Rep. Robert Rita

Filed: 3/21/2019

 

 


 

 


 
10100HB2705ham001LRB101 10329 SMS 56957 a

1
AMENDMENT TO HOUSE BILL 2705

2    AMENDMENT NO. ______. Amend House Bill 2705 by replacing
3everything after the enacting clause with the following:
 
4    "Section 5. The Regulatory Sunset Act is amended by
5changing Section 4.30 and by adding Section 4.40 as follows:
 
6    (5 ILCS 80/4.30)
7    Sec. 4.30. Acts repealed on January 1, 2020. The following
8Acts are repealed on January 1, 2020:
9    The Auction License Act.
10    The Community Association Manager Licensing and
11Disciplinary Act.
12    The Illinois Architecture Practice Act of 1989.
13    The Illinois Landscape Architecture Act of 1989.
14    The Illinois Professional Land Surveyor Act of 1989.
15    The Orthotics, Prosthetics, and Pedorthics Practice Act.
16    The Perfusionist Practice Act.

 

 

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1    The Pharmacy Practice Act.
2    The Professional Engineering Practice Act of 1989.
3    The Real Estate License Act of 2000.
4    The Structural Engineering Practice Act of 1989.
5(Source: P.A. 100-497, eff. 9-8-17; 100-534, eff. 9-22-17;
6100-863, eff. 8-14-18.)
 
7    (5 ILCS 80/4.40 new)
8    Sec. 4.40. Act repealed on January 1, 2030. The following
9Act is repealed on January 1, 2030:
10    The Real Estate License Act of 2000.
 
11    Section 10. The Real Estate License Act of 2000 is amended
12by changing Sections 1-10, 5-5, 5-7, 5-10, 5-15, 5-20, 5-27,
135-28, 5-32, 5-35, 5-40, 5-41, 5-45, 5-50, 5-60, 5-70, 5-80,
1410-5, 10-15, 10-20, 10-30, 10-45, 15-5, 15-10, 15-25, 15-45,
1515-50, 15-65, 15-75, 20-10, 20-20, 20-21, 20-23, 20-25, 20-60,
1620-64, 20-65, 20-66, 20-67, 20-68, 20-72, 20-85, 20-90, 25-10,
1725-13, 25-15, 25-25, 25-35, 30-5, 30-15, and 30-25 and by
18adding Sections 5-3, 5-27.5, 10-50, 10-55, 10-60, and 25-14.5
19as follows:
 
20    (225 ILCS 454/1-10)
21    (Section scheduled to be repealed on January 1, 2020)
22    Sec. 1-10. Definitions. In this Act, unless the context
23otherwise requires:

 

 

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1    "Act" means the Real Estate License Act of 2000.
2    "Address of record" means the designated address recorded
3by the Department in the applicant's or licensee's application
4file or license file as maintained by the Department's
5licensure maintenance unit. It is the duty of the applicant or
6licensee to inform the Department of any change of address, and
7those changes must be made either through the Department's
8website or by contacting the Department.
9    "Agency" means a relationship in which a broker or
10licensee, whether directly or through an affiliated licensee,
11represents a consumer by the consumer's consent, whether
12express or implied, in a real property transaction.
13    "Applicant" means any person, as defined in this Section,
14who applies to the Department for a valid license as a managing
15broker licensee, broker, broker associate, or leasing agent.
16    "Blind advertisement" means any real estate advertisement
17that is used by a licensee regarding the sale or lease of real
18estate, licensed activities, or the hiring of any licensee
19under this Act that does not include the complete sponsoring
20broker's business name or, in the case of electronic
21advertisements, does not provide a direct link to a display
22with all the required disclosures. and that is used by any
23licensee regarding the sale or lease of real estate, licensed
24activities, or the hiring of any licensee under this Act. The
25broker's business name in the case of a franchise shall include
26the franchise affiliation as well as the name of the individual

 

 

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1firm.
2    "Board" means the Real Estate Administration and
3Disciplinary Board of the Department as created by Section
425-10 of this Act.
5    "Branch office" means a sponsoring broker's office other
6than the sponsoring broker's principal office.
7    "Broker" means an individual, entity, corporation, foreign
8or domestic partnership, limited liability company, registered
9limited liability partnership, or other business entity other
10than a leasing agent who, whether in person or through any
11media or technology, for another and for compensation, or with
12the intention or expectation of receiving compensation, either
13directly or indirectly:
14        (1) Sells, exchanges, purchases, rents, or leases real
15    estate.
16        (2) Offers to sell, exchange, purchase, rent, or lease
17    real estate.
18        (3) Negotiates, offers, attempts, or agrees to
19    negotiate the sale, exchange, purchase, rental, or leasing
20    of real estate.
21        (4) Lists, offers, attempts, or agrees to list real
22    estate for sale, rent, lease, or exchange.
23        (5) Buys, sells, offers to buy or sell, markets for
24    sale, exchanges, or otherwise deals in options on or
25    contracts for the purchase or sale of real estate or
26    improvements thereon.

 

 

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1        (6) Supervises the collection, offer, attempt, or
2    agreement to collect rent for the use of real estate.
3        (7) Advertises or represents himself or herself as
4    being engaged in the business of buying, selling,
5    exchanging, renting, or leasing real estate.
6        (8) Assists or directs in procuring or referring of
7    leads or prospects, intended to result in the sale,
8    exchange, lease, or rental of real estate.
9        (9) Assists or directs in the negotiation of any
10    transaction intended to result in the sale, exchange,
11    lease, or rental of real estate.
12        (10) Opens real estate to the public for marketing
13    purposes.
14        (11) Sells, rents, leases, or offers for sale or lease
15    real estate at auction.
16        (12) Prepares or provides a broker price opinion or
17    comparative market analysis as those terms are defined in
18    this Act, pursuant to the provisions of Section 10-45 of
19    this Act.
20    "Broker associate" means a person who has completed all the
21requirements for obtaining a broker associate license,
22including completion of the necessary education requirements
23and successful passage of an examination.
24    "Brokerage agreement" means a written or oral agreement
25between a sponsoring broker and a consumer for licensed
26activities to be provided to a consumer in return for

 

 

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1compensation or the right to receive compensation from another.
2Brokerage agreements may constitute either a bilateral or a
3unilateral agreement between the broker and the broker's client
4depending upon the content of the brokerage agreement. All
5exclusive brokerage agreements shall be in writing.
6    "Broker price opinion" means an estimate or analysis of the
7probable selling price of a particular interest in real estate,
8which may provide a varying level of detail about the
9property's condition, market, and neighborhood and information
10on comparable sales. The activities of a real estate broker
11associate, broker, or managing broker licensee engaging in the
12ordinary course of business as a broker, as defined in this
13Section, shall not be considered a broker price opinion if no
14compensation is paid to the broker associate, broker, or
15managing broker licensee, other than compensation based upon
16the sale or rental of real estate.
17    "Client" means a person who is being represented by a
18licensee.
19    "Comparative market analysis" is an analysis or opinion
20regarding pricing, marketing, or financial aspects relating to
21a specified interest or interests in real estate that may be
22based upon an analysis of comparative market data, the
23expertise of the real estate broker associate, broker, or
24managing broker licensee, and such other factors as the broker
25associate, broker, or managing broker licensee may deem
26appropriate in developing or preparing such analysis or

 

 

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1opinion. The activities of a real estate broker associate,
2broker, or managing broker licensee engaging in the ordinary
3course of business as a broker, as defined in this Section,
4shall not be considered a comparative market analysis if no
5compensation is paid to the broker associate, broker, or
6managing broker licensee, other than compensation based upon
7the sale or rental of real estate.
8    "Compensation" means the valuable consideration given by
9one person or entity to another person or entity in exchange
10for the performance of some activity or service. Compensation
11shall include the transfer of valuable consideration,
12including without limitation the following:
13        (1) commissions;
14        (2) referral fees;
15        (3) bonuses;
16        (4) prizes;
17        (5) merchandise;
18        (6) finder fees;
19        (7) performance of services;
20        (8) coupons or gift certificates;
21        (9) discounts;
22        (10) rebates;
23        (11) a chance to win a raffle, drawing, lottery, or
24    similar game of chance not prohibited by any other law or
25    statute;
26        (12) retainer fee; or

 

 

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1        (13) salary.
2    "Confidential information" means information obtained by a
3licensee from a client during the term of a brokerage agreement
4that (i) was made confidential by the written request or
5written instruction of the client, (ii) deals with the
6negotiating position of the client, or (iii) is information the
7disclosure of which could materially harm the negotiating
8position of the client, unless at any time:
9        (1) the client permits the disclosure of information
10    given by that client by word or conduct;
11        (2) the disclosure is required by law; or
12        (3) the information becomes public from a source other
13    than the licensee.
14    "Confidential information" shall not be considered to
15include material information about the physical condition of
16the property.
17    "Consumer" means a person or entity seeking or receiving
18licensed activities.
19    "Coordinator" means the Coordinator of Real Estate created
20in Section 25-15 of this Act.
21    "Credit hour" means 50 minutes of classroom instruction in
22course work that meets the requirements set forth in rules
23adopted by the Department.
24    "Customer" means a consumer who is not being represented by
25the licensee but for whom the licensee is performing
26ministerial acts.

