as
    may be appropriate.
        (5) A copy of the employee's permanent employee
    registration card or a copy of the Department's "License
    Lookup" Webpage showing that the employee has been issued
    a valid permanent employee registration card by the
    Department.
    The Department may, by rule, prescribe further record
requirements.
    (f) Every employer shall furnish an employee
identification card to each of the employer's his or her
employees. This employee identification card shall contain a
recent photograph of the employee, the employee's name, the
name and agency license number of the employer, the employee's
personal description, the signature of the employer, the
signature of that employee, the date of issuance, and an
employee identification card number.
    (g) No employer may issue an employee identification card
to any person who is not employed by the employer in accordance
with this Section or falsely state or represent that a person
is or has been in the employer's his or her employ. It is
unlawful for an applicant for registered employment to file
with the Department the fingerprints of a person other than
himself or herself.
    (h) Every employer shall obtain the identification card of
every employee who terminates employment with the employer him
or her.
    (i) Every employer shall maintain a separate roster of the
names of all employees currently working in an armed capacity
and submit the roster to the Department on request.
    (j) No agency may employ any person to perform a licensed
activity under this Act unless the person possesses a valid
permanent employee registration card or a valid license under
this Act, or is exempt pursuant to subsection (n).
    (k) Notwithstanding the provisions of subsection (j), an
agency may employ a person in a temporary capacity if all of
the following conditions are met:
        (1) The agency completes in its entirety and submits
    to the Department an application for a permanent employee
    registration card, including the required fingerprint
    receipt and fees.
        (2) The agency has verification from the Department
    that the applicant has no record of any criminal
    conviction pursuant to the criminal history check
    conducted by the Illinois State Police. The agency shall
    maintain the verification of the results of the Illinois
    State Police criminal history check as part of the
    employee record as required under subsection (e) of this
    Section.
        (3) The agency exercises due diligence to ensure that
    the person is qualified under the requirements of this the
    Act to be issued a permanent employee registration card.
        (4) The agency maintains a separate roster of the
    names of all employees whose applications are currently
    pending with the Department and submits the roster to the
    Department on a monthly basis. Rosters are to be
    maintained by the agency for a period of at least 24
    months.
    An agency may employ only a permanent employee applicant
for which it either submitted a permanent employee application
and all required forms and fees or it confirms with the
Department that a permanent employee application and all
required forms and fees have been submitted by another agency,
licensee or the permanent employee and all other requirements
of this Section are met.
    The Department shall have the authority to revoke, without
a hearing, the temporary authority of an individual to work
upon receipt of Federal Bureau of Investigation fingerprint
data or a report of another official authority indicating a
criminal conviction. If the Department has not received a
temporary employee's Federal Bureau of Investigation
fingerprint data within 120 days of the date the Department
received the Illinois State Police fingerprint data, the
Department may, at its discretion, revoke the employee's
temporary authority to work with 15 days written notice to the
individual and the employing agency.
    An agency may not employ a person in a temporary capacity
if it knows or reasonably should have known that the person has
been convicted of a crime under the laws of this State, has
been convicted in another state of any crime that is a crime
under the laws of this State, has been convicted of any crime
in a federal court, or has been posted as an unapproved
applicant by the Department. Notice by the Department to the
agency, via certified mail, personal delivery, electronic
mail, or posting on the Department's Internet site accessible
to the agency that the person has been convicted of a crime
shall be deemed constructive knowledge of the conviction on
the part of the agency. The Department may adopt rules to
implement this subsection (k).
    (l) No person may be employed under this Section in any
capacity if:
        (1) the person, while so employed, is being paid by
    the United States or any political subdivision for the
    time so employed in addition to any payments the person he
    or she may receive from the employer; or
        (2) the person wears any portion of the person's his
    or her official uniform, emblem of authority, or equipment
    while so employed.
    (m) If information is discovered affecting the
registration of a person whose fingerprints were submitted
under this Section, the Department shall so notify the agency
that submitted the fingerprints on behalf of that person.
    (n) Peace officers shall be exempt from the requirements
of this Section relating to permanent employee registration
cards. The agency shall remain responsible for any peace
officer employed under this exemption, regardless of whether
the peace officer is compensated as an employee or as an
independent contractor and as further defined by rule.
    (o) Persons who have no access to confidential or security
information, who do not go to a client's or prospective
client's residence or place of business, and who otherwise do
not provide traditional security services are exempt from
employee registration. Examples of exempt employees include,
but are not limited to, employees working in the capacity of
ushers, directors, ticket takers, cashiers, drivers, and
reception personnel. Confidential or security information is
that which pertains to employee files, scheduling, client
contracts, or technical security and alarm data.
    (p) An applicant who is 21 years of age or older seeking a
religious exemption to the photograph requirement of this
Section shall furnish with the application an approved copy of
United States Department of the Treasury Internal Revenue
Service Form 4029. Regardless of age, an applicant seeking a
religious exemption to this photograph requirement shall
submit fingerprints in a form and manner prescribed by the
Department with the applicant's his or her application in lieu
of a photograph.
(Source: P.A. 102-538, eff. 8-20-21.)
 
    (225 ILCS 447/35-35)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 35-35. Requirement of a firearm control card.
    (a) No person shall perform duties that include the use,
carrying, or possession of a firearm in the performance of
those duties without complying with the provisions of this
Section and having been issued a valid firearm control card by
the Department.
    (b) No employer shall employ any person to perform the
duties for which licensure or employee registration is
required and allow that person to carry a firearm unless that
person has complied with all the firearm training requirements
of this Section and has been issued a firearm control card.
This Act permits only the following to carry firearms while
actually engaged in the performance of their duties or while
commuting directly to or from their places of employment:
persons licensed as private detectives and their registered
employees; persons licensed as private security contractors
and their registered employees; persons licensed as private
alarm contractors and their registered employees; and
employees of a registered armed proprietary security force.
    (c) Possession of a valid firearm control card allows a
licensee or employee to carry a firearm not otherwise
prohibited by law while the licensee or employee is engaged in
the performance of the licensee's or employee's his or her
duties or while the licensee or employee is commuting directly
to or from the licensee's or employee's place or places of
employment.
    (d) The Department shall issue a firearm control card to a
person who has passed an approved firearm training course, who
is currently licensed or employed by an agency licensed by
this Act and has met all the requirements of this Act, and who
possesses a valid firearm owner identification card.
Application for the firearm control card shall be made by the
employer to the Department on forms provided by the
Department. The Department shall forward the card to the
employer who shall be responsible for its issuance to the
licensee or employee. The firearm control card shall be issued
by the Department and shall identify the person holding it and
the name of the course where the licensee or employee received
firearm instruction and shall specify the type of weapon or
weapons the person is authorized by the Department to carry
and for which the person has been trained.
    (e) Expiration and requirements for renewal of firearm
control cards shall be determined by rule.
    (f) The Department may, in addition to any other
disciplinary action permitted by this Act, refuse to issue,
suspend, or revoke a firearm control card if the applicant or
holder has been convicted of any felony or crime involving the
illegal use, carrying, or possession of a deadly weapon or for
a violation of this Act or rules promulgated under this Act.
The Department shall refuse to issue or shall revoke a firearm
control card if the applicant or holder fails to possess a
valid firearm owners identification card without hearing. The
Secretary shall summarily suspend a firearm control card if
the Secretary finds that its continued use would constitute an
imminent danger to the public. A hearing shall be held before
the Board within 30 days if the Secretary summarily suspends a
firearm control card.
    (g) Notwithstanding any other provision of this Act to the
contrary, all requirements relating to firearms control cards
do not apply to a peace officer. If an individual ceases to be
employed as a peace officer and continues to perform services
in an armed capacity under this Act that are licensed
activities, then the individual is required to obtain a
permanent employee registration card pursuant to Section 35-30
of this Act and must possess a valid Firearm Owner's
Identification Card, but is not required to obtain a firearm
control card if the individual is otherwise in continuing
compliance with the federal Law Enforcement Officers Safety
Act of 2004. If an individual elects to carry a firearm
pursuant to the federal Law Enforcement Officers Safety Act of
2004, then the agency employing the officer shall is required
to submit an application a notice of that election to the
Department for issuance of a waiver card along with a fee
specified by rule.
    (h) The Department may issue a temporary firearm control
card pending issuance of a new firearm control card upon an
agency's acquiring of an established armed account. An agency
that has acquired armed employees as a result of acquiring an
established armed account may, on forms supplied by the
Department, request the issuance of a temporary firearm
control card for each acquired employee who held a valid
firearm control card under the employer's his or her
employment with the newly acquired established armed account
immediately preceding the acquiring of the account and who
continues to meet all of the qualifications for issuance of a
firearm control card set forth in this Act and any rules
adopted under this Act. The Department shall, by rule, set the
fee for issuance of a temporary firearm control card.
    (i) The Department shall not issue a firearm control card
to a licensed fingerprint vendor or a licensed locksmith or
employees of a licensed fingerprint vendor agency or a
licensed locksmith agency.
(Source: P.A. 100-712, eff. 8-3-18.)
 
    (225 ILCS 447/35-43)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 35-43. Requirement of a canine trainer authorization
card; qualifications.
    (a) No person may perform duties that include the training
of canine handlers and canines to protect persons or property
or to conduct investigations without having been issued a
valid canine trainer authorization card by the Department.
    (b) No employer shall employ any person to perform the
duties for which employee registration is required under this
Act and allow that person to train canine handlers and canines
unless that person has been issued a canine trainer
authorization card.
    (c) The Department shall issue a canine trainer
authorization card to a person who (i) has passed an approved
canine trainer training course, (ii) is currently employed by
an agency licensed under this Act, and (iii) has met all of the
applicable requirements of this Act. Application for the
canine trainer authorization card shall be made by the
employer to the Department on forms provided by the
Department. The Department shall forward the card to the
employer who shall be responsible for its issuance to the
employee.
    (d) The Department may, in addition to any other
disciplinary action permitted by this Act, refuse to issue,
suspend, or revoke a canine trainer authorization card if the
applicant or holder has been convicted of any felony or
misdemeanor involving cruelty to animals or for a violation of
this Act or rules promulgated under this Act.
    (e) Qualifications for canine trainers shall be set by the
Department by rule. Any person who has been engaged in the
provision of canine trainer services prior to January 1, 2005,
shall be granted a canine trainer authorization card upon the
submission of a completed application, the payment of
applicable fees, and the demonstration satisfactory to the
Department of the provision of such services.
(Source: P.A. 95-613, eff. 9-11-07.)
 
    (225 ILCS 447/35-45)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 35-45. Armed proprietary security force.
    (a) All financial institutions or commercial or industrial
operations that employ one or more armed employees shall
register their security forces with the Department on forms
provided by the Department. Registration subjects the security
force to all of the requirements of Section 35-40. For the
purposes of this Section, "financial institution" includes a
bank, savings and loan association, credit union, currency
exchange, or company providing armored car services.
    (b) All armed employees of the registered proprietary
security force must complete a 20-hour basic training course
and all the firearm training requirements of Section 35-40.
    (c) Every proprietary security force is required to apply
to the Department, on forms supplied by the Department, for a
firearm control card for each armed employee. Each armed
employee shall have the employee's his or her fingerprints
submitted to the Department of State Police in an electronic
format that complies with the form and manner for requesting
and furnishing criminal history record information as
prescribed by the Department of State Police. These
fingerprints shall be checked against the Department of State
Police and Federal Bureau of Investigation criminal history
record databases. The Department of State Police shall charge
the armed employee a fee for conducting the criminal history
records check, which shall be deposited in the State Police
Services Fund and shall not exceed the actual cost of the
records check. The Department of State Police shall furnish,
pursuant to positive identification, records of Illinois
convictions to the Department. The Department may require
armed employees to pay a separate fingerprinting fee, either
to the Department or directly to the vendor. The Department,
in its discretion, may allow an armed employee who does not
have reasonable access to a designated vendor to provide the
employee's his or her fingerprints in an alternative manner.
The Department, in its discretion, may also use other
procedures in performing or obtaining criminal background
checks of armed employees. Instead of submitting the
employee's his or her fingerprints, an individual may submit
proof that is satisfactory to the Department that an
equivalent security clearance has been conducted. Also, an
individual who has retired as a peace officer within 12 months
before application may submit verification, on forms provided
by the Department and signed by the employee's his or her
employer, of the employee's his or her previous full-time
employment as a peace officer.
    (d) The Department may provide rules for the
administration of this Section.
(Source: P.A. 102-152, eff. 1-1-22.)
 