 

 

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1    "Department" means the Department of Financial and
2Professional Regulation.
3    "Designated agency" means a contractual relationship
4between a sponsoring broker and a client under Section 15-50 of
5this Act in which one or more licensees associated with or
6employed by the broker are designated as agent of the client.
7    "Designated agent" means a sponsored licensee named by a
8sponsoring broker as the legal agent of a client, as provided
9for in Section 15-50 of this Act.
10    "Designated testing service" means the vendor that is
11chosen and hired by the Department to administer, score, and
12report the results on the written examinations provided for in
13Section 5-35.
14    "Director" means the Director of Real Estate within the
15Department of Financial and Professional Regulation.
16    "Disclosed dual Dual agency" means an agency relationship
17in which a licensee is representing both buyer and seller or
18both landlord and tenant in the same transaction. When the
19agency relationship is a designated agency, the question of
20whether there is disclosed a dual agency shall be determined by
21the agency relationships of the designated agent of the parties
22and not of the sponsoring broker.
23    "Education provider" means a school licensed by the
24Department offering courses in pre-license, post-license, or
25continuing education required by this Act.
26    "Employee" or other derivative of the word "employee", when

 

 

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1used to refer to, describe, or delineate the relationship
2between a sponsoring broker and a managing broker licensee,
3broker, broker associate, or a leasing agent, shall be
4construed to include an independent contractor relationship,
5provided that a written agreement exists that clearly
6establishes and states the relationship. All responsibilities
7of a broker shall remain.
8    "Escrow moneys" means all moneys, promissory notes or any
9other type or manner of legal tender or financial consideration
10deposited with any person for the benefit of the parties to the
11transaction. A transaction exists once an agreement has been
12reached and an accepted real estate contract signed or lease
13agreed to by the parties. Escrow moneys includes without
14limitation earnest moneys and security deposits, except those
15security deposits in which the person holding the security
16deposit is also the sole owner of the property being leased and
17for which the security deposit is being held.
18    "Electronic means of proctoring" means a methodology
19providing assurance that the person taking a test and
20completing the answers to questions is the person seeking
21licensure or credit for continuing education and is doing so
22without the aid of a third party or other device.
23    "Exclusive brokerage agreement" means a written brokerage
24agreement that provides that the sponsoring broker has the sole
25right, through one or more sponsored licensees, to act as the
26exclusive designated agent or representative of the client and

 

 

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1that meets the requirements of Section 15-75 of this Act.
2    "Inoperative" means a status of licensure where the
3licensee holds a current license under this Act, but the
4licensee is prohibited from engaging in licensed activities
5because the licensee is unsponsored or the license of the
6sponsoring broker with whom the licensee is associated or by
7whom he or she is employed is currently expired, revoked,
8suspended, or otherwise rendered invalid under this Act.
9    "Interactive delivery method" means delivery of a course by
10an instructor through a medium allowing for 2-way communication
11between the instructor and a student in which either can
12initiate or respond to questions.
13    "Leads" means the name or names of a potential buyer,
14seller, lessor, lessee, or client of a licensee.
15    "Leasing Agent" means a person who is employed by a broker
16to engage in licensed activities limited to leasing residential
17real estate who has obtained a license as provided for in
18Section 5-5 of this Act.
19    "License" means the authority conferred document issued by
20the Department to a certifying that the person that named
21thereon has fulfilled all requirements prerequisite to any type
22of licensure under this Act.
23    "Licensed activities" means those activities listed in the
24definition of "broker" under this Section.
25    "Licensee" means any person, as defined in this Section,
26who holds a valid unexpired license as a managing broker

 

 

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1licensee, broker, broker associate, or leasing agent.
2    "Listing presentation" means a communication between a
3managing broker or broker and a consumer in which the licensee
4is attempting to secure a brokerage agreement with the consumer
5to market the consumer's real estate for sale or lease.
6    "Managing broker" means a broker who has supervisory
7responsibilities for licensees in one or, in the case of a
8multi-office company, more than one office and who has been
9appointed as such by the sponsoring broker.
10    "Managing broker licensee" means a licensee who has
11completed all the requirements set forth in Section 5-28 and
12has been issued a managing broker license. "Managing broker
13licensee" includes a named managing broker.
14    "Medium of advertising" means any method of communication
15intended to influence the general public to use or purchase a
16particular good or service or real estate.
17    "Ministerial acts" means those acts that a licensee may
18perform for a consumer that are informative or clerical in
19nature and do not rise to the level of active representation on
20behalf of a consumer. Examples of these acts include without
21limitation (i) responding to phone inquiries by consumers as to
22the availability and pricing of brokerage services, (ii)
23responding to phone inquiries from a consumer concerning the
24price or location of property, (iii) attending an open house
25and responding to questions about the property from a consumer,
26(iv) setting an appointment to view property, (v) responding to

 

 

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1questions of consumers walking into a licensee's office
2concerning brokerage services offered or particular
3properties, (vi) accompanying an appraiser, inspector,
4contractor, or similar third party on a visit to a property,
5(vii) describing a property or the property's condition in
6response to a consumer's inquiry, (viii) completing business or
7factual information for a consumer on an offer or contract to
8purchase on behalf of a client, (ix) showing a client through a
9property being sold by an owner on his or her own behalf, or
10(x) referral to another broker or service provider.
11    "Named managing broker" means a managing broker licensee
12who has supervisory responsibilities for licensees in one or,
13in the case of a multi-office company, more than one office and
14who has been appointed as such by the sponsoring broker.
15    "Office" means a broker's place of business where the
16general public is invited to transact business and where
17records may be maintained and licenses displayed, whether or
18not it is a the broker's principal place of business or branch
19office.
20    "Person" means and includes individuals, entities,
21corporations, limited liability companies, registered limited
22liability partnerships, foreign and domestic partnerships, and
23other business entities, except that when the context otherwise
24requires, the term may refer to a single individual or other
25described entity.
26    "Personal assistant" means a licensed or unlicensed person

 

 

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1who has been hired for the purpose of aiding or assisting a
2sponsored licensee in the performance of the sponsored
3licensee's job.
4    "Pocket card" means the card issued by the Department to
5signify that the person named on the card is currently licensed
6under this Act.
7    "Pre-renewal period" means the period between the date of
8issue of a currently valid license and the license's expiration
9date.
10    "Proctor" means any person, including, but not limited to,
11an instructor, who has a written agreement to administer
12examinations fairly and impartially with a licensed education
13provider.
14    "Real estate" means and includes leaseholds as well as any
15other interest or estate in land, whether corporeal,
16incorporeal, freehold, or non-freehold and whether the real
17estate is situated in this State or elsewhere. "Real estate"
18does not include property sold, exchanged, or leased as a
19timeshare or similar vacation item or interest, vacation club
20membership, or other activity formerly regulated under the Real
21Estate Timeshare Act of 1999 (repealed).
22    "Regular employee" means a person working an average of 20
23hours per week for a person or entity who would be considered
24as an employee under the Internal Revenue Service eleven main
25tests in three categories being behavioral control, financial
26control and the type of relationship of the parties, formerly

 

 

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1the twenty factor test.
2    "Secretary" means the Secretary of the Department of
3Financial and Professional Regulation, or a person authorized
4by the Secretary to act in the Secretary's stead.
5    "Sponsoring broker" means the broker who has sponsored
6issued a sponsor card to a licensed managing broker licensee,
7broker, broker associate, or a leasing agent.
8    "Sponsor card" means the temporary permit issued by the
9sponsoring broker certifying that the managing broker, broker,
10or leasing agent named thereon is employed by or associated by
11written agreement with the sponsoring broker, as provided for
12in Section 5-40 of this Act.
13    "Team" shall mean any 2 or more licensees who work together
14to provide real estate brokerage services, represent
15themselves to the public as being part of a team or group, are
16identified by a team name that is different than their
17sponsoring broker's name and who together are supervised by the
18same managing broker and sponsored by the same sponsoring
19broker. "Team" does not mean a separately organized,
20incorporated, or legal entity.
21    "Team leader" means the person in a team designated by the
22sponsoring broker and identified to the Department.
23(Source: P.A. 99-227, eff. 8-3-15; 100-188, eff. 1-1-18;
24100-534, eff. 9-22-17; 100-831, eff. 1-1-19; 100-863, eff.
258-14-18.)
 

 

 

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1    (225 ILCS 454/5-3 new)
2    Sec. 5-3. Online license information portal. The
3Department shall create and maintain an online portal and
4register of licensees that includes the following:
5        (1) a secure method for applicants and licensees to log
6    on and use the portal, including to change personal
7    information, such as their address and the personal name
8    under which they practice, and to submit required
9    documentation to the Department;
10        (2) a secure method of completing and submitting any
11    application required by this Act to the Department;
12        (3) an updated registry of licensees' names, the status
13    of their licenses, their sponsoring brokers, their named
14    managing brokers, and their primary office locations;
15        (4) a method for licensees to notify the Department and
16    their sponsoring brokers of the termination of their
17    employment or affiliation with their sponsoring brokers;
18        (5) a method for sponsoring brokers to terminate the
19    affiliation of any licensee and for providing notice to the
20    Department and the licensee of the termination;
21        (6) a method for sponsoring brokers to assent to the
22    new affiliation of a licensee; and
23        (7) a method for sponsoring brokers to identify the
24    named managing broker of any principal or branch office, to
25    identify the licensees associated with each of its offices,
26    to change the physical or website address of its offices,

 

 

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1    and to identify the active team names associated with each
2    of its offices.
 
3    (225 ILCS 454/5-5)
4    (Section scheduled to be repealed on January 1, 2020)
5    Sec. 5-5. Leasing agent license.
6    (a) The purpose of this Section is to provide for a limited
7scope license to enable persons who wish to engage in
8activities limited to the leasing of residential real property
9for which a license is required under this Act, and only those
10activities, to do so by obtaining the license provided for
11under this Section.
12    (b) Notwithstanding the other provisions of this Act, there
13is hereby created a leasing agent license that shall enable the
14licensee to engage only in residential leasing activities for
15which a license is required under this Act. Such activities
16include leasing or renting residential real property, or
17attempting, offering, or negotiating to lease or rent
18residential real property, or supervising the collection,
19offer, attempt, or agreement to collect rent for the use of
20residential real property. Nothing in this Section shall be
21construed to require a licensed managing broker licensee, or
22broker, or broker associate to obtain a leasing agent license
23in order to perform leasing activities for which a license is
24required under this Act. Licensed leasing agents, including
25those operating under subsection (d), may engage in activities

 

 

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1enumerated within the definition of "leasing agent" in Section
21-10 of this Act and may not engage in any activity that would
3otherwise require a broker's license, including, but not
4limited to, selling, offering for sale, negotiating for sale,
5listing or showing for sale, or referring for sale or
6commercial lease real estate. Licensed leasing agents must be
7sponsored and employed by a sponsoring broker.
8    (c) The Department, by rule and in accordance with this
9Act, shall provide for the licensing of leasing agents,
10including the issuance, renewal, and administration of
11licenses.
12    (d) Notwithstanding any other provisions of this Act to the
13contrary, a person may engage in residential leasing activities
14for which a license is required under this Act, for a period of
15120 consecutive days without being licensed, so long as the
16person is acting under the supervision of a sponsoring broker,
17the sponsoring broker has notified the Department that the
18person is pursuing licensure under this Section, and the person
19has enrolled in the leasing agent pre-license education course
20no later than 60 days after beginning to engage in residential
21leasing activities. During the 120-day period all requirements
22of Sections 5-10 and 5-65 of this Act with respect to
23education, successful completion of an examination, and the
24payment of all required fees must be satisfied. The Department
25may adopt rules to ensure that the provisions of this
26subsection are not used in a manner that enables an unlicensed

 

 

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1person to repeatedly or continually engage in activities for
2which a license is required under this Act.
3(Source: P.A. 99-227, eff. 8-3-15; 100-188, eff. 1-1-18.)
 
4    (225 ILCS 454/5-7)
5    (Section scheduled to be repealed on January 1, 2020)
6    Sec. 5-7. Application for leasing agent license. Every
7person who desires to obtain a leasing agent license shall
8apply to the Department and submit in writing on forms provided
9by the Department which application shall be accompanied by the
10required nonrefundable non-refundable fee. Any such
11application shall require such information as in the judgment
12of the Department will enable the Department to pass on the
13qualifications of the applicant for licensure.
14(Source: P.A. 96-856, eff. 12-31-09.)
 
15    (225 ILCS 454/5-10)
16    (Section scheduled to be repealed on January 1, 2020)
17    Sec. 5-10. Requirements for license as leasing agent;
18continuing education.
19    (a) Every applicant for licensure as a leasing agent must
20meet the following qualifications:
21        (1) be at least 18 years of age;
22        (2) be of good moral character;
23        (3) successfully complete a 4-year course of study in a
24    high school or secondary school or an equivalent course of

 

 

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1    study approved by the Illinois State Board of Education;
2        (4) personally take and pass a written examination
3    authorized by the Department sufficient to demonstrate the
4    applicant's knowledge of the provisions of this Act
5    relating to leasing agents and the applicant's competence
6    to engage in the activities of a licensed leasing agent;
7        (5) provide satisfactory evidence of having completed
8    15 hours of instruction in an approved course of study
9    relating to the leasing of residential real property. The
10    Board shall recommend to the Department the number of hours
11    each topic of study shall require. The course of study
12    shall, among other topics, cover the provisions of this Act
13    applicable to leasing agents; fair housing and human rights
14    issues relating to residential leasing; advertising and
15    marketing issues; leases, applications, and credit and
16    criminal background reports; owner-tenant relationships
17    and owner-tenant laws; the handling of funds; and
18    environmental issues relating to residential real
19    property;
20        (6) complete any other requirements as set forth by
21    rule; and
22        (7) present a valid application for issuance of an
23    initial license accompanied by a sponsor card and the fees
24    specified by rule.
25    (b) No applicant shall engage in any of the activities
26covered by this Act without a valid license and sponsorship by

 

 

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1a sponsoring broker until a valid sponsor card has been issued
2to such applicant. The sponsor card shall be valid for a
3maximum period of 45 days after the date of issuance unless
4extended for good cause as provided by rule.
5    (c) Successfully completed course work, completed pursuant
6to the requirements of this Section, may be applied to the
7course work requirements to obtain a managing broker licensee,
8broker, or broker associate broker's or broker's license as
9provided by rule. The Board may recommend to the Department and
10the Department may adopt requirements for approved courses,
11course content, and the approval of courses, instructors, and
12education providers, as well as education provider and
13instructor fees. The Department may establish continuing
14education requirements for licensed leasing agents, by rule,
15consistent with the language and intent of this Act, with the
16advice of the Board.
17    (d) The continuing education requirement for leasing
18agents shall consist of a single core curriculum to be
19established by the Department as recommended by the Board.
20Leasing agents shall be required to complete no less than 8 6
21hours of continuing education in the core curriculum for each
222-year renewal period. The curriculum shall consist of a single
23course or courses on the subjects of fair housing, leases and
24applications, advertising, the handling of funds, and
25owner-tenant relationships and owner-tenant laws, all related
26to residential real estate.

 

 

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1(Source: P.A. 99-227, eff. 8-3-15; 100-188, eff. 1-1-18.)
 
2    (225 ILCS 454/5-15)
3    (Section scheduled to be repealed on January 1, 2020)
4    Sec. 5-15. Necessity of managing broker, broker, or leasing
5agent license or sponsor card; ownership restrictions.
6    (a) It is unlawful for any person to act as a managing
7broker licensee, broker, broker associate, or leasing agent or
8to advertise or assume to act as such managing broker licensee,
9broker, broker associate, or leasing agent without a properly
10issued sponsor card or a license issued under this Act by the
11Department, either directly or through its authorized
12designee.
13    (b) No corporation shall be granted a license or engage in
14the business or capacity, either directly or indirectly, of a
15broker, unless every officer of the corporation who actively
16participates in the real estate activities of the corporation
17holds a license as a managing broker licensee or broker and
18unless every employee who acts as a managing broker licensee,
19broker, broker associate, or leasing agent for the corporation
20holds a license as a managing broker licensee, broker, broker
21associate, or leasing agent. All nonparticipating owners or
22officers shall submit affidavits of nonparticipation as
23required by the Department.
24    (c) No partnership shall be granted a license or engage in
25the business or serve in the capacity, either directly or

 

 

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1indirectly, of a broker, unless every partner in the
2partnership who actively participates in the real estate
3activities of the partnership holds a license as a managing
4broker licensee or broker and unless every employee who acts as
5a managing broker licensee, broker, broker associate, or
6leasing agent for the partnership holds a license as a managing
7broker licensee, broker, broker associate, or leasing agent.
8All nonparticipating partners shall submit affidavits of
9nonparticipation as required by the Department. In the case of
10a registered limited liability partnership (LLP), every
11partner in the LLP that actively participates in the real
12estate activities of the limited liability partnership must
13hold a license as a managing broker licensee or broker and
14every employee who acts as a managing broker licensee, broker,
15broker associate, or leasing agent must hold a license as a
16managing broker licensee, broker, broker associate, or leasing
17agent. All nonparticipating limited liability partners shall
18submit affidavits of nonparticipation as required by the
19Department.
20    (d) No limited liability company shall be granted a license
21or engage in the business or serve in the capacity, either
22directly or indirectly, of a broker unless every member or
23manager in the limited liability company that actively
24participates in the real estate activities of the limited
25liability company holds a license as a managing broker licensee
26or broker and unless every other member and employee who acts

 

 

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1as a managing broker licensee, broker, broker associate, or
2leasing agent for the limited liability company holds a license
3as a managing broker licensee, broker, broker associate, or
4leasing agent. All nonparticipating members or managers shall
5submit affidavits of nonparticipation as required by the
6Department.
7    (e) (Blank).
8    (f) No person shall be granted a license if any
9participating owner, officer, director, partner, limited
10liability partner, member, or manager has been denied a real
11estate license by the Department in the previous 5 years or is
12otherwise currently barred from real estate practice because of
13a suspension or revocation.
14(Source: P.A. 99-227, eff. 8-3-15; 100-831, eff. 1-1-19.)
 
15    (225 ILCS 454/5-20)
16    (Section scheduled to be repealed on January 1, 2020)
17    Sec. 5-20. Exemptions from managing broker licensee,
18broker, broker associate, or leasing agent license
19requirement. The requirement for holding a license under this
20Article 5 shall not apply to:
21        (1) Any person that as owner or lessor performs any of
22    the acts described in the definition of "broker" under
23    Section 1-10 of this Act with reference to property owned
24    or leased by it, or to the regular employees thereof with
25    respect to the property so owned or leased, where such acts

 

 

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1    are performed in the regular course of or as an incident to
2    the management, sale, or other disposition of such property
3    and the investment therein, provided that such regular
4    employees do not perform any of the acts described in the
5    definition of "broker" under Section 1-10 of this Act in
6    connection with a vocation of selling or leasing any real
7    estate or the improvements thereon not so owned or leased.
8        (2) An attorney in fact acting under a duly executed
9    and recorded power of attorney to convey real estate from
10    the owner or lessor or the services rendered by an attorney
11    at law in the performance of the attorney's duty as an
12    attorney at law.
13        (3) Any person acting as receiver, trustee in
14    bankruptcy, administrator, executor, or guardian or while
15    acting under a court order or under the authority of a will
16    or testamentary trust.
17        (4) Any person acting as a resident manager for the
18    owner or any employee acting as the resident manager for a
19    broker managing an apartment building, duplex, or
20    apartment complex, when the resident manager resides on the
21    premises, the premises is his or her primary residence, and
22    the resident manager is engaged in the leasing of the
23    property of which he or she is the resident manager.
24        (5) Any officer or employee of a federal agency in the
25    conduct of official duties.
26        (6) Any officer or employee of the State government or

 

 

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1    any political subdivision thereof performing official
2    duties.
3        (7) Any multiple listing service or other similar
4    information exchange that is engaged in the collection and
5    dissemination of information concerning real estate
6    available for sale, purchase, lease, or exchange for the
7    purpose of providing licensees with a system by which
8    licensees may cooperatively share information along with
9    which no other licensed activities, as defined in Section
10    1-10 of this Act, are provided.
11        (8) Railroads and other public utilities regulated by
12    the State of Illinois, or the officers or full time
13    employees thereof, unless the performance of any licensed
14    activities is in connection with the sale, purchase, lease,
15    or other disposition of real estate or investment therein
16    not needing the approval of the appropriate State
17    regulatory authority.
18        (9) Any medium of advertising in the routine course of
19    selling or publishing advertising along with which no other
20    licensed activities, as defined in Section 1-10 of this
21    Act, are provided.
22        (10) Any resident lessee of a residential dwelling unit
23    who refers for compensation to the owner of the dwelling
24    unit, or to the owner's agent, prospective lessees of
25    dwelling units in the same building or complex as the
26    resident lessee's unit, but only if the resident lessee (i)

 

 