    (225 ILCS 447/40-5)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 40-5. Injunctive relief.
    (a) The practice of a private detective, private security
contractor, private alarm contractor, fingerprint vendor,
locksmith, private detective agency, private security
contractor agency, private alarm contractor agency,
fingerprint vendor agency, or locksmith agency by any person,
firm, corporation, or other legal entity that has not been
issued a license by the Department or whose license has been
suspended, revoked, or not renewed is hereby declared to be
inimical to the public safety and welfare and to constitute a
public nuisance. The Secretary may, in the name of the People
of the State of Illinois through the Attorney General of the
State of Illinois or the State's Attorney of any county in
which the violation is alleged to have occurred in the State of
Illinois, petition for an order enjoining the violation or for
an order enforcing compliance with this Act. Upon the filing
of a verified petition in court, if satisfied by affidavit or
otherwise that the person, firm, corporation, or other legal
entity is or has been conducting activities in violation of
this Act, the court may enter a temporary restraining order or
preliminary injunction, without bond, enjoining the defendant
from further activity. A copy of the verified complaint shall
be served upon the defendant and the proceedings shall be
conducted as in civil cases. If it is established the
defendant has been or is conducting activities in violation of
this Act, the court may enter a judgment enjoining the
defendant from that activity. In case of violation of any
injunctive order or judgment entered under this Section, the
court may punish the offender for contempt of court.
Injunctive proceedings shall be in addition to all other
penalties under this Act.
    (b) If any person practices as a private detective,
private security contractor, private alarm contractor,
fingerprint vendor, locksmith, private detective agency,
private security contractor agency, private alarm contractor
agency, fingerprint vendor agency, or locksmith agency or
holds himself or herself out as such without having a valid
license under this Act, then any licensee, any interested
party, or any person injured thereby may, in addition to the
Secretary, petition for relief as provided in subsection (a)
of this Section. Reasonable attorney's fees and costs may be
awarded to the licensee, interested party, or person injured
if the licensee, interested party, or person injured he or she
successfully obtains injunctive relief, whether by consent or
otherwise.
(Source: P.A. 102-418, eff. 8-20-21.)
 
    (225 ILCS 447/40-10)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 40-10. Disciplinary sanctions.
    (a) The Department may deny issuance, refuse to renew, or
restore or may reprimand, place on probation, suspend, revoke,
or take other disciplinary or non-disciplinary action against
any license, registration, permanent employee registration
card, canine handler authorization card, canine trainer
authorization card, or firearm control card, may impose a fine
not to exceed $10,000 for each violation, and may assess costs
as provided for under Section 45-60, for any of the following:
        (1) Fraud, deception, or misrepresentation in
    obtaining or renewing of a license or registration.
        (2) Professional incompetence as manifested by poor
    standards of service.
        (3) Engaging in dishonorable, unethical, or
    unprofessional conduct of a character likely to deceive,
    defraud, or harm the public.
        (4) Conviction of or plea of guilty or plea of nolo
    contendere to a felony or misdemeanor in this State or any
    other jurisdiction or the entry of an administrative
    sanction by a government agency in this State or any other
    jurisdiction; action taken under this paragraph (4) for a
    misdemeanor or an administrative sanction is limited to a
    misdemeanor or administrative sanction that has as an
    essential element of dishonesty or fraud or involves
    larceny, embezzlement, or obtaining money, property, or
    credit by false pretenses or by means of a confidence
    game.
        (5) Performing any services in a grossly negligent
    manner or permitting any of a licensee's employees to
    perform services in a grossly negligent manner, regardless
    of whether actual damage to the public is established.
        (6) Continued practice, although the person has become
    unfit to practice due to any of the following:
            (A) Physical illness, mental illness, or other
        impairment, including, but not limited to,
        deterioration through the aging process or loss of
        motor skills that results in the inability to serve
        the public with reasonable judgment, skill, or safety.
            (B) (Blank).
            (C) Habitual or excessive use or abuse of drugs
        defined in law as controlled substances, alcohol, or
        any other substance that results in the inability to
        practice with reasonable judgment, skill, or safety.
        (7) Receiving, directly or indirectly, compensation
    for any services not rendered.
        (8) Willfully deceiving or defrauding the public on a
    material matter.
        (9) Failing to account for or remit any moneys or
    documents coming into the licensee's possession that
    belong to another person or entity.
        (10) Discipline by another United States jurisdiction,
    foreign nation, or governmental agency, if at least one of
    the grounds for the discipline is the same or
    substantially equivalent to those set forth in this Act.
        (11) Giving differential treatment to a person that is
    to that person's detriment because of race, color, creed,
    sex, religion, or national origin.
        (12) Engaging in false or misleading advertising.
        (13) Aiding, assisting, or willingly permitting
    another person to violate this Act or rules promulgated
    under it.
        (14) Performing and charging for services without
    authorization to do so from the person or entity serviced.
        (15) Directly or indirectly offering or accepting any
    benefit to or from any employee, agent, or fiduciary
    without the consent of the latter's employer or principal
    with intent to or the understanding that this action will
    influence the person's his or her conduct in relation to
    the person's his or her employer's or principal's affairs.
        (16) Violation of any disciplinary order imposed on a
    licensee by the Department.
        (17) Performing any act or practice that is a
    violation of this Act or the rules for the administration
    of this Act, or having a conviction or administrative
    finding of guilty as a result of violating any federal or
    State laws, rules, or regulations that apply exclusively
    to the practices of private detectives, private alarm
    contractors, private security contractors, fingerprint
    vendors, or locksmiths.
        (18) Owning, operating, or managing Conducting an
    agency without a valid license.
        (19) Revealing confidential information, except as
    required by law, including but not limited to information
    available under Section 2-123 of the Illinois Vehicle
    Code.
        (20) Failing to make available to the Department, upon
    request, any books, records, or forms required by this
    Act.
        (21) Failing, within 30 days, to respond to a written
    request for information from the Department.
        (22) Failing to provide employment information or
    experience information required by the Department
    regarding an applicant for licensure.
        (23) Failing to make available to the Department at
    the time of the request any indicia of licensure or
    registration issued under this Act.
        (24) Purporting to be a licensee-in-charge of an
    agency without active participation in the agency.
        (25) A finding by the Department that the licensee,
    after having the licensee's his or her license placed on
    probationary status, has violated the terms of probation.
        (26) Violating subsection (f) of Section 30-30.
        (27) A firearm control card holder having more
    firearms in the holder's his or her immediate possession
    than the holder he or she can reasonably exercise control
    over.
        (28) Failure to report in writing to the Department,
    within 60 days of an entry of a settlement or a verdict in
    excess of $10,000, any legal action in which the quality
    of the licensee's or registrant's professional services
    was the subject of the legal action.
    (b) All fines imposed under this Section shall be paid
within 60 days after the effective date of the order imposing
the fine.
    (c) The Department shall adopt rules that set forth
standards of service for the following: (i) acceptable error
rate in the transmission of fingerprint images and other data
to the Illinois State Police; (ii) acceptable error rate in
the collection and documentation of information used to
generate fingerprint work orders; and (iii) any other standard
of service that affects fingerprinting services as determined
by the Department.
    The determination by a circuit court that a licensee is
subject to involuntary admission or judicial admission, as
provided in the Mental Health and Developmental Disabilities
Code, operates as an automatic suspension. The suspension will
end only upon a finding by a court that the patient is no
longer subject to involuntary admission or judicial admission
and the issuance of an order so finding and discharging the
patient.
(Source: P.A. 102-538, eff. 8-20-21.)
 
    (225 ILCS 447/40-20)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 40-20. Confidential information; violation. Any
person who is or has been an employee of a licensee shall not
divulge to anyone, other than to the person's his or her
employer, except as required by law or at the his employer's
direction, any confidential or proprietary information
acquired during the person's his or her employment. Any
individual who violates this Section or who files false papers
or reports to the person's his or her employer may be
disciplined under Section 40-10 of this Act.
(Source: P.A. 93-438, eff. 8-5-03.)
 