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1    refers no more than 3 prospective lessees in any 12-month
2    period, (ii) receives compensation of no more than $1,500
3    or the equivalent of one month's rent, whichever is less,
4    in any 12-month period, and (iii) limits his or her
5    activities to referring prospective lessees to the owner,
6    or the owner's agent, and does not show a residential
7    dwelling unit to a prospective lessee, discuss terms or
8    conditions of leasing a dwelling unit with a prospective
9    lessee, or otherwise participate in the negotiation of the
10    leasing of a dwelling unit.
11        (11) The purchase, sale, or transfer of a timeshare or
12    similar vacation item or interest, vacation club
13    membership, or other activity formerly regulated under the
14    Real Estate Timeshare Act of 1999 (repealed).
15        (12) (Blank).
16        (13) Any person who is licensed without examination
17    under Section 10-25 (now repealed) of the Auction License
18    Act is exempt from holding a managing broker licensee,
19    broker, or broker associate broker's or broker's license
20    under this Act for the limited purpose of selling or
21    leasing real estate at auction, so long as:
22            (A) that person has made application for said
23        exemption by July 1, 2000;
24            (B) that person verifies to the Department that he
25        or she has sold real estate at auction for a period of
26        5 years prior to licensure as an auctioneer;

 

 

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1            (C) the person has had no lapse in his or her
2        license as an auctioneer; and
3            (D) the license issued under the Auction License
4        Act has not been disciplined for violation of those
5        provisions of Article 20 of the Auction License Act
6        dealing with or related to the sale or lease of real
7        estate at auction.
8        (14) A person who holds a valid license under the
9    Auction License Act and a valid real estate auction
10    certification and conducts auctions for the sale of real
11    estate under Section 5-32 of this Act.
12        (15) A hotel operator who is registered with the
13    Illinois Department of Revenue and pays taxes under the
14    Hotel Operators' Occupation Tax Act and rents a room or
15    rooms in a hotel as defined in the Hotel Operators'
16    Occupation Tax Act for a period of not more than 30
17    consecutive days and not more than 60 days in a calendar
18    year.
19(Source: P.A. 99-227, eff. 8-3-15; 100-534, eff. 9-22-17;
20100-831, eff. 1-1-19.)
 
21    (225 ILCS 454/5-27)
22    (Section scheduled to be repealed on January 1, 2020)
23    Sec. 5-27. Requirements for licensure as a broker associate
24license.
25    (a) Every applicant for licensure as a broker associate

 

 

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1license must meet the following qualifications:
2        (1) Be at least 18 21 years of age. The minimum age of
3    21 years shall be waived for any person seeking a license
4    as a broker who has attained the age of 18 and can provide
5    evidence of the successful completion of at least 4
6    semesters of post-secondary school study as a full-time
7    student or the equivalent, with major emphasis on real
8    estate courses, in a school approved by the Department;
9        (2) Be of good moral character;
10        (3) Successfully complete a 4-year course of study in a
11    high school or secondary school approved by the Illinois
12    State Board of Education or an equivalent course of study
13    as determined by an examination conducted by the Illinois
14    State Board of Education which shall be verified under oath
15    by the applicant;
16        (4) (Blank);
17        (5) Provide satisfactory evidence of having completed
18    45 90 hours of instruction in real estate courses approved
19    by the Department, 15 hours of which must be consist of
20    situational and case studies presented in the classroom or
21    by live, interactive webinar or online distance education
22    courses;
23        (6) Personally take and pass a written examination
24    authorized by the Department;
25        (7) Submit a completed Present a valid application for
26    issuance of a license accompanied by any a sponsor card and

 

 

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1    the fees specified by rule.
2    (b) The requirements specified in items (3) and (5) of
3subsection (a) of this Section do not apply to applicants who
4are currently admitted to practice law by the Supreme Court of
5Illinois and are currently in active standing.
6    (c) No applicant shall engage in any of the activities
7covered by this Act until a valid license sponsor card has been
8issued to such applicant. The sponsor card shall be valid for a
9maximum period of 45 days after the date of issuance unless
10extended for good cause as provided by rule.
11    (d) Licensees shall make their license All licenses should
12be readily available to the public at their place of business.
13    (e) An individual holding an active license as a managing
14broker may return the license to the Department along with a
15form provided by the Department and shall be issued a broker's
16license in exchange. Any individual obtaining a broker's
17license under this subsection (e) shall be considered as having
18obtained a broker's license by education and passing the
19required test and shall be treated as such in determining
20compliance with this Act.
21(Source: P.A. 99-227, eff. 8-3-15; 100-188, eff. 1-1-18.)
 
22    (225 ILCS 454/5-27.5 new)
23    Sec. 5-27.5. Requirements for a broker license.
24    (a) Every applicant for a broker license must meet the
25following qualifications:

 

 

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1        (1) be of good moral character;
2        (2) be licensed as a broker associate for at least 24
3    months immediately before application;
4        (3) successfully complete a 4-year course of study in a
5    high school or secondary school approved by the Illinois
6    State Board of Education or an equivalent course of study
7    as determined by an examination conducted by the Illinois
8    State Board of Education that shall be verified under oath
9    by the applicant;
10        (4) provide satisfactory evidence that, within the 12
11    months immediately preceding the filing of an application
12    for a broker license, the applicant has completed a 75-hour
13    course of instruction in real estate approved by the
14    Department and received a score of at least 75% on a course
15    final examination; the 75-hour course, including all
16    written materials and the course final examination, shall
17    be developed together for use by all licensed education
18    providers that deliver the course; the course must be
19    delivered in either a classroom or by a live, interactive
20    webinar or online distance education format; the course
21    final examination that accompanies that 75-hour course
22    shall consist of 100 questions that shall for each
23    individual test be randomly selected from a pool of no less
24    than 350 questions; the Department may engage a third party
25    to develop the course and accompanying course final
26    examination, which shall be developed according to

 

 

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1    accepted standards in education, testing, and assessments;
2    the examination must be administered electronically such
3    that each test taker can electronically receive and respond
4    to a randomized collection of 100 questions and the results
5    of the test shall be provided immediately upon completion
6    of the exam;
7        (5) submit a completed application for a broker license
8    that shall identify the applicant's current sponsoring
9    broker and the sponsoring broker by whom the applicant
10    intends to be sponsored upon receipt of the broker license,
11    if different, together with any fees specified by rule;
12    (b) The requirements in paragraphs (2) and (3) of
13subsection (a) do not apply to applicants who hold a license to
14practice law issued by the Supreme Court of Illinois and are
15currently in active standing.
16    (c) The Department shall be required to provide a means for
17electronic notification of any sponsoring broker named in an
18application for a broker license and a process by which any
19sponsoring broker so notified may electronically acknowledge
20receiving the notice. In the case of the sponsoring broker by
21whom the applicant intends to be sponsored, the Department
22shall be required to provide a means for that sponsoring broker
23to electronically assent to the sponsorship.
24    (d) An individual actively licensed as a managing broker
25licensee may apply to the Department to be issued a broker
26license, in which event the managing broker licensee license

 

 

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1will be cancelled and a broker license issued. Any individual
2obtaining a broker license under this subsection (e) shall be
3considered as having satisfied the requirements for a broker
4license and having obtained the broker license during the
5renewal period in which the broker license is issued and shall
6be treated as such in determining compliance with this Act.
 
7    (225 ILCS 454/5-28)
8    (Section scheduled to be repealed on January 1, 2020)
9    Sec. 5-28. Requirements for licensure as a managing broker
10licensee.
11    (a) Every applicant for licensure as a managing broker
12licensee must meet the following qualifications:
13        (1) (blank); be at least 21 years of age;
14        (2) be of good moral character;
15        (3) have been licensed at least 2 out of the preceding
16    3 years as a broker;
17        (4) successfully complete a 4-year course of study in
18    high school or secondary school approved by the Illinois
19    State Board of Education or an equivalent course of study
20    as determined by an examination conducted by the Illinois
21    State Board of Education, which shall be verified under
22    oath by the applicant;
23        (5) provide satisfactory evidence of having completed
24    at least 165 hours, 120 of which shall be those hours
25    required pre and post-licensure to obtain a broker's

 

 

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1    license, and 45 additional hours of instruction completed
2    within the year immediately preceding the filing of an
3    application for a managing broker licensee broker's
4    license, which hours shall focus on brokerage
5    administration and management and leasing agent management
6    and that must be presented include at least 15 hours in the
7    classroom or by live, interactive webinar or online
8    distance education courses;
9        (6) personally take and pass a written examination
10    authorized by the Department; and
11        (7) submit present a valid application for issuance of
12    a license together with any accompanied by a sponsor card,
13    an appointment as a managing broker, and the fees specified
14    by rule.
15    (b) The requirements specified in item (5) of subsection
16(a) of this Section do not apply to applicants who are
17currently admitted to practice law by the Supreme Court of
18Illinois and are currently in active standing.
19    (c) No applicant shall act as a managing broker for more
20than 90 days after an appointment as a managing broker has been
21filed with the Department without obtaining a managing broker
22licensee broker's license.
23(Source: P.A. 99-227, eff. 8-3-15; 100-188, eff. 1-1-18.)
 