    (225 ILCS 447/40-25)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 40-25. Submission to physical or mental examination.
    (a) The Department or Board upon a showing of a possible
violation may compel an individual licensed to practice under
this Act, or who has applied for licensure under this Act, to
submit to a mental or physical examination, or both, which may
include a substance abuse or sexual offender evaluation, as
required by and at the expense of the Department. The
Department or Board shall specifically designate the examining
physician licensed to practice medicine in all of its branches
or, if applicable, the multidisciplinary team involved in
providing the mental or physical examination, evaluation, or
both. The multidisciplinary team shall be led by a physician
licensed to practice medicine in all of its branches and may
consist of one or more or a combination of physicians licensed
to practice medicine in all of its branches, licensed
chiropractic physicians, licensed clinical psychologists,
licensed clinical social workers, licensed clinical
professional counselors, and other professional and
administrative staff. Any examining physician or member of the
multidisciplinary team may require any person ordered to
submit to an examination and evaluation pursuant to this
Section to submit to any additional supplemental testing
deemed necessary to complete any examination or evaluation
process, including, but not limited to, blood testing,
urinalysis, psychological testing, or neuropsychological
testing. The Department or the Board may order the examining
physician or any member of the multidisciplinary team to
provide to the Department any and all records, including
business records, that relate to the examination and
evaluation, including any supplemental testing performed. The
Department or the Board may order the examining physician or
any member of the multidisciplinary team to present testimony
concerning this examination and evaluation of the licensee or
applicant, including testimony concerning any supplemental
testing or documents relating to the examination and
evaluation. No information, report, record, or other documents
in any way related to the examination and evaluation shall be
excluded by reason of any common law or statutory privilege
relating to communication between the licensee or applicant
and the examining physician or any member of the
multidisciplinary team. No authorization is necessary from the
licensee or applicant ordered to undergo an evaluation and
examination for the examining physician or any member of the
multidisciplinary team to provide information, reports,
records, or other documents or to provide any testimony
regarding the examination and evaluation. The individual to be
examined may have, at the individual's his or her own expense,
another physician of the individual's his or her choice
present during all aspects of this examination. Failure of an
individual to submit to a mental or physical examination, or
both, when directed, shall result in automatic suspension
without hearing, until such time as the individual submits to
the examination.
    (b) In instances in which the Secretary immediately
suspends a person's license for the person's his or her
failure to submit to a mental or physical examination when
directed, a hearing on that person's license must be convened
by the Department within 15 days after the suspension and
completed without appreciable delay.
    (c) In instances in which the Secretary otherwise suspends
a person's license pursuant to the results of a compelled
mental or physical examination, a hearing on that person's
license must be convened by the Department within 15 days
after the suspension and completed without appreciable delay.
The Department and Board shall have the authority to review
the subject individual's record of treatment and counseling
regarding the impairment to the extent permitted by applicable
federal statutes and regulations safeguarding the
confidentiality of medical records.
    (d) An individual licensed under this Act and affected
under this Section shall be afforded an opportunity to
demonstrate to the Department or Board that the individual he
or she can resume practice in compliance with acceptable and
prevailing standards under the provisions of the individual's
his or her license.
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/40-30)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 40-30. Insufficient funds; checks. A person who
delivers a check or other payment to the Department that is
returned to the Department unpaid by the financial institution
upon which it was drawn shall pay to the Department, in
addition to the amount already owed, a penalty of $50. The
Department shall notify the person by first class mail that
the person's his or her check or payment was returned and that
the person shall pay to the Department by certified check or
money order the amount of the returned check plus a $50 penalty
within 30 calendar days after the date of the notification.
If, after the expiration of 30 calendar days of the
notification, the person has failed to remit the necessary
funds and penalty, the Department shall automatically
terminate the license or deny the application without a
hearing. If the returned check or other payment was for
issuance of a license under this Act and that person practices
as a licensee, that person may be subject to discipline for
unlicensed practice as provided in this Act. If, after
termination or denial, the person seeks a license, the person
he or she shall petition the Department for restoration and
the person he or she may be subject to additional discipline or
fines. The Secretary may waive the penalties or fines due
under this Section in individual cases where the Secretary
finds that the penalties or fines would be unreasonable or
unnecessarily burdensome.
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/45-10)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 45-10. Complaints; investigations; hearings.
    (a) The Department may investigate the actions of any
applicant or of any person or persons holding or claiming to
hold a license or registration under this Act.
    (b) The Department shall, before disciplining a licensee
under Section 40-10 or refusing to issue or license, at least
30 days before the date set for the hearing, (i) notify the
accused in writing of the charges made and the time and place
for the hearing on the charges, (ii) direct the accused him or
her to file a written answer to the charges under oath within
20 days after service, and (iii) inform the applicant or
licensee that failure to answer will result in a default being
entered against the applicant or licensee.
    (c) At the time and place fixed in the notice, the Board or
the hearing officer appointed by the Secretary shall proceed
to hear the charges, and the parties or their counsel shall be
accorded ample opportunity to present any pertinent
statements, testimony, evidence, and arguments. The Board or
hearing officer may continue the hearing from time to time. In
case the person, after receiving the notice, fails to file an
answer, the person's his or her license may, in the discretion
of the Secretary, having first received the recommendation of
the Board, be suspended, revoked, or placed on probationary
status, or be subject to whatever disciplinary action the
Secretary considers proper, including limiting the scope,
nature, or extent of the person's practice or the imposition
of a fine, without hearing, if the act or acts charged
constitute sufficient grounds for that action under this Act.
    (d) The written notice and any notice in the subsequent
proceeding may be served by regular or certified mail to the
licensee's address of record or electronically to the
licensee's email address of record, or, if in the course of the
administrative proceeding the party has previously designated
a specific email address at which to accept electronic service
for that specific proceeding, by sending a copy by email to the
party's email address on record.
    (e) The Secretary has the authority to appoint any
attorney licensed to practice law in the State of Illinois to
serve as the hearing officer in any action for refusal to
issue, restore, or renew a license or to discipline a
licensee. The hearing officer has full authority to conduct
the hearing.
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/45-15)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 45-15. Hearing; rehearing.
    (a) The Board or the hearing officer authorized by the
Department shall hear evidence in support of the formal
charges and evidence produced by the licensee. At the
conclusion of the hearing, the Board shall present to the
Secretary a written report of its findings of fact,
conclusions of law, and recommendations. The report shall
contain a finding of whether the accused person violated this
Act or failed to comply with the conditions required in this
Act. The Board shall specify the nature of the violation or
failure to comply and shall make its recommendation to the
Secretary.
    (b) At the conclusion of the hearing, a copy of the Board
or hearing officer's report shall be served upon the applicant
or licensee by the Department, either personally or as
provided in this Act for the service of a notice of hearing.
Within 20 calendar days after service, the applicant or
licensee may present to the Secretary Department a motion in
writing for a rehearing, which shall specify the particular
grounds for rehearing. The Department may respond to the
motion for rehearing within 20 calendar days after its service
on the Department. If no motion for rehearing is filed, then
upon the expiration of the time specified for filing such a
motion, or upon denial of a motion for rehearing, the
Secretary may enter an order in accordance with the
recommendations of the Board or hearing officer. If the
applicant or licensee orders from the reporting service and
pays for a transcript of the record within the time for filing
a motion for rehearing, the 20-day period within which a
motion may be filed shall commence upon the delivery of the
transcript to the applicant or licensee.
    (c) If the Secretary disagrees in any regard with the
report of the Board or the hearing officer, the Secretary may
issue an order contrary to the report. The finding is not
admissible in evidence against the person in a criminal
prosecution brought for the violation of this Act, but the
hearing and findings are not a bar to a criminal prosecution
for the violation of this Act.
    (d) Whenever the Secretary is not satisfied that
substantial justice has been done, the Secretary may order a
rehearing by the same or another hearing officer.
    (e) All proceedings under this Section are matters of
public record and shall be preserved.
    (f) Upon the suspension or revocation of a license, the
licensee shall surrender the license to the Department and,
upon failure to do so, the Department shall seize the same.
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/45-40)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 45-40. Administrative review. All final
administrative decisions of the Department are subject to
judicial review under Article III of the Code of Civil
Procedure. The term "administrative decision" is defined as in
Section 3-101 of the Code of Civil Procedure. The proceedings
for judicial review shall be commenced in the circuit court of
the county in which the party applying for review resides; but
if the party is not a resident of Illinois, the venue shall be
in Sangamon County. The Department shall not be required to
certify any record to the court or file any answer in court or
otherwise appear in any court in a judicial review proceeding,
unless and until the Department has received from the
plaintiff payment of the costs of furnishing and certifying
the record, which costs shall be determined by the Department.
Exhibits shall be certified without cost. Failure on the part
of the applicant or licensee to file a receipt in court is
grounds for dismissal of the action. During all judicial
proceedings incident to a disciplinary action, the sanctions
imposed upon a licensee by the Department shall remain in
effect, unless the court determines justice requires a stay of
the order.
(Source: P.A. 96-1445, eff. 8-20-10.)
 
    (225 ILCS 447/45-55)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 45-55. Subpoenas.
    (a) The Department may subpoena and bring before it any
person to take the oral or written testimony or compel the
production of any books, papers, records, or any other
documents that the Secretary or the Secretary's his or her
designee deems relevant or material to any such investigation
or hearing conducted by the Department with the same fees and
in the same manner as prescribed in civil cases in the courts
of this State.
    (b) Any circuit court, upon the application of the
applicant, licensee, or Department, may order the attendance
and testimony of witnesses and the production of relevant
documents, files, records, books and papers in connection with
any hearing or investigation. The circuit court may compel
obedience to its order by proceedings for contempt.
    (c) The Secretary, the hearing officer, any member of the
Board, or a certified shorthand court reporter may administer
oaths at any hearing the Department conducts. Notwithstanding
any other statute or Department rule to the contrary, all
requests for testimony, production of documents or records
shall be in accordance with this Act.
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/50-5)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 50-5. Personnel; investigators. The Secretary shall
employ, pursuant to the Personnel Code, personnel, on a
full-time or part-time basis, for the enforcement of this Act.
Each investigator shall have a minimum of 2 years
investigative experience out of the immediately preceding 5
years. No investigator may hold an active license issued
pursuant to this Act, nor may an investigator have a financial
interest in a business licensed under this Act. This
prohibition, however, does not apply to an investigator
holding stock in a business licensed under this Act, provided
the investigator does not hold more than 5% of the stock in the
business. Any person licensed under this Act who is employed
by the Department shall surrender the person's his or her
license to the Department for the duration of that employment.
The licensee shall be exempt from all renewal fees while
employed. While employed by the Department, the licensee is
not required to maintain the general liability insurance
coverage required by this Act.
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/50-10)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 50-10. The Private Detective, Private Alarm, Private
Security, Fingerprint Vendor, and Locksmith Board.
    (a) The Private Detective, Private Alarm, Private
Security, Fingerprint Vendor, and Locksmith Board shall
consist of 13 members appointed by the Secretary and comprised
of 2 licensed private detectives, 3 licensed private security
contractors, one licensed private detective or licensed
private security contractor who provides canine odor detection
services, 2 licensed private alarm contractors, one licensed
fingerprint vendor except for the initial appointment who
shall be required to have experience in the fingerprint vendor
industry that is acceptable to the Department, 2 licensed
locksmiths, one public member who is not licensed or
registered under this Act and who has no connection with a
business licensed under this Act, and one member representing
the employees registered under this Act. Each member shall be
a resident of Illinois. Each Except for the initial
appointment of a licensed fingerprint vendor after the
effective date of this amendatory Act of the 95th General
Assembly, each licensed member shall have at least 5 years
experience as a licensee in the professional area in which the
person is licensed and be in good standing and actively
engaged in that profession. In making appointments, the
Secretary shall consider the recommendations of the
professionals and the professional organizations representing
the licensees. The membership shall reasonably reflect the
different geographic areas in Illinois.
    (b) Members shall serve 4-year 4 year terms and may serve
until their successors are appointed. No member shall serve
for more than 2 successive terms. Appointments to fill
vacancies shall be made in the same manner as the original
appointments for the unexpired portion of the vacated term.
    (c) A member of the Board may be removed for cause. A
member subject to formal disciplinary proceedings shall
disqualify oneself himself or herself from all Board business
until the charge is resolved. A member also shall disqualify
oneself himself or herself from any matter on which the member
cannot act objectively.
    (d) Members shall receive compensation as set by law. Each
member shall receive reimbursement as set by the Governor's
Travel Control Board for expenses incurred in carrying out the
duties as a Board member.
    (e) A majority of Board members constitutes a quorum. A
majority vote of the quorum is required for a decision.
    (f) The Board shall elect a chairperson and vice
chairperson annually.
    (g) Board members are not liable for their acts,
omissions, decisions, or other conduct in connection with
their duties on the Board, except those determined to be
willful, wanton, or intentional misconduct.
    (h) The Board may recommend policies, procedures, and
rules relevant to the administration and enforcement of this
Act.
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/50-15)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 50-15. Powers and duties of the Department. Subject
to the provisions of this Act, the Department may exercise the
following powers and duties:
        (1) Prescribe forms to be issued for the
    administration and enforcement of this Act.
        (2) Authorize examinations to ascertain the
    qualifications and fitness of applicants for licensing as
    a locksmith, private alarm contractor, private detective,
    or private security contractor and pass upon the
    qualifications of applicants for licensure.
        (3) Examine the records of licensees or investigate
    any other aspect of fingerprint vending, locksmithing,
    private alarm contracting, private security contracting,
    or practicing as a private detective that is relevant to
    the Department's investigation or hearing.
        (4) Conduct hearings on proceedings to refuse to issue
    or renew licenses or to revoke, suspend, place on
    probation, reprimand, or otherwise discipline a license
    under this Act or take other non-disciplinary action.
        (5) Adopt rules required for the administration of
    this Act.
        (6) (Blank). Maintain rosters of the names and
    addresses of all licensees and all persons whose licenses
    have been suspended, revoked, denied renewal, or otherwise
    disciplined within the previous calendar year. These
    rosters shall be available upon written request and
    payment of the required fee as established by rule.
(Source: P.A. 98-253, eff. 8-9-13.)
 
    (225 ILCS 447/50-20)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 50-20. Rules. The Department may promulgate rules for
the administration and enforcement of this Act. The rules
shall include standards for registration, licensure,
professional conduct, and discipline. The Department shall
consult with the Board prior to promulgating any rule.
Proposed rules shall be transmitted, prior to publication in
the Illinois Register, to the Board and the Department shall
review the Board's recommendations and shall notify the Board
with an explanation of any deviations from the Board's
recommendations.
(Source: P.A. 93-438, eff. 8-5-03.)
 
    (225 ILCS 447/50-45)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 50-45. Illinois Administrative Procedure Act;
application. The Illinois Administrative Procedure Act is
expressly adopted and incorporated in this Act as if all of the
provisions of that Act were included in this Act, except that
the provision of paragraph (d) of Section 10-65 of the
Illinois Administrative Procedure Act, which provides that at
hearings the registrant or licensee has the right to show
compliance with all lawful requirements for retention or
continuation or renewal of the license, is specifically
excluded. For the purpose of this Act, the notice required
under Section 10-25 of the Illinois Administrative Procedure
Act is considered sufficient when mailed to the address of
record or sent electronically to the email address of record
or, if in the course of the administrative proceeding the
party has previously designated a specific email address at
which to accept electronic service for that specific
proceeding, by sending a copy by email to the party's email
address on record last known address of a party.
(Source: P.A. 96-1445, eff. 8-20-10.)
 
    (225 ILCS 447/50-35 rep.)
    Section 35. The Private Detective, Private Alarm, Private
Security, Fingerprint Vendor, and Locksmith Act of 2004 is
amended by repealing Section 50-35.
 
    Section 40. The Illinois Public Accounting Act is amended
by changing Sections 0.02, 0.03, 1, 2, 2.05, 2.1, 3, 4, 5.2,
6.1, 8, 9.3, 13, 13.5, 14.2, 14.5, 16, 17, 17.1, 17.2, 20.01,
20.1, 20.2, 20.6, 20.7, 21, 27, and 30 and by adding Section
0.04 as follows:
 
    (225 ILCS 450/0.02)  (from Ch. 111, par. 5500.02)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 0.02. Declaration of public policy. It is the policy
of this State and the purpose of this Act:
        (a) to promote the dependability of information which
    is used for guidance in financial transactions or for
    accounting for or assessing the status or performance of
    commercial and noncommercial enterprises, whether public,
    private, or governmental; and
        (b) to protect the public interest by requiring that
    persons engaged in the practice of public accounting be
    qualified; that a public authority competent to prescribe
    and assess the qualifications of public accountants be
    established; and
        (c) that preparing, auditing, or examining financial
    statements and issuing a report expressing or disclaiming
    an opinion on such statements or expressing assurance on
    such statements be reserved to persons who demonstrate the
    their ability and fitness to observe and apply the
    standards of the accounting profession; and that the use
    of accounting titles likely to confuse the public be
    prohibited.
(Source: P.A. 98-254, eff. 8-9-13; 99-78, eff. 7-20-15.)
 
    (225 ILCS 450/0.03)  (from Ch. 111, par. 5500.03)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 0.03. Definitions. As used in this Act, unless the
context otherwise requires:
    "Accountancy activities" means the services as set forth
in Section 8.05 of this the Act.
    "Address of record" means the designated address recorded
by the Department in the applicant's, licensee's, or
registrant's application file or license file maintained by
the Department's licensure maintenance unit. It is the duty of
the applicant, licensee, or registrant to inform the
Department of any change of address, and those changes must be
made either through the Department's website or by directly
contacting the Department.
    "Certification" means certification by the Board or
University or similar jurisdictions specifying an individual
has successfully passed all sections and requirements of the
Uniform Certified Public Accountant Examination and
verification of completion of 150 credit hours. Certification
by the Board or University or similar jurisdiction does not
confer the ability to use the CPA title and is not equivalent
to a registration or license under this Act.
    "Compilation" means providing a service to be performed in
accordance with Statements on Standards for Accounting and
Review Services that is presented in the form of financial
statements or information that is the representation of
management or owners without undertaking to express any
assurance on the statements.
    "Coordinator" means the CPA Coordinator.
    "CPA" or "C.P.A." means a certified public accountant who
holds a license or registration issued by the Department or an
individual authorized to use the CPA title under Section 5.2
of this Act.
    "CPA firm" means a sole proprietorship, a corporation,
registered limited liability partnership, limited liability
company, partnership, professional service corporation, or any
other form of organization issued a license in accordance with
this Act or a CPA firm authorized to use the CPA firm title
under Section 5.2 of this Act.
    "CPA (inactive)" means a licensed certified public
accountant who elects to have the Department place the
licensee's his or her license on inactive status pursuant to
Section 17.2 of this Act.
    "Email address of record" means the designated email
address recorded by the Department in the applicant's
application file or the licensee's license file, as maintained
by the Department's licensure maintenance unit.
    "Exam certificate" means an exam certificate issued by the
Board, the University, or a similar jurisdiction specifying
that an individual has successfully passed all sections and
requirements of the Uniform Certified Public Accountant
Examination. An exam certificate issued by the Board, the
University, or a similar jurisdiction does not confer the
ability to use the CPA title and is not equivalent to a
registration or license under this Act.
    "Financial statement" means a structured presentation of
historical financial information, including, but not limited
to, related notes intended to communicate an entity's economic
resources and obligations at a point in time or the changes
therein for a period of time in accordance with generally
accepted accounting principles (GAAP) or other comprehensive
basis of accounting (OCBOA).
    "Other attestation engagements" means an engagement
performed in accordance with the Statements on Standards for
Attestation Engagements.
    "Registered Certified Public Accountant" or "registered
CPA" means any person who has been issued a registration under
this Act as a Registered Certified Public Accountant.
    "Report", when used with reference to financial
statements, means an opinion, report, or other form of
language that states or implies assurance as to the
reliability of any financial statements and that also includes
or is accompanied by any statement or implication that the
person or firm issuing it has special knowledge or competence
in accounting or auditing. Such a statement or implication of
special knowledge or competence may arise from use by the
issuer of the report of names or titles indicating that the
person or firm is an accountant or auditor, or from the
language of the report itself. "Report" includes any form of
language that disclaims an opinion when the form of language
is conventionally understood to imply any positive assurance
as to the reliability of the financial statements referred to
or special competence on the part of the person or firm issuing
such language; it includes any other form of language that is
conventionally understood to imply such assurance or such
special knowledge or competence.
    "Licensed Certified Public Accountant" or "licensed CPA"
means any person licensed under this Act as a Licensed
Certified Public Accountant.
    "Committee" means the Public Accountant Registration and
Licensure Committee appointed by the Secretary.
    "Department" means the Department of Financial and
Professional Regulation.
    "License", "licensee", and "licensure" refer to the
authorization to practice under the provisions of this Act.
    "Peer review" means a study, appraisal, or review of one
or more aspects of a CPA firm's or sole practitioner's
compliance with applicable accounting, auditing, and other
attestation standards adopted by generally recognized
standard-setting bodies.
    "Principal place of business" means the office location
designated by the licensee from which the person directs,
controls, and coordinates one's his or her professional
services.
    "Review committee" means any person or persons conducting,
reviewing, administering, or supervising a peer review
program.
    "Secretary" means the Secretary of the Department of
Financial and Professional Regulation.
    "University" means the University of Illinois.
    "Board" means the Board of Examiners established under
Section 2.
    "Registration", "registrant", and "registered" refer to
the authorization to hold oneself out as or use the title
"Registered Certified Public Accountant" or "Certified Public
Accountant", unless the context otherwise requires.
    "Peer Review Administrator" means an organization
designated by the Department that meets the requirements of
subsection (f) of Section 16 of this Act and other rules that
the Department may adopt.
(Source: P.A. 102-222, eff. 1-1-22.)
 
    (225 ILCS 450/0.04 new)
    Sec. 0.04. Address of record; email address of record.
    All applicants and registrants shall:
        (1) provide a valid address and email address to the
    Department, which shall serve as the address of record and
    email address of record, respectively, at the time of
    application for registration or renewal of a registration;
    and
        (2) inform the Department of any change of address of
    record or email address of record within 14 days after
    such change either through the Department's website or by
    contacting the Department's licensure maintenance unit.
 
    (225 ILCS 450/1)  (from Ch. 111, par. 5501)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 1. No person shall hold oneself himself or herself
out to the public in this State in any manner by using the
title "Certified Public Accountant", "Licensed Certified
Public Accountant", "Registered Certified Public Accountant",
"Public Accountant", or use the abbreviation "C.P.A.", "CPA",
"LCPA", "RCPA", "PA", or any words or letters to indicate that
the person using the same is a licensed CPA or registered CPA,
unless the person he or she has been issued a license or
registration by the Department under this Act or is exercising
the practice privilege afforded under Section 5.2 of this Act.
(Source: P.A. 98-254, eff. 8-9-13.)
 
    (225 ILCS 450/2)  (from Ch. 111, par. 5502)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 2. Board of Examiners. The Governor shall appoint a
Board of Examiners that shall determine the qualifications of
persons applying for certification and shall make rules for
and conduct examinations for determining the qualifications.
     The Board shall consist of 11 examiners, including 2
public members. The remainder shall be certified public
accountants in this State who have been residents of this
State for at least 5 years immediately preceding their
appointment to the Board, except that one shall be either a
certified public accountant of the grade herein described or
an attorney licensed and residing in this State and one shall
be a certified public accountant who is an active or retired
educator residing in this State. The term of office of each
examiner shall be 3 years. As the term of each examiner
expires, the appointment shall be filled for a term of 3 years
from the date of expiration. Any Board member who has served as
a member for 6 consecutive years shall not be eligible for
reappointment until 2 years after the end of the term in which
the sixth consecutive year of service occurred, except that
members of the Board serving on the effective date of this
Section shall be eligible for appointment to one additional
3-year term. Where the expiration of any member's term shall
result in less than 11 members then serving on the Board, the
member shall continue to serve until a his or her successor is
appointed and has qualified. Except as otherwise provided in
this Section, no Board member shall serve more than 2 full
consecutive terms. Anyone appointed to the Board shall be
ineligible to be appointed to the Illinois Public Accountants
Registration and Licensure Committee appointed by the
Secretary. Appointments to fill vacancies shall be made in the
same manner as original appointments for the unexpired portion
of the vacated term. The membership of the Board shall
reasonably reflect representation from the geographic areas in
this State. The members of the Board appointed by the Governor
shall receive reasonable compensation for the member's their
necessary, legitimate, and authorized expenses in accordance
with the Governor's Travel Control Board rules and the Travel
Regulation Rules. The Governor may terminate the term of any
member of the Board at any time for cause.
    Information regarding educational requirements, the
application process, the examination, and fees shall be
available on the Board's Internet web site as well as in
printed documents available from the Board's office.
    The Board shall adopt all necessary and reasonable rules
and regulations for the effective administration of this Act.
Without limiting the foregoing, the Board shall adopt and
prescribe rules and regulations for a fair and impartial
method of determining the qualifications of applicants for
examination and for a fair and impartial method of examination
of persons under Section 2 and may establish rules for
subjects conditioned and for the transfer of credits from
other jurisdictions with respect to subjects passed. The Board
shall verify completion of educational requirements for
certification as required under this Act.
     The Board shall make an annual report of its activities to
the Governor and the Secretary. This report shall include a
complete operating and financial statement covering its
operations during the year, the number of examinations given,
the pass/fail ratio for examinations, and any other
information deemed appropriate. The Board shall have an audit
of its books and accounts every 2 years by the Auditor General.
(Source: P.A. 102-222, eff. 1-1-22.)
 
    (225 ILCS 450/2.05)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 2.05. Public Accountant Registration and Licensure
Committee. The Secretary shall appoint a Public Accountant
Registration and Licensure Committee consisting of 7 persons,
who shall be appointed by and shall serve in an advisory
capacity to the Secretary. A majority of the members must be
licensed CPAs in good standing and must be actively engaged in
the practice of public accounting in this State. The remaining
members must include registered CPAs in good standing in this
State and one member of the public who is not licensed or
registered under this Act or a similar Act of another
jurisdiction and who has no connection with the accounting or
public accounting profession. Four members of the Committee
shall constitute a quorum. A quorum is required for all
Committee decisions. Members shall serve 4-year terms and
until the member's their successors are appointed and
qualified. No member shall be reappointed to the Committee for
more than 2 full consecutive terms. Appointments to fill
vacancies shall be made in the same manner as original
appointments for the unexpired portion of the vacated term.
The members of the Committee appointed by the Secretary shall
receive reasonable compensation, as determined by the
Department, for the necessary, legitimate, and authorized
expenses approved by the Department. All expenses shall be
paid from the Registered Certified Public Accountants'
Administration and Disciplinary Fund. The Secretary may
terminate the appointment of any member for cause. The
Secretary shall consider the advice and recommendations of the
Committee on questions involving standards of professional
conduct, discipline, and qualifications of applicants and
licensees under this Act.
(Source: P.A. 98-254, eff. 8-9-13.)
 