24    (225 ILCS 454/5-32)
25    (Section scheduled to be repealed on January 1, 2020)

 

 

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1    Sec. 5-32. Real estate auction certification.
2    (a) An auctioneer licensed under the Auction License Act
3who does not possess a valid and active broker broker's or
4managing broker licensee broker's license under this Act, or
5who is not otherwise exempt from licensure, may not engage in
6the practice of auctioning real estate, except as provided in
7this Section.
8    (b) The Department shall issue a real estate auction
9certification to applicants who:
10        (1) possess a valid auctioneer auctioneer's license
11    under the Auction License Act;
12        (2) successfully complete a real estate auction course
13    of at least 30 hours approved by the Department, which
14    shall cover the scope of activities that may be engaged in
15    by a person holding a real estate auction certification and
16    the activities for which a person must hold a real estate
17    license, as well as other material as provided by the
18    Department;
19        (3) provide documentation of the completion of the real
20    estate auction course; and
21        (4) successfully complete any other reasonable
22    requirements as provided by rule.
23    (c) The auctioneer's role shall be limited to establishing
24the time, place, and method of the real estate auction, placing
25advertisements regarding the auction, and crying or calling the
26auction; any other real estate brokerage activities must be

 

 

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1performed by a person holding a valid and active broker
2associate, broker, or managing broker licensee broker's or
3managing broker's license under the provisions of this Act or
4by a person who is exempt from holding a license under
5paragraph (13) of Section 5-20 who has a certificate under this
6Section.
7    (d) An auctioneer who conducts any real estate auction
8activities in violation of this Section is guilty of unlicensed
9practice under Section 20-10 of this Act.
10    (e) The Department may revoke, suspend, or otherwise
11discipline the real estate auction certification of an
12auctioneer who is adjudicated to be in violation of the
13provisions of this Section or Section 20-15 of the Auction
14License Act.
15    (f) Advertising for the real estate auction must contain
16the name and address of the licensed broker associate, broker,
17managing broker licensee, or a licensed auctioneer under
18paragraph (13) of Section 5-20 of this Act who is providing
19brokerage services for the transaction.
20    (g) The requirement to hold a real estate auction
21certification shall not apply to a person exempt from this Act
22under the provisions of paragraph (13) of Section 5-20 of this
23Act, unless that person is performing licensed activities in a
24transaction in which a licensed auctioneer with a real estate
25certification is providing the limited services provided for in
26subsection (c) of this Section.

 

 

10100HB2705ham001- 37 -LRB101 10329 SMS 56957 a

1    (h) Nothing in this Section shall require a person licensed
2under this Act as a broker associate, broker, or managing
3broker licensee to obtain a real estate auction certification
4in order to auction real estate.
5    (i) The Department may adopt rules to implement this
6Section.
7(Source: P.A. 98-553, eff. 1-1-14; 98-756, eff. 7-16-14;
899-227, eff. 8-3-15.)
 
9    (225 ILCS 454/5-35)
10    (Section scheduled to be repealed on January 1, 2020)
11    Sec. 5-35. Examination; managing broker licensee, broker
12associate, broker, or leasing agent.
13    (a) The Department shall authorize examinations at such
14times and places as it may designate. The examination shall be
15of a character to give a fair test of the qualifications of the
16applicant to practice as a managing broker licensee, broker
17associate, or leasing agent. Written examinations for leasing
18agents, broker associates, and managing broker licensees shall
19only require testing on principles and subjects related to the
20practice of real estate brokerage in the State of Illinois.
21Applicants for the State examination as a managing broker
22licensee, broker associate, or leasing agent shall be required
23to pay, either to the Department or the designated testing
24service, a fee covering the cost of providing the examination.
25Failure to appear for the examination on the scheduled date, at

 

 

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1the time and place specified, after the applicant's application
2for examination has been received and acknowledged by the
3Department or the designated testing service, shall result in
4the forfeiture of the examination fee. An applicant shall be
5eligible to take the examination only after successfully
6completing the education requirements and attaining the
7minimum age provided for in Article 5 of this Act. Each
8applicant shall be required to establish compliance with the
9eligibility requirements in the manner provided by the rules
10promulgated for the administration of this Act.
11    (b) If a person who has received a passing score on the
12written State examination described in this Section fails to
13submit file an application and meet all requirements for a
14license under this Act within one year after receiving a
15passing score on the examination, credit for the examination
16shall terminate. The person thereafter may make a new
17application for examination.
18    (c) If an applicant has failed an examination 3 consecutive
194 times, the applicant must repeat the pre-license education
20required to sit for that the examination. For the purposes of
21this Section, the fourth fifth attempt shall be the same as the
22first. Approved education, as prescribed by this Act for
23licensure as a managing broker licensee, broker, broker
24associate, or leasing agent, shall be valid for 2 4 years after
25the date of satisfactory completion of the education.
26    (d) Either the The Department or the designated testing

 

 

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1service, whomever is charged with preparing the examination,
2shall be required to submit a written examination every 2 years
3for peer review by no less than 5 people, among whom at least
4one must be a licensed instructor, one must be a licensed
5managing broker licensee, and one must be a representative of a
6statewide real estate trade association that represents
7Illinois real estate broker licensees may employ consultants
8for the purposes of preparing and conducting examinations.
9Nothing in this Act, rules adopted to implement this Act, or
10the practice of the Department shall require the designated
11testing service to provide more than one examination to the
12Department.
13    (e) The Department may create and administer a written
14examination on principles and subjects related to the practice
15of real estate brokerage outside the State of Illinois, as a
16national examination. Applicants for the national examination
17shall be required to pay, either to the Department or the
18designated testing service, a fee covering the cost of
19providing the national examination. An applicant shall be
20eligible to take the national examination only if the applicant
21holds a current broker license or managing broker licensee
22license.
23    (f) The Department shall be required to collect data on the
24results of the written examinations provided for in this
25Section, which shall include, but not be limited to, data that
26identifies the education provider used by each test taker and

 

 

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1the test taker's results, including his or her results by
2subject area. The data shall not include information that
3identifies the name or any other personal information of the
4test taker. The data compiled by the Department shall be
5submitted no fewer than semi-annually to all education
6providers licensed by the Department to provide those courses
7required for licensure as a broker associate or managing broker
8licensee under this Act.
9(Source: P.A. 99-227, eff. 8-3-15.)
 
10    (225 ILCS 454/5-40)
11    (Section scheduled to be repealed on January 1, 2020)
12    Sec. 5-40. Sponsor Sponsor card; termination indicated by
13license endorsement; association with new broker.
14    (a) No managing broker licensee, broker, broker associate,
15or leasing agent shall engage in the activity for which he or
16she is licensed without sponsorship by a licensed sponsoring
17broker. The sponsoring broker shall prepare upon forms provided
18by the Department and deliver to each licensee employed by or
19associated with the sponsoring broker a sponsor card certifying
20that the person whose name appears thereon is in fact employed
21by or associated with the sponsoring broker. The sponsoring
22broker shall send a duplicate of each sponsor card, along with
23a valid license or other authorization as provided by rule and
24the appropriate fee, to the Department within 24 hours of
25issuance of the sponsor card. It is a violation of this Act for

 

 

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1any broker to issue a sponsor card to any licensee or applicant
2unless the licensee or applicant presents in hand a valid
3license or other authorization as provided by rule.
4    (b) A licensee may become employed by or associated with a
5sponsoring broker upon the sponsoring broker's assent to that
6affiliation. However, When a licensee must provide the
7Department and the licensee's current sponsoring broker, if
8applicable, with notice at least 2 days in advance of the
9licensee's intent to terminate terminates his or her employment
10or association with the current a sponsoring broker.
11    (b-5) If a licensee's or the employment or association is
12terminated by the licensee's current sponsoring broker, then
13the sponsoring broker shall immediately notify the Department
14and the licensee. the licensee shall obtain from the sponsoring
15broker his or her license endorsed by the sponsoring broker
16indicating the termination. The sponsoring broker shall
17surrender to the Department a copy of the license of the
18licensee within 2 days of the termination or shall notify the
19Department in writing of the termination and explain why a copy
20of the license is not surrendered. Failure of the sponsoring
21broker to surrender the license shall subject the sponsoring
22broker to discipline under Section 20-20 of this Act. The
23license of any licensee whose association with a sponsoring
24broker is terminated shall automatically become inoperative
25immediately upon the termination unless the licensee accepts
26employment or becomes associated with a new sponsoring broker

 

 

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1pursuant to subsection (b) (c) of this Section.
2    (c) (Blank). When a licensee accepts employment or
3association with a new sponsoring broker, the new sponsoring
4broker shall send to the Department a duplicate sponsor card,
5along with the licensee's endorsed license or an affidavit of
6the licensee of why the endorsed license is not surrendered,
7and shall pay the appropriate fee prescribed by rule to cover
8administrative expenses attendant to the changes in the
9registration of the licensee.
10    (d) Each of the notices required by this Section shall be
11provided by the Department's online license information
12portal.
13(Source: P.A. 96-856, eff. 12-31-09.)
 
14    (225 ILCS 454/5-41)
15    (Section scheduled to be repealed on January 1, 2020)
16    Sec. 5-41. Change of address. A licensee shall notify the
17Department of the address or addresses, and of every change of
18address, where the licensee practices as a leasing agent,
19broker associate, broker, or managing broker licensee, as well
20as any email address and every change of email address the
21licensee uses to practice as a leasing agent, broker associate,
22broker, or managing broker licensee.
23(Source: P.A. 99-227, eff. 8-3-15.)
 
24    (225 ILCS 454/5-45)

 

 

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1    (Section scheduled to be repealed on January 1, 2020)
2    Sec. 5-45. Offices.
3    (a) If a sponsoring broker maintains more than one office
4within the State, the sponsoring broker shall notify the
5Department of on forms prescribed by the Department for each
6office in addition to other than the sponsoring broker's
7principal place of business. The brokerage license shall be
8displayed conspicuously in each branch office. The name of each
9branch office shall be the same as that of the sponsoring
10broker's principal office or shall clearly identify delineate
11the branch office's relationship with the principal office.
12    (b) The sponsoring broker shall designate name a named
13managing broker for each branch office and the sponsoring
14broker shall be responsible for supervising all named managing
15brokers. The sponsoring broker shall notify the Department in
16writing of the name of all named managing brokers of the
17sponsoring broker and the office or offices they manage. Any
18person designated initially named as a named managing broker
19after April 30, 2011 must either (i) be licensed as a managing
20broker licensee or (ii) meet all the requirements to be
21licensed as a managing broker except the required education and
22examination and secure the managing broker's license within 90
23days of being named as a managing broker. Any changes in named
24managing brokers shall be reported to the Department
25immediately using the online license information portal in
26writing within 15 days of the change. Failure to do so shall

 

 

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1subject the sponsoring broker to discipline under Section 20-20
2of this Act.
3    (c) The sponsoring broker shall immediately notify the
4Department using the online license information portal in
5writing of any opening, closing, or change in location of any
6principal or branch office or change in website address where
7the public is invited to transact business.
8    (d) Except as provided in this Section, each sponsoring
9broker shall maintain a mailing address within this State at
10which he or she may be contacted definite office, or place of
11business within this State for the transaction of real estate
12business, shall conspicuously display an identification sign
13on the outside of his or her office of adequate size and
14visibility. Any record required by this Act to be created or
15maintained shall be, in the case of a physical record, securely
16stored and accessible for inspection by the Department at the
17sponsoring broker's principal office and, in the case of an
18electronic record, securely stored in the format it was
19originally generated, sent, or received and accessible for
20inspection by the Department by secure electronic access to the
21record. Any record relating to a transaction or a special
22account shall be maintained for a minimum of 5 years, and any
23electronic record shall be backed up at least monthly. Any
24physical The office or place of business shall not be located
25in any retail or financial business establishment unless it is
26separated from the other business by a separate and distinct

 

 

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1area within the establishment. A broker who is licensed in this
2State by examination or pursuant to the provisions of Section
35-60 of this Act shall not be required to maintain a definite
4office or place of business in this State provided all of the
5following conditions are met:
6        (1) the broker maintains an active broker broker's
7    license in the broker's state of domicile;
8        (2) the broker maintains an office in the broker's
9    state of domicile; and
10        (3) the broker has filed with the Department written
11    statements appointing the Secretary to act as the broker's
12    agent upon whom all judicial and other process or legal
13    notices directed to the licensee may be served and agreeing
14    to abide by all of the provisions of this Act with respect
15    to his or her real estate activities within the State of
16    Illinois and submitting to the jurisdiction of the
17    Department.
18    The statements under subdivision (3) of this Section shall
19be in form and substance the same as those statements required
20under Section 5-60 of this Act and shall operate to the same
21extent.
22    (e) Upon the loss of a named managing broker who is not
23replaced by the sponsoring broker or in the event of the death
24or adjudicated disability of the sole proprietor of an office,
25a written request for authorization allowing the continued
26operation of the office may be submitted to the Department

 

 

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1within 15 days of the loss. The Department may issue a written
2authorization allowing the continued operation, provided that
3a licensed broker, or in the case of the death or adjudicated
4disability of a sole proprietor, the representative of the
5estate, assumes responsibility, in writing, for the operation
6of the office and agrees to personally supervise the operation
7of the office. No such written authorization shall be valid for
8more than 60 days unless extended by the Department for good
9cause shown and upon written request by the broker or
10representative.
11(Source: P.A. 100-831, eff. 1-1-19.)
 
12    (225 ILCS 454/5-50)
13    (Section scheduled to be repealed on January 1, 2020)
14    Sec. 5-50. Expiration and renewal of managing broker
15licensee, broker, broker associate, or leasing agent license;
16sponsoring broker; register of licensees; pocket card.
17    (a) Except as provided for in this Section, the The
18expiration date and renewal period for each license issued
19under this Act shall be set by rule. Except as otherwise
20provided in this Section, the holder of a license may renew the
21license within 90 days preceding the expiration date thereof by
22completing the continuing education required by this Act and
23paying the fees specified by rule.
24    (b) An individual whose first license is that of a broker
25received on or after the effective date of this amendatory Act

 

 

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1of the 100th General Assembly and before the effective date of
2this amendatory Act of the 101st General Assembly, must provide
3evidence of having completed 30 hours of post-license education
4in courses recommended by the Board and approved by the
5Department, 15 hours of which must consist of situational and
6case studies presented in a classroom or a live, interactive
7webinar, online distance education course, or home study
8course. Credit for courses taken through a home study course
9shall require passage of an examination approved by the
10Department. Credit for the 30 hours of post-license education
11must be received prior to the licensee's first renewal of his
12or her broker their broker's license.
13    (c) Any managing broker licensee, broker, or leasing agent
14whose license under this Act has expired shall be eligible to
15renew the license during the 2-year period following the
16expiration date, provided the managing broker licensee,
17broker, or leasing agent pays the fees as prescribed by rule
18and completes continuing education and other requirements
19provided for by the Act or by rule. Beginning on May 1, 2012, a
20managing broker licensee, broker, or leasing agent whose
21license has been expired for more than 2 years but less than 5
22years may have it restored by (i) applying to the Department,
23(ii) paying the required fee, (iii) completing the continuing
24education requirements for the most recent pre-renewal period
25that ended prior to the date of the application for
26reinstatement, and (iv) filing acceptable proof of fitness to

 

 

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1have his or her license restored, as set by rule. A managing
2broker, broker, or leasing agent whose license has been expired
3for more than 5 years shall be required to meet the
4requirements for a new license.
5    (c-5) A broker associate license shall be valid for a
6period of 2 years from the date on which it is first issued.
7Any broker associate who has not completed the requirements for
8and submitted a complete application for a broker license
9before the expiration of the broker associate license shall be
10eligible to renew the broker associate license if the licensee
11pays the fees as prescribed by rule and completes the
12continuing education and other requirements provided for by
13this Act or by rule before the expiration of the license.
14    (d) Notwithstanding any other provisions of this Act to the
15contrary, any managing broker licensee, broker, broker
16associate, or leasing agent whose license expired while he or
17she was (i) on active duty with the Armed Forces of the United
18States or called into service or training by the state militia,
19(ii) engaged in training or education under the supervision of
20the United States preliminary to induction into military
21service, or (iii) serving as the Coordinator of Real Estate in
22the State of Illinois or as an employee of the Department may
23have his or her license renewed, reinstated or restored without
24paying any lapsed renewal fees if within 2 years after the
25termination of the service, training or education by furnishing
26the Department with satisfactory evidence of service,

 

 

10100HB2705ham001- 49 -LRB101 10329 SMS 56957 a

1training, or education and it has been terminated under
2honorable conditions.
3    (e) (Blank). The Department shall establish and maintain a
4register of all persons currently licensed by the State and
5shall issue and prescribe a form of pocket card. Upon payment
6by a licensee of the appropriate fee as prescribed by rule for
7engagement in the activity for which the licensee is qualified
8and holds a license for the current period, the Department
9shall issue a pocket card to the licensee. The pocket card
10shall be verification that the required fee for the current
11period has been paid and shall indicate that the person named
12thereon is licensed for the current renewal period as a
13managing broker, broker, or leasing agent as the case may be.
14The pocket card shall further indicate that the person named
15thereon is authorized by the Department to engage in the
16licensed activity appropriate for his or her status (managing
17broker, broker, or leasing agent). Each licensee shall carry on
18his or her person his or her pocket card or, if such pocket
19card has not yet been issued, a properly issued sponsor card
20when engaging in any licensed activity and shall display the
21same on demand.
22    (f) The Department shall provide an electronic notice of
23renewal to both the sponsoring broker a notice of renewal for
24all sponsored licensees that are associated with that
25sponsoring broker as well as to each licensee by mailing the
26notice to the sponsoring broker's address of record, or, at the

 

 

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1Department's discretion, by an electronic means as provided for
2by rule.
3    (g) Upon request from the sponsoring broker, the Department
4shall make available to the sponsoring broker, either by mail
5or by an electronic means at the discretion of the Department,
6a listing of licensees under this Act who, according to the
7records of the Department, are sponsored by that broker. Every
8licensee associated with or employed by a sponsoring broker
9whose license is revoked, suspended, terminated, or expired
10shall be considered as inoperative until such time as the
11sponsoring broker broker's license is reinstated or renewed, or
12the licensee changes employment as set forth in subsection (b)
13(c) of Section 5-40 of this Act.
14(Source: P.A. 99-227, eff. 8-3-15; 100-188, eff. 1-1-18.)
 
15    (225 ILCS 454/5-60)
16    (Section scheduled to be repealed on January 1, 2020)
17    Sec. 5-60. Managing broker licensee licensed in another
18state; broker licensed in another state; reciprocal
19agreements; agent for service of process.
20    (a) A Effective May 1, 2011, a managing broker licensee
21broker's license may be issued by the Department to a managing
22broker licensee or its equivalent licensed under the laws of
23another state of the United States, under the following
24conditions:
25        (1) the managing broker licensee holds a managing

 

 

10100HB2705ham001- 51 -LRB101 10329 SMS 56957 a

1    broker licensee broker's license in a state that has
2    entered into a reciprocal agreement with the Department;
3        (2) the standards for that state for licensing as a
4    managing broker licensee are substantially equal to or
5    greater than the minimum standards in the State of
6    Illinois;
7        (3) the managing broker licensee has been actively
8    practicing as a managing broker licensee in the managing
9    broker licensee's broker's state of licensure for a period
10    of not less than 2 years, immediately prior to the date of
11    application;
12        (4) the managing broker licensee furnishes the
13    Department with a statement under seal of the proper
14    licensing authority of the state in which the managing
15    broker licensee is licensed showing that the managing
16    broker has an active managing broker licensee broker's
17    license, that the managing broker licensee is in good
18    standing, and that no complaints are pending against the
19    managing broker licensee in that state;
20        (5) the managing broker licensee passes a test on
21    Illinois specific real estate brokerage laws; and
22        (6) the managing broker licensee was licensed by an
23    examination in the state that has entered into a reciprocal
24    agreement with the Department.
25    (b) A broker broker's license may be issued by the
26Department to a broker or its equivalent licensed under the

 

 

10100HB2705ham001- 52 -LRB101 10329 SMS 56957 a

1laws of another state of the United States, under the following
2conditions:
3        (1) the broker holds a broker broker's license in a
4    state that has entered into a reciprocal agreement with the
5    Department;
6        (2) the standards for that state for licensing as a
7    broker are substantially equivalent to or greater than the
8    minimum standards in the State of Illinois;
9        (3) if the application is made prior to May 1, 2012,
10    then the broker has been actively practicing as a broker in
11    the broker's state of licensure for a period of not less
12    than 2 years, immediately prior to the date of application;
13        (4) the broker furnishes the Department with a
14    statement under seal of the proper licensing authority of
15    the state in which the broker is licensed showing that the
16    broker has an active broker broker's license, that the
17    broker is in good standing, and that no complaints are
18    pending against the broker in that state;
19        (5) the broker passes a test on Illinois specific real
20    estate brokerage laws; and
21        (6) the broker was licensed by an examination in a
22    state that has entered into a reciprocal agreement with the
23    Department.
24    (c) (Blank).
25    (d) As a condition precedent to the issuance of a license
26to a managing broker licensee or broker pursuant to this

 

 