    (225 ILCS 450/2.1)  (from Ch. 111, par. 5503)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 2.1. Illinois Administrative Procedure Act. The
Illinois Administrative Procedure Act is hereby expressly
adopted and incorporated herein as if all of the provisions of
that Act were included in this Act, except that the provision
of subsection (d) of Section 10-65 of the Illinois
Administrative Procedure Act that provides that at hearings
the licensee has the right to show compliance with all lawful
requirements for retention, continuation or renewal of the
license is specifically excluded. For the purposes of this Act
the notice required under Section 10-25 of the Illinois
Administrative Procedure Act is deemed sufficient when mailed
to the licensee's address of record or email address of
record.
(Source: P.A. 98-254, eff. 8-9-13; 98-756, eff. 7-16-14.)
 
    (225 ILCS 450/3)  (from Ch. 111, par. 5504)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 3. Qualifications of applicants. The Board shall
certify applicants who successfully complete all portions of
the examination and verify completion of 150 semester credit
hours.
    (a) To be admitted to take the examination after the year
2000 and before January 1, 2023, for the purpose of
determining the qualifications of applicants for certificates
as certified public accountants under this Act, the applicants
shall be required to present proof of the successful
completion of 150 college or university semester hours of
study or the applicant's their quarter-hour or other academic
credit unit equivalent, to include a baccalaureate or higher
degree conferred by a college or university acceptable to the
Board, the total educational program to include an accounting
concentration or equivalent as determined by Board rule. In
adopting those rules, the Board shall consider, among other
things, any impediments to the interstate practice of public
accounting that may result from differences in the
requirements in other states.
    (b) Beginning January 1, 2023, an applicant for the
examination shall be required to present proof of 120 college
or university semester hours of study or the applicant's their
quarter-hour or other academic credit unit equivalent, to
include a baccalaureate or higher degree conferred by a
college or university acceptable to the Board, the total
education program to include an accounting concentration or
equivalent as determined by Board rule. Applicants shall
receive certification by the Board upon successful passage of
all sections and requirements of the Uniform Certified Public
Accountant Examination and verification of completion of
educational requirements as determined by rule.
    (c) In adopting rules, the Board shall consider, among
other things, any impediments to the interstate practice of
public accounting that may result from differences in the
requirements in other states.
(Source: P.A. 102-222, eff. 1-1-22.)
 
    (225 ILCS 450/4)  (from Ch. 111, par. 5505)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 4. Transitional language.
    (a) The provisions of this Act shall not be construed to
invalidate any certificates as certified public accountants
issued by the University under "An Act to regulate the
profession of public accountants", approved May 15, 1903, as
amended, or any certificates as Certified Public Accountants
issued by the University or the Board under Section 4 of "An
Act to regulate the practice of public accounting and to
repeal certain acts therein named", approved July 22, 1943, as
amended, which certificates shall be valid and in force as
though issued under the provisions of this Act.
    (b) Before July 1, 2012, persons who have received a
Certified Public Accountant (CPA) Certificate issued by the
Board or University or holding similar certifications from
other jurisdictions with equivalent educational requirements
and examination standards may apply to the Department on forms
supplied by the Department for and may be granted a
registration as a registered CPA from the Department upon
payment of the required fee.
    (c) Beginning with the 2006 renewal, the Department shall
cease to issue a license as a Public Accountant. Any person
holding a valid license as a Public Accountant prior to
September 30, 2006 who meets the conditions for renewal of a
license under this Act, shall be issued a license as a licensed
CPA under this Act and shall be subject to continued
regulation by the Department under this Act. The Department
may adopt rules to implement this Section.
    (d) The Department shall not issue any new registrations
as a registered CPA on or after July 1, 2012. After that date,
any applicant for licensure under this Act shall apply for a
license as a licensed CPA and shall meet the requirements set
forth in this Act. Any person who has been issued a
registration as a registered CPA may renew the registration
under the provisions of this Act and that person may continue
to renew or restore the registration during the registrant's
his or her lifetime, subject only to the renewal or
restoration requirements for the registration under this Act.
Such registration shall be subject to the disciplinary
provisions of this Act.
    (e) (Blank).
    (f) The changes made by this amendatory Act of the 102nd
General Assembly do not invalidate any certificate issued
before the effective date of this amendatory Act of the 102nd
General Assembly.
(Source: P.A. 102-222, eff. 1-1-22.)
 
    (225 ILCS 450/5.2)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 5.2. Substantial equivalency.
    (a) An individual whose principal place of business is not
in this State shall have all the privileges of a person
licensed under this Act as a licensed CPA without the need to
obtain a license from the Department or to file notice with the
Department, if the individual:
        (1) holds a valid license as a certified public
    accountant issued by another state that the National
    Qualification Appraisal Service of the National
    Association of State Boards of Accountancy has verified to
    be in substantial equivalence with the CPA licensure
    requirements of the Uniform Accountancy Act of the
    American Institute of Certified Public Accountants and the
    National Association of State Boards of Accountancy; or
        (2) holds a valid license as a certified public
    accountant issued by another state and obtains from the
    National Qualification Appraisal Service of the National
    Association of State Boards of Accountancy verification
    that the individual's CPA qualifications are substantially
    equivalent to the CPA licensure requirements of the
    Uniform Accountancy Act of the American Institute of
    Certified Public Accountants and the National Association
    of State Boards of Accountancy; however, any individual
    who has passed the Uniform CPA Examination and holds a
    valid license issued by any other state prior to January
    1, 2012 shall be exempt from the education requirements of
    Section 3 of this Act for the purposes of this item (2).
    (a-5) A CPA firm whose principal place of business is not
in this State shall have all the privileges of a CPA firm
licensed under this Act without the need to obtain a license
from the Department or to file notice with the Department if
the CPA firm complies with the requirements outlined in
Sections 14.4 and 16 through substantial equivalency of the
firm's their licensed state.
    (b) Notwithstanding any other provision of law, an
individual or CPA firm who offers or renders professional
services under this Section, whether in person or by mail,
telephone, or electronic means, shall be granted practice
privileges in this State and no notice or other submission
must be provided by any such individual or CPA firm.
    (c) An individual licensee or CPA firm of another state
exercising the privilege afforded under this Section and the
CPA firm that employs such individual licensee, if any, as a
condition of the grant of this privilege, hereby
simultaneously consents:
        (1) to the personal and subject matter jurisdiction
    and disciplinary authority of the Department;
        (2) to comply with this Act and the Department's rules
    adopted under this Act;
        (3) that in the event that the license from the state
    of the individual's or CPA firm's principal place of
    business is no longer valid, the individual or CPA firm
    shall cease offering or rendering accountancy activities
    as outlined in paragraphs (1) and (2) of Section 8.05 in
    this State individually or on behalf of a CPA firm; and
        (4) to the appointment of the state board that issued
    the individual's or the CPA firm's license as the agent
    upon which process may be served in any action or
    proceeding by the Department against the individual or CPA
    firm.
    (d) An individual licensee who qualifies for practice
privileges under this Section who, for any entity
headquartered in this State, performs (i) a financial
statement audit or other engagement in accordance with
Statements on Auditing Standards; (ii) an examination of
prospective financial information in accordance with
Statements on Standards for Attestation Engagements; or (iii)
an engagement in accordance with Public Company Accounting
Oversight Board Auditing Standards may only do so through a
CPA firm licensed under this Act or a CPA firm with practice
privileges under this Section.
    (e) A CPA firm that qualifies for practice privileges
under this Section and, for any entity headquartered in this
State, performs the following may only do so through an
individual or individuals licensed under this Act or an
individual or individuals with practice privileges under this
Section:
        (1) a financial statement audit or other engagement in
    accordance with Statements on Auditing Standards;
        (2) an examination of prospective financial
    information in accordance with Statements on Standards for
    Attestation Engagements; or
        (3) an engagement in accordance with Public Company
    Accounting Oversight Board auditing standards.
(Source: P.A. 100-419, eff. 8-25-17.)
 
    (225 ILCS 450/6.1)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 6.1. Examinations.
    (a) The examination shall test the applicant's knowledge
of accounting, auditing, and other related subjects, if any,
as the Board may deem advisable. A candidate shall be required
to pass all sections of the examination in order to qualify for
certification. A candidate may take the required test sections
individually and in any order, as long as the examination is
taken within a timeframe established by Board rule.
    (b) On and after January 1, 2005, applicants shall also be
required to pass an examination on the rules of professional
conduct for certification by the Board.
    (c) Pursuant to compliance with the Americans with
Disabilities Act, the Board may provide alternative test
administration arrangements that are reasonable in the context
of the Certified Public Accountant examination for applicants
who are unable to take the examination under standard
conditions upon an applicant's submission of evidence as the
Board may require, which may include a signed statement from a
medical or other licensed medical professional, identifying
the applicant's disabilities and the specific alternative
accommodations the applicant may need. Any alteration in test
administration arrangements does not waive the requirement of
sitting for and passing the examination.
    (d) Any application, document, or other information filed
by or concerning an applicant and any examination grades of an
applicant shall be deemed confidential and shall not be
disclosed to anyone without the prior written permission of
the applicant, except that the names and addresses only of all
applicants shall be a public record and be released as public
information. Nothing in this subsection shall prevent the
Board from making public announcement of the names of persons
receiving certificates under this Act.
(Source: P.A. 102-222, eff. 1-1-22.)
 
    (225 ILCS 450/8)  (from Ch. 111, par. 5509)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 8. Practicing as a licensed CPA. Persons, either
individually, as members of a partnership or limited liability
company, or as officers of a corporation, who sign, affix, or
associate their names or any trade or assumed names used by the
persons them in a profession or business to any report
expressing or disclaiming an opinion on a financial statement
based on an audit or examination of that statement, or
expressing assurance on a financial statement, shall be deemed
to be in practice as licensed CPAs and are performing
accountancy activities as outlined in paragraph (1) of
subsection (a) of Section 8.05.
(Source: P.A. 98-254, eff. 8-9-13.)
 
    (225 ILCS 450/9.3)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 9.3. Sharing of information. Notwithstanding any
other provision of this Act, for the purpose of carrying out
the their respective duties and responsibilities of the Board
and the Department under this Act and to effectuate the
purpose of this Act, both the Board and the Department are
authorized and directed to share information with each other
regarding those individuals and entities licensed or certified
or applying for licensure or certification under this Act.
(Source: P.A. 98-254, eff. 8-9-13.)
 
    (225 ILCS 450/13)  (from Ch. 111, par. 5514)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 13. Application for licensure.
    (a) A person or CPA firm that wishes to perform
accountancy activities in this State, as defined in paragraph
(1) of subsection (a) of Section 8.05 of this Act, or use the
CPA title shall make application to the Department and shall
pay the fee required by rule.
    Applicants have 3 years from the date of application to
complete the application process. If the process has not been
completed in 3 years, the application shall be denied, the fee
forfeited and the applicant must reapply and meet the
requirements in effect at the time of reapplication.
    (b) Any CPA firm that (i) has an office in this State that
uses the title "CPA" or "CPA firm"; (ii) has an office in this
State that performs accountancy activities, as defined in
paragraph (1) of subsection (a) of Section 8.05 of this Act; or
(iii) does not have an office in this State and does not meet
the practice privilege requirements as defined in Section 5.2
of this Act, but offers or renders services, as set forth in
subsection (e) of Section 5.2 of this Act, for a client that is
headquartered in this State must hold a license as a CPA firm
issued under this Act.
    (c) (Blank).
    (d) A CPA firm that is not subject to the requirements of
subsection (b) of this Section may perform professional
services that are not regulated under subsection (b) of this
Section while using the title "CPA" or "CPA firm" in this State
without obtaining a license as a CPA firm under this Act if the
firm (i) performs such services through individuals with
practice privileges under Section 5.2 of this Act and (ii) may
lawfully perform such services in the state where those
individuals with practice privileges under Section 5.2 of this
Act have a their principal place of business.
(Source: P.A. 100-419, eff. 8-25-17.)
 