10100HB2705ham001- 53 -LRB101 10329 SMS 56957 a

1Section, the managing broker licensee or broker shall agree in
2writing to abide by all the provisions of this Act with respect
3to his or her real estate activities within the State of
4Illinois and submit to the jurisdiction of the Department as
5provided in this Act. The agreement shall be filed with the
6Department and shall remain in force for so long as the
7managing broker licensee or broker is licensed by this State
8and thereafter with respect to acts or omissions committed
9while licensed as a managing broker licensee or broker in this
10State.
11    (e) Prior to the issuance of any license to any managing
12broker licensee or broker pursuant to this Section,
13verification of active licensure issued for the conduct of such
14business in any other state must be filed with the Department
15by the managing broker licensee or broker, and the same fees
16must be paid as provided in this Act for the obtaining of a
17managing broker licensee or broker broker's or broker's license
18in this State.
19    (f) Licenses previously granted under reciprocal
20agreements with other states shall remain in force so long as
21the Department has a reciprocal agreement with the state that
22includes the requirements of this Section, unless that license
23is suspended, revoked, or terminated by the Department for any
24reason. provided for suspension, revocation, or termination of
25a resident licensee's license. Licenses granted under
26reciprocal agreements may be renewed in the same manner as a

 

 

10100HB2705ham001- 54 -LRB101 10329 SMS 56957 a

1resident's license.
2    (g) Prior to the issuance of a license to a nonresident
3managing broker licensee or broker, the managing broker
4licensee or broker shall file with the Department a designation
5in writing that appoints the Secretary to act as his or her
6agent upon whom all judicial and other process or legal notices
7directed to the managing broker licensee or broker may be
8served. Service upon the agent so designated shall be
9equivalent to personal service upon the licensee. Copies of the
10appointment, certified by the Secretary, shall be deemed
11sufficient evidence thereof and shall be admitted in evidence
12with the same force and effect as the original thereof might be
13admitted. In the written designation, the managing broker
14licensee or broker shall agree that any lawful process against
15the licensee that is served upon the agent shall be of the same
16legal force and validity as if served upon the licensee and
17that the authority shall continue in force so long as any
18liability remains outstanding in this State. Upon the receipt
19of any process or notice, the Secretary shall forthwith mail a
20copy of the same by certified mail to the last known business
21address of the licensee.
22    (h) Any person holding a valid license under this Section
23shall be eligible to obtain a managing broker licensee broker's
24license or a broker broker's license without examination should
25that person change their state of domicile to Illinois and that
26person otherwise meets the qualifications for licensure under

 

 

10100HB2705ham001- 55 -LRB101 10329 SMS 56957 a

1this Act.
2(Source: P.A. 99-227, eff. 8-3-15.)
 
3    (225 ILCS 454/5-70)
4    (Section scheduled to be repealed on January 1, 2020)
5    Sec. 5-70. Continuing education requirement; broker
6associate, broker, or managing broker licensee or broker.
7    (a) Each person who applies for renewal of his or her
8license as a broker associate must successfully complete 10
9hours of real estate continuing education courses recommended
10by the Board and approved by the Department for each year of
11the 2-year pre-renewal period. Continuing education courses
12for broker associates shall consist of a single curriculum, to
13be recommended by the Board and approved by the Department, and
14must be completed in the classroom or by a live, interactive
15webinar or online distance education course. To promote the
16offering of uniform and consistent course content, the
17Department may provide for the development of a single broker
18associate course to be offered by all education providers who
19choose to offer the broker associate continuing education
20course. The Department may contract for the development of a
2120-hour broker associate continuing education course with an
22outside vendor or consultant and, if the course is developed in
23this manner, the Department or the outside consultant shall
24license the use of that course to all approved education
25providers who wish to provide the course. The requirements of

 

 

10100HB2705ham001- 56 -LRB101 10329 SMS 56957 a

1this Section apply to all managing brokers and brokers.
2    (b) Except as otherwise provided in this Section, each
3person who applies for renewal of his or her license as a
4managing broker licensee or broker must successfully complete 6
5hours of real estate continuing education courses recommended
6by the Board and approved by the Department for each year of
7the pre-renewal period. In addition, beginning with the
8pre-renewal period for managing broker licensees that begins
9after the effective date of this Act, those licensees renewing
10or obtaining a managing broker licensee broker's license must
11successfully complete a 12-hour broker management continuing
12education course approved by the Department each pre-renewal
13period. The broker management continuing education course must
14be completed in the classroom or by a live, interactive webinar
15or online distance education course. or by other interactive
16delivery method between the instructor and the students.
17Successful completion of the course shall include achieving a
18passing score as provided by rule on a test developed and
19administered in accordance with rules adopted by the
20Department.
21    (b-5) No license may be renewed except upon the successful
22completion of the required continuing education courses or
23their equivalent or upon a waiver of those requirements for
24good cause shown as determined by the Director Secretary with
25the recommendation of the Board. The requirements of this
26Article are applicable to all managing broker licensees,

 

 

10100HB2705ham001- 57 -LRB101 10329 SMS 56957 a

1brokers and brokers, and broker associates except those
2managing broker licensees, brokers and brokers, and broker
3associates who, during the pre-renewal period:
4        (1) serve in the armed services of the United States;
5        (2) serve as an elected State or federal official;
6        (3) serve as a full-time employee of the Department; or
7        (4) hold a license to practice law issued by the are
8    admitted to practice law pursuant to Illinois Supreme Court
9    rule.
10    (c) (Blank).
11    (d) A person receiving an initial license as a managing
12broker licensee or broker license during the 90 days before the
13renewal date shall not be required to complete the continuing
14education courses provided for in subsection (b) of this
15Section as a condition of initial license renewal.
16    (e) The continuing education requirement for brokers and
17managing broker licensees brokers shall consist of a single
18core curriculum and an elective curriculum, to be recommended
19by the Board and approved by the Department in accordance with
20this subsection. The core curriculum shall not be further
21divided into subcategories or divisions of instruction. The
22core curriculum shall consist of 4 hours per 2-year pre-renewal
23period on subjects that may include, but are not limited to,
24advertising, agency, disclosures, escrow, fair housing,
25leasing agent management, and license law. The amount of time
26allotted to each of these subjects shall be recommended by the

 

 

10100HB2705ham001- 58 -LRB101 10329 SMS 56957 a

1Board and determined by the Department. The Department, upon
2the recommendation of the Board, shall review the core
3curriculum every 4 years, at a minimum, and shall revise the
4curriculum if necessary. However, the core curriculum's total
5hourly requirement shall only be subject to change by amendment
6of this subsection, and any change to the core curriculum shall
7not be effective for a period of 6 months after such change is
8made by the Department. The Department shall provide notice to
9all approved education providers of any changes to the core
10curriculum. When determining whether revisions of the core
11curriculum's subjects or specific time requirements are
12necessary, the Board shall consider recent changes in
13applicable laws, new laws, and areas of the license law and the
14Department policy that the Board deems appropriate, and any
15other subject areas the Board deems timely and applicable in
16order to prevent violations of this Act and to protect the
17public. In establishing a recommendation to the Department
18regarding the elective curriculum, the Board shall consider
19subjects that cover the various aspects of the practice of real
20estate that are covered under the scope of this Act.
21    (f) The subject areas of continuing education courses
22recommended by the Board and approved by the Department shall
23be meant to protect the professionalism of the industry, the
24consumer, and the public and to prevent violations of this Act
25and may include, without limitation, the following:
26        (1) license law and escrow;

 

 

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1        (2) antitrust;
2        (3) fair housing;
3        (4) agency;
4        (5) appraisal;
5        (6) property management;
6        (7) residential brokerage;
7        (8) farm property management;
8        (9) transaction management rights and duties of
9    parties in a transaction sellers, buyers, and brokers;
10        (10) commercial brokerage and leasing;
11        (11) real estate financing;
12        (12) disclosures;
13        (13) leasing agent management; and
14        (14) advertising; .
15        (15) broker supervision and managing broker
16    responsibility;
17        (16) professional conduct; and
18        (17) use of technology.
19    (g) In lieu of credit for those courses listed in
20subsection (f) of this Section, credit may be earned for
21serving as a licensed instructor in an approved course of
22continuing education. The amount of credit earned for teaching
23a course shall be the amount of continuing education credit for
24which the course is approved for licensees taking the course.
25    (h) Credit hours may be earned for self-study programs
26approved by the Department.

 

 

10100HB2705ham001- 60 -LRB101 10329 SMS 56957 a

1    (i) A managing broker licensee or broker may earn credit
2for a specific continuing education course only once during the
3pre-renewal period.
4    (j) No more than 6 hours of continuing education credit may
5be taken in one calendar day.
6    (k) To promote the offering of a uniform and consistent
7course content, the Department may provide for the development
8of a single broker management course to be offered by all
9education providers who choose to offer the broker management
10continuing education course. The Department may contract for
11the development of the 12-hour broker management continuing
12education course with an outside vendor or consultant and, if
13the course is developed in this manner, the Department or the
14outside consultant shall license the use of that course to all
15approved education providers who wish to provide the course.
16    (l) Except as specifically provided in this Act, continuing
17education credit hours may not be earned for completion of pre
18or post-license courses. The approved 30-hour post-license
19course for broker licensees shall satisfy the continuing
20education requirement for the pre-renewal period in which the
21course is taken. The approved 45-hour brokerage administration
22and management course shall satisfy the 12-hour broker
23management continuing education requirement for the
24pre-renewal period in which the course is taken.
25(Source: P.A. 99-227, eff. 8-3-15; 99-728, eff. 1-1-17;
26100-188, eff. 1-1-18.)
 

 

 

10100HB2705ham001- 61 -LRB101 10329 SMS 56957 a

1    (225 ILCS 454/5-80)
2    (Section scheduled to be repealed on January 1, 2020)
3    Sec. 5-80. Evidence of compliance with continuing
4education requirements.
5    (a) Each renewal applicant shall certify, on his or her
6renewal application, full compliance with continuing education
7requirements set forth in Section 5-70. The education provider
8shall retain and submit evidence to the Department after the
9completion of each course evidence of those successfully
10completing the course as provided by rule.
11    (b) The Department may require additional evidence
12demonstrating compliance with the continuing education
13requirements. The renewal applicant shall retain and produce
14the evidence of compliance upon request of the Department.
15(Source: P.A. 100-188, eff. 1-1-18.)
 