    (225 ILCS 450/13.5)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 13.5. Social Security Number or individual taxpayer
identification number on license application. In addition to
any other information required to be contained in the
application, every application for an original license under
this Act shall include the applicant's Social Security Number
or individual taxpayer identification number, which shall be
retained in the agency's records pertaining to the license. As
soon as practical, the Department shall assign a customer's
identification number to each applicant for a license.
    Every application for a renewal or restored license shall
require the applicant's customer identification number.
(Source: P.A. 97-400, eff. 1-1-12.)
 
    (225 ILCS 450/14.2)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 14.2. Licensure by endorsement.
    (a) The Department shall issue a license as a licensed CPA
to any applicant who holds a current, valid, and unrevoked
license as a certified public accountant issued from another
state with equivalent educational requirements and examination
standards, applies to the Department on forms supplied by the
Department, and pays the required fee, provided:
        (1) the individual applicant is determined by the
    Department to possess qualifications substantially
    equivalent to this State's current licensing requirements;
        (2) at the time the applicant became licensed received
    his or her license, the applicant possessed qualifications
    substantially equivalent to the qualifications for
    licensure then in effect in this State; or
        (3) the applicant has, after passing the examination
    upon which licensure his or her license to practice was
    based, not less than 4 years of experience as outlined in
    Section 14 of this Act within the 10 years immediately
    before the application.
    (b) In determining the substantial equivalency of any
state's requirements to Illinois' requirements, the Department
may rely on the determinations of the National Qualification
Appraisal Service of the National Association of State Boards
of Accountancy or such other qualification appraisal service
as it deems appropriate.
    (c) Applicants have 3 years from the date of application
to complete the application process. If the process has not
been completed in 3 years, the application shall be denied,
the fee shall be forfeited, and the applicant must reapply and
meet the requirements in effect at the time of reapplication.
    (d) Any individual who is the holder of a current, valid,
and not previously disciplined license as a certified public
accountant of any state and has applied in writing to the
Department in form and substance satisfactory to the
Department for a license as a licensed CPA may perform
accountancy activities as set forth in Section 8.05 until the
earlier of the following dates:
        (1) the expiration of 6 months after filing the
    written application; or
        (2) the denial of the application by the Department.
    Any individual performing accountancy activities under
this subsection (d) shall be subject to discipline in the same
manner as an individual licensed under this Act.
(Source: P.A. 98-254, eff. 8-9-13; 98-730, eff. 1-1-15.)
 
    (225 ILCS 450/14.5)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 14.5. CPA Coordinator; duties. The Secretary shall
appoint a full-time CPA Coordinator, who shall hold a
currently valid CPA license or registration. The Coordinator
shall not practice during the term of the Coordinator's his or
her appointment. The Coordinator shall be exempt from all fees
related to the his or her CPA license or registration that come
due during the Coordinator's his or her employment. In
appointing the Coordinator, the Secretary shall give due
consideration to recommendations made by members,
organizations, and associations of the CPA and accounting
profession, if possible. The Coordinator shall:
        (1) act as Chairperson of the Committee, ex officio,
    without a vote;
        (2) be the direct liaison between the Department, the
    profession, and CPA and accounting organizations and
    associations;
        (3) prepare and circulate to licensees any educational
    and informational material that the Department deems
    necessary for providing guidance or assistance to
    licensees;
        (4) appoint any necessary committees to assist in the
    performance of the functions and duties of the Department
    under this Act; and
        (5) subject to the administrative approval of the
    Secretary, supervise all activities relating to the
    regulation of the CPA profession.
(Source: P.A. 100-419, eff. 8-25-17.)
 
    (225 ILCS 450/16)  (from Ch. 111, par. 5517)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 16. Expiration and renewal of licenses; renewal of
registration; continuing education; peer review.
    (a) The expiration date and renewal period for each
license or registration issued under this Act shall be set by
rule.
    (b) Every holder of a license or registration under this
Act may renew such license or registration before the
expiration date upon payment of the required renewal fee as
set by rule.
    (c) Every application for renewal of a license by a
licensed CPA who has been licensed under this Act for 3 years
or more shall be accompanied or supported by any evidence the
Department shall prescribe, in satisfaction of completing
continuing professional education as prescribed by Department
rules. All continuing education sponsors applying to the
Department for registration shall be required to submit an
initial nonrefundable application fee set by Department rule.
Each registered continuing education sponsor shall be required
to pay an annual renewal fee set by Department rule. Publicly
supported colleges, universities, and governmental agencies
located in Illinois are exempt from payment of any fees
required for continuing education sponsor registration.
Failure by a continuing education sponsor to be licensed or
pay the fees prescribed in this Act, or to comply with the
rules and regulations established by the Department under this
Section regarding requirements for continuing education
courses or sponsors, shall constitute grounds for revocation
or denial of renewal of the sponsor's registration.
    (d) Licensed CPAs are exempt from the continuing
professional education requirement for the first renewal
period following the original issuance of the license.
    Failure by an applicant for renewal of a license as a
licensed CPA to furnish the evidence shall constitute grounds
for disciplinary action, unless the Department in its
discretion shall determine the failure to have been due to
reasonable cause. The Department, in its discretion, may renew
a license despite failure to furnish evidence of satisfaction
of requirements of continuing education upon condition that
the applicant follow a particular program or schedule of
continuing education. In issuing rules and individual orders
in respect of requirements of continuing education, the
Department in its discretion may, among other things, use and
rely upon guidelines and pronouncements of recognized
educational and professional associations; may prescribe rules
for the content, duration, and organization of courses; shall
take into account the accessibility to applicants of such
continuing education as it may require, and any impediments to
interstate practice of public accounting that may result from
differences in requirements in other states; and may provide
for relaxation or suspension of requirements in regard to
applicants who certify that they do not intend to engage in the
performance of accountancy activities, and for instances of
individual hardship.
    The Department shall establish by rule a means for the
verification of completion of the continuing education
required by this Section. This verification may be
accomplished through audits of records maintained by
licensees; by requiring the filing of continuing education
certificates with the Department; or by other means
established by the Department.
    The Department may establish, by rule, guidelines for
acceptance of continuing education on behalf of licensed CPAs
taking continuing education courses in other jurisdictions.
    (e) For renewals on and after July 1, 2012, as a condition
for granting a renewal license to CPA firms and sole
practitioners who perform accountancy activities outlined in
paragraph (1) of subsection (a) of Section 8.05 under this
Act, the Department shall require that the CPA firm or sole
practitioner satisfactorily complete a peer review during the
immediately preceding 3-year period, accepted by a Peer Review
Administrator in accordance with established standards for
performing and reporting on peer reviews, unless the CPA firm
or sole practitioner is exempted under the provisions of
subsection (i) of this Section. All CPA firms or sole
practitioners required to undergo a peer review under this
Section shall submit to the Department peer review reports;
letters of response, if applicable; acceptance letters;
letters signed by the reviewed CPA firm accepting the peer
review documents with the understanding that the CPA firm
agrees to take certain actions, if applicable; and letters
notifying the reviewed CPA firm that certain required actions
have been completed, if applicable. CPA firms and sole
practitioners shall satisfy this document submission
requirement by allowing the Peer Review Administrator to
provide the Department access to the documents through the
Association of International Certified Public Accountants'
Facilitated State Board Access within 45 days after the peer
review has been conducted. Nothing in this subsection shall
prevent the Department from requesting this documentation or
any other documentation from the licensee. A CPA firm or sole
practitioner shall, at the request of the Department, submit
to the Department a letter from the Peer Review Administrator
stating the date on which the peer review was satisfactorily
completed.
    A new CPA firm or sole practitioner shall not be required
to comply with the peer review requirements for the first
license renewal. A CPA firm or sole practitioner shall comply
with the Department's rules adopted under this Act and agree
to notify the Peer Review Administrator by the report date of
the initial within 30 days after accepting an engagement for
services requiring a license under this Act and to undergo a
peer review within 18 months of the report date for the initial
after the end of the period covered by the engagement.
    The requirements of this subsection (e) shall not apply to
any person providing services requiring a license under this
Act to the extent that such services are provided in the
capacity of an employee of the Office of the Auditor General or
to a nonprofit cooperative association engaged in the
rendering of licensed service to its members only under
paragraph (3) of Section 14.4 of this Act or any of its
employees to the extent that such services are provided in the
capacity of an employee of the association.
    (f) The Department shall approve only Peer Review
Administrators that the Department finds comply with
established standards for performing and reporting on peer
reviews. The Department may adopt rules establishing
guidelines for peer reviews, which shall do all of the
following:
        (1) Require that a peer review be conducted by a
    reviewer that is independent of the CPA firm or sole
    practitioner reviewed and approved by the Peer Review
    Administrator under established standards.
        (2) Other than in the peer review process, prohibit
    the use or public disclosure of information obtained by
    the reviewer, the Peer Review Administrator, or the
    Department during or in connection with the peer review
    process. The requirement that information not be publicly
    disclosed shall not apply to a hearing before the
    Department that the CPA firm or sole practitioner requests
    be public or to the information described in paragraph (3)
    of subsection (i) of this Section.
    (g) If a CPA firm or sole practitioner fails to
satisfactorily complete a peer review as required by
subsection (e) of this Section or does not comply with any
remedial actions determined necessary by the Peer Review
Administrator, the Peer Review Administrator shall notify the
Department of the failure and shall submit a record with
specific references to the rule, statutory provision,
professional standards, or other applicable authority upon
which the Peer Review Administrator made its determination and
the specific actions taken or failed to be taken by the
licensee that in the opinion of the Peer Review Administrator
constitutes a failure to comply. The Department may at its
discretion or shall upon submission of a written application
by the CPA firm or sole practitioner hold a hearing under
Section 20.1 of this Act to determine whether the CPA firm or
sole practitioner has complied with subsection (e) of this
Section. The hearing shall be confidential and shall not be
open to the public unless requested by the CPA firm or sole
practitioner.
    (h) The CPA firm or sole practitioner reviewed shall pay
for any peer review performed. The Peer Review Administrator
may charge a fee to each firm and sole practitioner sufficient
to cover costs of administering the peer review program.
    (i) A CPA firm or sole practitioner shall not be required
to comply with the peer review requirements if any one or more
of the following conditions are met:
        (1) Within 3 years before the date of application for
    renewal licensure, the sole practitioner or CPA firm has
    undergone a peer review conducted in another state or
    foreign jurisdiction that meets the requirements of
    paragraphs (1) and (2) of subsection (f) of this Section.
    The sole practitioner or CPA firm shall submit to the
    Department peer review reports; letters of response, if
    applicable; acceptance letters; letters signed by the
    reviewed CPA firm accepting the peer review documents with
    the understanding that the CPA firm agrees to take certain
    actions, if applicable; and letters notifying the reviewed
    CPA firm that certain required actions have been
    completed, if applicable. CPA firms and sole practitioners
    shall satisfy this document submission requirement by
    allowing the Peer Review Administrator to provide the
    Department access to the documents through the Association
    of International Certified Public Accountants' Facilitated
    State Board Access within 45 days after the peer review
    has been conducted. Nothing in this subsection shall
    prevent the Department from requesting this documentation
    or any other documentation from the licensee. , at the
    request of the Department, submit to the Department a
    letter from the organization administering the most recent
    peer review stating the date on which the peer review was
    completed; or
        (2) Within 2 years before the date of application for
    renewal licensure, the sole practitioner or CPA firm
    satisfies all of the following conditions:
            (A) has not accepted or performed any accountancy
        activities outlined in paragraph (1) of subsection (a)
        of Section 8.05 of this Act; and
            (B) the firm or sole practitioner agrees to notify
        the Peer Review Administrator by the date of the
        initial within 30 days of accepting an engagement for
        services requiring a license under this Act and to
        undergo a peer review within 18 months of the report
        date for the initial after the end of the period
        covered by the engagement. ; or
        (3) For reasons of personal health, military service,
    or other good cause, the Department determines that the
    sole practitioner or firm is entitled to an exemption,
    which may be granted for a period of time not to exceed 12
    months.
    (j) If a peer review report indicates that a CPA firm or
sole practitioner complies with the appropriate professional
standards and practices set forth in the rules of the
Department and no further remedial action is required, the
Peer Review Administrator shall, after issuance of the final
letter of acceptance, destroy all working papers and documents
related to the peer review, other than report-related
documents and documents evidencing completion of remedial
actions, if any, in accordance with rules established by the
Department.
    (k) (Blank).
(Source: P.A. 100-419, eff. 8-25-17.)
 
    (225 ILCS 450/17)  (from Ch. 111, par. 5518)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 17. Fees; returned checks; fines. The fees for the
administration and enforcement of this Act, including, but not
limited to, original licensure, registration, renewal, and
restoration fees, shall be set by the Department by rule. The
fees shall be nonrefundable.
    Any person who delivers a check or other payment to the
Department that is returned to the Department unpaid by the
financial institution upon which it is drawn shall pay to the
Department, in addition to the amount already owed to the
Department, a fine of $50. The fines imposed by this Section
are in addition to any other discipline provided under this
Act for unlicensed practice or practice on a nonrenewed
license or registration. The Department shall notify the
person that payment of fees and fines shall be paid to the
Department by certified check or money order within 30
calendar days of the notification. If, after the expiration of
30 days from the date of the notification, the person has
failed to submit the necessary remittance, the Department
shall automatically terminate the license or registration or
deny the application, without a hearing. If, after termination
or denial, the person seeks a license or registration, the
person he or she shall apply to the Department for restoration
or issuance of the license or registration and pay all fees and
fines due to the Department. The Department may establish a
fee for the processing of an application for restoration of a
license or registration to pay all expenses of processing this
application. The Department may waive the fines due under this
Section in individual cases where the Department finds that
the fines would be unreasonable or unnecessarily burdensome.
(Source: P.A. 98-254, eff. 8-9-13.)
 
    (225 ILCS 450/17.1)  (from Ch. 111, par. 5518.1)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 17.1. Restoration.
    (a) Any registered CPA who has permitted the registrant's
his or her registration to expire or who has had the
registrant's his or her registration on inactive status may
have the his or her registration restored by making
application to the Department and filing proof acceptable to
the Department as defined by rule of the registrant's his or
her fitness to have the his or her registration restored,
which may include sworn evidence certifying to active practice
in another jurisdiction satisfactory to the Department and by
paying the required restoration fee.
    (b) Any licensed CPA who has permitted the licensee's his
or her license to expire or who has had the licensee's his or
her license on inactive status may have the his or her license
restored by (1) making application to the Department and
filing proof acceptable to the Department as defined by rule
of the licensee's his or her fitness to have the his or her
license restored, including sworn evidence certifying to
active practice in another jurisdiction satisfactory to the
Department, (2) paying the required restoration fee, (3)
submitting proof of the required continuing education and (4)
in the case of a sole practitioner, satisfactory completion of
peer review outlined in subsection (e) of Section 16, unless
exempt from peer review under subsection (i) of Section 16.
    (c) Any firm that has permitted its license to expire may
have its license restored by (1) making application to the
Department and filing proof acceptable to the Department as
defined by rule of its fitness to have its license restored,
including sworn evidence certifying to active practice in
another jurisdiction satisfactory to the Department, (2)
paying the required restoration fee, and (3) satisfactory
completion of peer review outlined in subsection (e) of
Section 16, unless exempt from peer review under subsection
(i) of Section 16.
    (d) If the licensed CPA or registered CPA has not
maintained an active practice in another jurisdiction
satisfactory to the Department, the Department shall
determine, by an evaluation program established by rule, the
licensee or registrant's fitness to resume active status and
may require the applicant to complete a period of supervised
experience.
    Any licensed CPA or registered CPA whose license or
registration expired while he or she was (1) in Federal
Service on active duty with the Armed Forces of the United
States, or the State Militia called into service or training,
or (2) in training or education under the supervision of the
United States preliminary to induction into the military
service, may have the his or her license or registration
renewed reinstated or restored without paying any lapsed
renewal and restoration fees if within 2 years after honorable
termination of such service, training or education except
under conditions other than honorable, the Department is
furnished with satisfactory evidence to the effect that the
licensee or registrant has been so engaged and that the
service, training, or education has been terminated he or she
furnished the Department with satisfactory evidence to the
effect that he or she has been so engaged and that his or her
service, training, or education has been so terminated.
(Source: P.A. 98-254, eff. 8-9-13; 98-730, eff. 1-1-15.)
 
    (225 ILCS 450/17.2)  (from Ch. 111, par. 5518.2)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 17.2. Inactive status.
    (a) Any licensed or registered CPA with an active,
unencumbered license or registration who notifies the
Department in writing on forms prescribed by the Department,
may elect to place the his or her license or registration on an
inactive status and shall, subject to rules of the Department,
be excused from payment of renewal fees and completion of
continuing education hours until he or she notifies the
Department is notified in writing of the licensee or
registrant's his or her desire to resume active status.
    (b) Any licensed CPA requesting restoration from inactive
status shall be required to pay the current renewal fee, shall
be required to submit proof of the required continuing
education, and shall be required to comply with any
requirements established by rule.
    (c) Any registered CPA requesting restoration from
inactive status shall be required to pay the current renewal
fee and shall be required to comply with any requirements
established by rule.
    (d) Any licensed CPA or registered CPA whose license is in
an inactive status shall not perform accountancy activities
outlined in Section 8.05 of this Act.
    (e) Any licensed CPA or registered CPA whose license or
registration is in an inactive status shall not in any manner
hold oneself himself or herself out to the public as a CPA,
except in accordance with subsection (f) of this Section.
    (f) Any licensed CPA whose license is in inactive status
may use the title "CPA (inactive)" if:
        (1) the licensee he or she is not performing
    accountancy activities outlined in Section 8.05; or
        (2) the licensee he or she is performing governance
    functions on a non-profit volunteer board using the
    licensee's his or her accountancy skills and competencies
    and complies with the following requirements:
            (A) the licensee he or she discloses to the
        non-profit volunteer board and respective committees
        that the his or her license is on inactive status; and
            (B) the licensee he or she is not serving as an
        audit committee financial expert as defined in Section
        407 of the federal Sarbanes-Oxley Act of 2002.
(Source: P.A. 98-254, eff. 8-9-13.)
 
    (225 ILCS 450/20.01)  (from Ch. 111, par. 5521.01)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 20.01. Grounds for discipline; license or
registration.
    (a) The Department may refuse to issue or renew, or may
revoke, suspend, or reprimand any registration or registrant,
any license or licensee, place a licensee or registrant on
probation for a period of time subject to any conditions the
Department may specify including requiring the licensee or
registrant to attend continuing education courses or to work
under the supervision of another licensee or registrant,
impose a fine not to exceed $10,000 for each violation,
restrict the authorized scope of practice, require a licensee
or registrant to undergo a peer review program, assess costs
as provided for under Section 20.4, or take other disciplinary
or non-disciplinary action for any one or more of the
following:
        (1) Violation of any provision of this Act or rule
    adopted by the Department under this Act or violation of
    professional standards.
        (2) Dishonesty, fraud, or deceit in obtaining,
    reinstating, or restoring a license or registration.
        (3) Cancellation, revocation, suspension, denial of
    licensure or registration, or refusal to renew a license
    or privileges under Section 5.2 for disciplinary reasons
    in any other U.S. jurisdiction, unit of government, or
    government agency for any cause.
        (4) Failure, on the part of a licensee under Section
    13 or registrant under Section 16, to maintain compliance
    with the requirements for issuance or renewal of a license
    or registration or to report changes to the Department.
        (5) Revocation or suspension of the right to practice
    by or before any state or federal regulatory authority or
    by the Public Company Accounting Oversight Board.
        (6) Dishonesty, fraud, deceit, or gross negligence in
    the performance of services as a licensee or registrant or
    individual granted privileges under Section 5.2.
        (7) Conviction by plea of guilty or nolo contendere,
    finding of guilt, jury verdict, or entry of judgment or
    sentencing, including, but not limited to, convictions,
    preceding sentences of supervision, conditional discharge,
    or first offender probation, under the laws of any
    jurisdiction of the United States that is (i) a felony or
    (ii) a misdemeanor, an essential element of which is
    dishonesty, or that is directly related to the practice of
    public accounting.
        (8) Performance of any fraudulent act while holding a
    license or privilege issued under this Act or prior law.
        (9) Practicing on a revoked, suspended, or inactive
    license or registration.
        (10) Making or filing a report or record that the
    registrant or licensee knows to be false, willfully
    failing to file a report or record required by State or
    federal law, willfully impeding or obstructing the filing
    or inducing another person to impede or obstruct only
    those that are signed in the capacity of a licensed CPA or
    a registered CPA.
        (11) Aiding or assisting another person in violating
    any provision of this Act or rules promulgated hereunder.
        (12) Engaging in dishonorable, unethical, or
    unprofessional conduct of a character likely to deceive,
    defraud, or harm the public.
        (13) Habitual or excessive use or abuse of drugs,
    alcohol, narcotics, stimulants, or any other substance
    that results in the inability to practice with reasonable
    skill, judgment, or safety.
        (14) Directly or indirectly giving to or receiving
    from any person, firm, corporation, partnership, or
    association any fee, commission, rebate, or other form of
    compensation for any professional service not actually
    rendered.
        (15) Physical illness, including, but not limited to,
    deterioration through the aging process or loss of motor
    skill that results in the licensee or registrant's
    inability to practice under this Act with reasonable
    judgment, skill, or safety.
        (16) Solicitation of professional services by using
    false or misleading advertising.
        (17) Any conduct reflecting adversely upon the
    licensee's fitness to perform services while a licensee or
    individual granted privileges under Section 5.2.
        (18) Practicing or attempting to practice under a name
    other than the full name as shown on the license or
    registration or any other legally authorized name.
        (19) A finding by the Department that a licensee or
    registrant has not complied with a provision of any lawful
    order issued by the Department.
        (20) Making a false statement to the Department
    regarding compliance with continuing professional
    education or peer review requirements.
        (21) Failing to make a substantive response to a
    request for information by the Department within 30 days
    of the request.
    (b) (Blank).
    (b-5) All fines or costs imposed under this Section shall
be paid within 60 days after the effective date of the order
imposing the fine or costs or in accordance with the terms set
forth in the order imposing the fine or cost.
    (c) In cases where the Department of Healthcare and Family
Services has previously determined a licensee or a potential
licensee is more than 30 days delinquent in the payment of
child support and has subsequently certified the delinquency
to the Department, the Department may refuse to issue or renew
or may revoke or suspend that person's license or may take
other disciplinary or non-disciplinary action against that
person based solely upon the certification of delinquency made
by the Department of Healthcare and Family Services in
accordance with item (5) of subsection (a) of Section 2105-15
of the Department of Professional Regulation Law of the Civil
Administrative Code of Illinois.
    (d) The Department may refuse to issue or may suspend
without hearing, as provided for in the Code of Civil
Procedure, the license or registration of any person who fails
to file a return, to pay a tax, penalty, or interest shown in a
filed return, or to pay any final assessment of tax, penalty,
or interest, as required by any tax Act administered by the
Illinois Department of Revenue, until such time as the
requirements of any such tax Act are satisfied in accordance
with subsection (g) of Section 2105-15 of the Department of
Professional Regulation Law of the Civil Administrative Code
of Illinois.
    (e) (Blank).
    (f) The determination by a court that a licensee or
registrant is subject to involuntary admission or judicial
admission as provided in the Mental Health and Developmental
Disabilities Code will result in the automatic suspension of
the his or her license or registration. The licensee or
registrant shall be responsible for notifying the Department
of the determination by the court that the licensee or
registrant is subject to involuntary admission or judicial
admission as provided in the Mental Health and Developmental
Disabilities Code. The suspension shall end only upon a
finding by a court that the patient is no longer subject to
involuntary admission or judicial admission, the issuance of
an order so finding and discharging the patient, and the
filing of a petition for restoration demonstrating fitness to
practice.
    (g) In enforcing this Section, the Department, upon a
showing of a possible violation, may compel, any licensee or
registrant or any individual who has applied for licensure
under this Act, to submit to a mental or physical examination
and evaluation, or both, which may include a substance abuse
or sexual offender evaluation, at the expense of the
Department. The Department shall specifically designate the
examining physician licensed to practice medicine in all of
its branches or, if applicable, the multidisciplinary team
involved in providing the mental or physical examination and
evaluation, or both. The multidisciplinary team shall be led
by a physician licensed to practice medicine in all of its
branches and may consist of one or more or a combination of
physicians licensed to practice medicine in all of its
branches, licensed chiropractic physicians, licensed clinical
psychologists, licensed clinical social workers, licensed
clinical professional counselors, and other professional and
administrative staff. Any examining physician or member of the
multidisciplinary team may require any person ordered to
submit to an examination and evaluation under this Section to
submit to any additional supplemental testing deemed necessary
to complete any examination or evaluation process, including,
but not limited to, blood testing, urinalysis, psychological
testing, or neuropsychological testing. The Department may
order the examining physician or any member of the
multidisciplinary team to provide to the Department any and
all records, including business records, that relate to the
examination and evaluation, including any supplemental testing
performed. The Department may order the examining physician or
any member of the multidisciplinary team to present testimony
concerning this examination and evaluation of the licensee,
registrant, or applicant, including testimony concerning any
supplemental testing or documents relating to the examination
and evaluation. No information, report, record, or other
documents in any way related to the examination and evaluation
shall be excluded by reason of any common law or statutory
privilege relating to communication between the licensee,
registrant, or applicant and the examining physician or any
member of the multidisciplinary team. No authorization is
necessary from the individual ordered to undergo an evaluation
and examination for the examining physician or any member of
the multidisciplinary team to provide information, reports,
records, or other documents or to provide any testimony
regarding the examination and evaluation.
    The individual to be examined may have, at the
individual's his or her own expense, another physician of the
individual's his or her choice present during all aspects of
the examination. Failure of any individual to submit to mental
or physical examination and evaluation, or both, when
directed, shall result in an automatic suspension, without
hearing, until such time as the individual submits to the
examination. If the Department finds a licensee, registrant,
or applicant unable to practice because of the reasons set
forth in this Section, the Department shall require such
licensee, registrant, or applicant to submit to care,
counseling, or treatment by physicians approved or designated
by the Department, as a condition for continued, reinstated,
or renewed licensure to practice.
    When the Secretary immediately suspends a license or
registration under this Section, a hearing upon such person's
license or registration must be convened by the Department
within 15 days after such suspension and completed without
appreciable delay. The Department shall have the authority to
review the subject's record of treatment and counseling
regarding the impairment, to the extent permitted by
applicable federal statutes and regulations safeguarding the
confidentiality of medical records.
    Individuals licensed or registered under this Act,
affected under this Section, shall be afforded an opportunity
to demonstrate to the Department that they can resume practice
in compliance with acceptable and prevailing standards under
the provisions of the individual's their license or
registration.
(Source: P.A. 100-872, eff. 8-14-18.)
 
    (225 ILCS 450/20.1)  (from Ch. 111, par. 5522)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 20.1. Investigations; notice; hearing.
    (a) The Department may investigate the actions of an
applicant, person, or entity holding or claiming to hold a
license.
    (b) The Department shall, before revoking, suspending,
placing on probation, reprimanding, or taking any other
disciplinary or non-disciplinary action under Section 20.01 of
this Act, at least 30 days before the date set for the hearing,
(i) notify the accused in writing of the charges made and the
time and place for the hearing on the charges, (ii) direct the
accused him or her to file a written answer to the charges with
the Department under oath within 20 days after the service on
him or her of the notice is made, and (iii) inform the accused
that, if the Department he or she fails to receive an answer,
default shall be taken against the accused him or her or the
accused's that his or her license or registration may be
suspended, revoked, placed on probationary status, or other
disciplinary action taken with regard to the licensee,
including limiting the scope, nature, or extent of the
accused's his or her practice, as the Department may consider
proper.
    (c) With respect to determinations by a Peer Review
Administrator duly appointed by the Department under
subsection (f) of Section 16 of this Act that a licensee has
failed to satisfactorily complete a peer review as required
under subsection (e) of Section 16, the Department may
consider the Peer Review Administrator's findings of fact as
prima facie evidence, and upon request by a licensee for a
hearing the Department shall review the record presented and
hear arguments by the licensee or the licensee's counsel but
need not conduct a trial or hearing de novo or accept
additional evidence.
    (d) At the time and place fixed in the notice, the
Department shall proceed to hear the charges and the parties
or the parties' their counsel shall be accorded ample
opportunity to present any pertinent statements, testimony,
evidence, and arguments. The Department may continue the
hearing from time to time.
    (e) In case the person, after receiving the notice, fails
to file an answer, the his or her license or registration may,
in the discretion of the Department, be suspended, revoked,
placed on probationary status, or the Department may take
whatever disciplinary action considered proper, including
limiting the scope, nature, or extent of the person's practice
or the imposition of a fine, without a hearing, if the act or
acts charged constitute sufficient grounds for that action
under this Act. The written notice may be served by registered
or certified mail to the licensee or registrant's address of
record or, if in the course of the administrative proceeding
the party has previously designated a specific email address
at which to accept electronic service for that specific
proceeding, by sending a copy by email to an email address on
record.
(Source: P.A. 98-254, eff. 8-9-13.)
 
    (225 ILCS 450/20.2)  (from Ch. 111, par. 5523)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 20.2. Subpoenas; depositions; oaths.
    (a) The Department may subpoena and bring before it any
person to take the oral or written testimony or compel the
production of any books, papers, records, or any other
documents that the Secretary or the Secretary's his or her
designee deems relevant or material to any investigation or
hearing conducted by the Department with the same fees and
mileage as prescribed in civil cases in circuit courts of this
State and in the same manner as prescribed by this Act and its
rules.
    (b) The Secretary, any member of the Committee designated
by the Secretary, a certified shorthand reporter, or any
hearing officer appointed may administer oaths at any hearing
which the Department conducts. Notwithstanding any statute or
Department rule to the contrary, all requests for testimony,
production of documents, or records shall be in accordance
with this Act.
(Source: P.A. 98-254, eff. 8-9-13.)
 
    (225 ILCS 450/20.6)  (from Ch. 111, par. 5526.6)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 20.6. Hearing officer. Notwithstanding the provisions
of Section 20.2 of this Act, the Secretary shall have the
authority to appoint any attorney duly licensed to practice
law in the State of Illinois to serve as the hearing officer in
any disciplinary action.
    The hearing officer shall have full authority to conduct
the hearing. The hearing officer shall report the hearing
officer's his findings of fact, conclusions of law, and
recommendations to the Committee and the Secretary.
(Source: P.A. 98-254, eff. 8-9-13.)
 
    (225 ILCS 450/20.7)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 20.7. Findings and recommendations.
    (a) The Committee shall review the report of the hearing
officer and present its findings of fact, conclusions of law,
and recommendations to the Secretary. The report of the
findings and recommendations of the Committee shall be the
basis for the Secretary's order for refusing to issue,
restore, or renew a license or registration, or otherwise
discipline a licensee or registrant.
    (b) If the Secretary disagrees in any regard with the
report of the Committee or hearing officer, the Secretary he
or she may issue an order contrary to the report.
    (c) The findings are not admissible in evidence against
the person in a criminal prosecution brought for the violation
of this Act, but the hearing and findings are not a bar to a
criminal prosecution brought for the violation of this Act.
(Source: P.A. 98-254, eff. 8-9-13.)
 
    (225 ILCS 450/21)  (from Ch. 111, par. 5527)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 21. Administrative review; certification of record;
order as prima facie proof.
    (a) All final administrative decisions of the Department
hereunder shall be subject to judicial review pursuant to the
provisions of the Administrative Review Law, and all
amendments and modifications thereof, and the rules adopted
pursuant thereto. The term "administrative decision" is
defined as in Section 3-101 of the Code of Civil Procedure.
    Proceedings for judicial review shall be commenced in the
Circuit Court of the county in which the party applying for
review resides; provided, that if such party is not a resident
of this State, the venue shall be in Sangamon, Champaign, or
Cook County.
    (b) The Department shall not be required to certify any
record to the court or file any answer in court or otherwise
appear in any court in a judicial review proceeding, unless
and until the Department has received from the plaintiff
payment of the costs of furnishing and certifying the record,
which costs shall be established by the Department. Exhibits
shall be certified without cost. Failure on the part of the
plaintiff to file such receipt in court shall be grounds for
dismissal of the action.
    (c) An order of disciplinary action or a certified copy
thereof, over the seal of the Department and purporting to be
signed by the Secretary or authorized agent of the Secretary,
shall be prima facie proof, subject to being rebutted, that:
        (1) the signature is the genuine signature of the
    Secretary or authorized agent of the Secretary;
        (2) the Secretary or authorized agent of the Secretary
    is duly appointed and qualified; and
        (3) the Committee and the members thereof are
    qualified to act.
(Source: P.A. 98-254, eff. 8-9-13.)
 
    (225 ILCS 450/27)  (from Ch. 111, par. 5533)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 27. Confidentiality of licensee's and registrant's
records. A licensed or registered CPA shall not be required by
any court to divulge information or evidence which has been
obtained by him in the licensee or registrant's his
confidential capacity as a licensed or registered CPA. This
Section shall not apply to any investigation or hearing
undertaken pursuant to this Act.
(Source: P.A. 98-254, eff. 8-9-13.)
 
    (225 ILCS 450/30)  (from Ch. 111, par. 5535)
    (Section scheduled to be repealed on January 1, 2024)
    Sec. 30. Injunctions; cease and desist.
    (a) If any person or entity violates any provision of this
Act, the Secretary may, in the name of the people of the State
of Illinois by the Attorney General of the State of Illinois or
the State's Attorney of any county in which the violation is
alleged to have occurred, petition for an order enjoining the
violation or for an order enforcing compliance with this Act.
Upon the filing of a verified petition in court, the court may
issue a temporary restraining order, without notice or bond,
and may preliminarily and permanently enjoin the violation. If
it is established that the person has violated or is violating
the injunction, the court may punish the offender for contempt
of court. The injunction proceeding shall be in addition to
and not in lieu of any penalties or other remedies provided by
this Act. No injunction shall issue under this section against
any person for any act exempted under Section 11 of this Act.
    (b) If any person shall practice as a licensed CPA or a
registered CPA or hold oneself himself or herself out as a
licensed CPA or registered CPA without being licensed or
registered under the provisions provision of this Act then any
licensed CPA or registered CPA, any interested party, or any
person injured thereby may, in addition to the Department,
petition for relief as provided in subsection (a) of this
Section.
    (c) Whenever in the opinion of the Department any person
violates any provision of this Act, the Department may issue a
rule to show cause why an order to cease and desist should not
be entered against the person him. The rule shall clearly set
forth the grounds relied upon by the Department and shall
provide a period of 7 days from the date of the rule to file an
answer to the satisfaction of the Department. Failure to
answer to the satisfaction of the Department shall cause an
order to cease and desist to be issued forthwith.
(Source: P.A. 98-254, eff. 8-9-13.)
 
    Section 99. Effective date. This Section and Section 5
take effect upon becoming law.