16    (225 ILCS 454/10-5)
17    (Section scheduled to be repealed on January 1, 2020)
18    Sec. 10-5. Payment of compensation.
19    (a) No licensee shall pay compensation directly to a
20licensee sponsored by another broker for the performance of
21licensed activities. No licensee sponsored by a broker may pay
22compensation to any licensee other than his or her sponsoring
23broker for the performance of licensed activities unless the
24licensee paying the compensation is a principal to the

 

 

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1transaction. However, a non-sponsoring broker may pay
2compensation directly to a licensee sponsored by another or a
3person who is not sponsored by a broker if the payments are
4made pursuant to terms of an employment agreement that was
5previously in place between a licensee and the non-sponsoring
6broker, and the payments are for licensed activity performed by
7that person while previously sponsored by the now
8non-sponsoring broker.
9    (b) No licensee sponsored by a broker shall accept
10compensation for the performance of activities under this Act
11except from the sponsoring broker by whom the licensee is
12sponsored, except as provided in this Section.
13    (c) (Blank). Any person that is a licensed personal
14assistant for another licensee may only be compensated in his
15or her capacity as a personal assistant by the sponsoring
16broker for that licensed personal assistant.
17    (d) One sponsoring broker may pay compensation directly to
18another sponsoring broker for the performance of licensed
19activities.
20    (e) Notwithstanding any other provision of this Act, a
21sponsoring broker may pay compensation to a person currently
22licensed under the Auction License Act who is in compliance
23with and providing services under Section 5-32 of this Act.
24(Source: P.A. 98-553, eff. 1-1-14.)
 
25    (225 ILCS 454/10-15)

 

 

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1    (Section scheduled to be repealed on January 1, 2020)
2    Sec. 10-15. No compensation to persons in violation of Act;
3compensation to unlicensed persons; consumer.
4    (a) No compensation may be paid to any unlicensed person in
5exchange for the person performing licensed activities in
6violation of this Act.
7    (b) No action or suit shall be instituted, nor recovery
8therein be had, in any court of this State by any person for
9compensation for any act done or service performed, the doing
10or performing of which is prohibited by this Act to other than
11licensed managing broker licensees brokers, brokers, broker
12associates, or leasing agents unless the person was duly
13licensed hereunder as a managing broker licensee, broker,
14broker associate, or leasing agent under this Act at the time
15that any such act was done or service performed that would give
16rise to a cause of action for compensation.
17    (c) A licensee may offer compensation, including, but not
18limited to, cash, gifts, prizes, awards, coupons, merchandise,
19services, rebates, discounts, chances to win, and or other
20consideration to an unlicensed person who is or may be a party
21to a contract to buy or sell real estate or is or may be a party
22to a contract for the lease of real estate or to a consumer as
23an inducement to that consumer to use the services of the
24licensee even if the licensee and consumer do not ultimately
25enter into a broker-client relationship if not prohibited by
26any other law or statute and , so long as the offer complies

 

 

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1with the provisions of subdivision (6) (35) of subsection (a)
2of Section 20-20 of this Act. A licensee shall not pay
3compensation to an unlicensed person who is not or will not
4become a party to a real estate transaction in exchange for a
5referral of real estate services.
6    (d) A licensee may offer cash, gifts, prizes, awards,
7coupons, merchandise, rebates or chances to win a game of
8chance, if not prohibited by any other law or statute, to a
9consumer as an inducement to that consumer to use the services
10of the licensee even if the licensee and consumer do not
11ultimately enter into a broker-client relationship so long as
12the offer complies with the provisions of subdivision (35) of
13subsection (a) of Section 20-20 of this Act.
14(Source: P.A. 99-227, eff. 8-3-15; 100-831, eff. 1-1-19.)
 
15    (225 ILCS 454/10-20)
16    (Section scheduled to be repealed on January 1, 2020)
17    Sec. 10-20. Sponsoring broker; employment agreement.
18    (a) A licensee may perform activities as a licensee only
19for his or her sponsoring broker. A licensee must have only one
20sponsoring broker at any one time.
21    (b) Every broker who employs licensees or has an
22independent contractor relationship with a licensee shall have
23a written employment or independent contractor agreement with
24each such licensee. The broker having this written employment
25or independent contractor agreement with the licensee must be

 

 

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1that licensee's sponsoring broker.
2    (c) Every sponsoring broker must have a written employment
3agreement with each licensee the broker sponsors, including any
4personal assistant if that person is also a licensee and
5whether or not the personal assistant performs licensed
6activities. The agreement shall address the employment or
7independent contractor relationship terms, including without
8limitation supervision, duties, any compensation, and
9termination process.
10    (d) (Blank). Every sponsoring broker must have a written
11employment agreement with each licensed personal assistant who
12assists a licensee sponsored by the sponsoring broker. This
13requirement applies to all licensed personal assistants
14whether or not they perform licensed activities in their
15capacity as a personal assistant. The agreement shall address
16the employment or independent contractor relationship terms,
17including without limitation supervision, duties,
18compensation, and termination.
19    (e) Notwithstanding the fact that a sponsoring broker has
20an employment agreement or independent contractor agreement
21with a licensee, a sponsoring broker may pay compensation
22directly to a business entity solely owned by that licensee
23that has been formed for the purpose of receiving compensation
24earned by the licensee. A business entity that receives
25compensation from a sponsoring broker as provided for formed
26for the purpose stated in this subsection (e) shall not be

 

 

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1required to be licensed under this Act and must either be owned
2solely by the licensee or by the licensee together with the
3licensee's spouse, but only if the spouse and licensee are both
4licensed and sponsored by the same sponsoring broker or the
5spouse is not also licensed so long as the person that is the
6sole owner of the business entity is licensed.
7(Source: P.A. 100-831, eff. 1-1-19.)
 
8    (225 ILCS 454/10-30)
9    (Section scheduled to be repealed on January 1, 2020)
10    Sec. 10-30. Advertising.
11    (a) No advertising, whether in print, via the Internet, or
12through any other media, shall be fraudulent, deceptive,
13inherently misleading, or proven to be misleading in practice.
14Advertising shall be considered misleading or untruthful if,
15when taken as a whole, there is a distinct and reasonable
16possibility that it will be misunderstood or will deceive the
17ordinary purchaser, seller, lessee, lessor, or owner.
18Advertising shall contain all information necessary to
19communicate the information contained therein to the public in
20an accurate, direct, and readily comprehensible manner.
21        (1) Advertising shall be considered misleading or
22    untruthful if, when taken as a whole, there is a distinct
23    and reasonable possibility that it will be misunderstood or
24    will deceive the ordinary consumer. Advertising shall
25    contain all information necessary to communicate the

 

 

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1    information contained therein to the public in an accurate,
2    direct, and readily comprehensible manner.
3        (2) Team names that are used in the sponsoring broker's
4    business must be registered by the sponsoring broker on the
5    Department's online information portal by submitting the
6    name of the team, the name of the designated team leader,
7    and the names of the licensees associated with the team.
8    Team names may not contain inherently misleading terms,
9    such as "company", "realty", "real estate", "agency",
10    "associates", "brokers", "properties", or "property". Only
11    team names registered on the Department's online
12    information portal may be used in advertising.
13    (b) No blind advertisements may be used by any licensee, in
14any media, except as provided for in this Section.
15    (c) A licensee shall disclose, in writing, to all parties
16in a transaction his or her status as a licensee and any and
17all interest the licensee has or may have in the real estate
18constituting the subject matter thereof, directly or
19indirectly, according to the following guidelines:
20        (1) On broker yard signs or in broker advertisements,
21    no disclosure of ownership is necessary. However, the
22    ownership shall be indicated on any property data form and
23    disclosed to persons responding to any advertisement or any
24    sign. The term "broker owned" or "agent owned" is
25    sufficient disclosure.
26        (2) A sponsored or inoperative licensee selling or

 

 

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1    leasing property, owned solely by the sponsored or
2    inoperative licensee, without utilizing brokerage services
3    of their sponsoring broker or any other licensee, may
4    advertise "By Owner". For purposes of this Section,
5    property is "solely owned" by a sponsored or inoperative
6    licensee if he or she (i) has a 100% ownership interest
7    alone, (ii) has ownership as a joint tenant or tenant by
8    the entirety, or (iii) holds a 100% beneficial interest in
9    a land trust. Sponsored or inoperative licensees selling or
10    leasing "By Owner" shall comply with the following if
11    advertising by owner:
12            (A) On "By Owner" yard signs, the sponsored or
13        inoperative licensee shall indicate "broker owned" or
14        "agent owned." "By Owner" advertisements used in any
15        medium of advertising shall include the term "broker
16        owned" or "agent owned."
17            (B) If a sponsored or inoperative licensee runs
18        advertisements, for the purpose of purchasing or
19        leasing real estate, he or she shall disclose in the
20        advertisements his or her status as a licensee.
21            (C) A sponsored or inoperative licensee shall not
22        use the sponsoring broker's name or the sponsoring
23        broker's company name in connection with the sale,
24        lease, or advertisement of the property nor utilize the
25        sponsoring broker's or company's name in connection
26        with the sale, lease, or advertising of the property in

 

 

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1        a manner likely to create confusion among the public as
2        to whether or not the services of a real estate company
3        are being utilized or whether or not a real estate
4        company has an ownership interest in the property.
5    (d) All advertising A sponsored licensee may not advertise
6under his or her own name. Advertising in any media shall be
7under the direct supervision of the sponsoring broker and or
8named managing broker. Except as provided for in this Section,
9all advertising must include and in the sponsoring broker's
10business name. In , which in the case of a franchise, all
11advertising shall include the franchise affiliation as well as
12the name of the individual firm. Nothing in this Act shall
13require the sponsoring broker to include the name of one of its
14sponsored licensees on the sponsoring broker's signs or other
15general advertising. This provision does not apply under the
16following circumstances:
17        (1) When a licensee enters into a brokerage agreement
18    with another licensed broker relating to his or her own
19    real estate, or real estate in which he or she has an
20    ownership interest, with another licensed broker; or
21        (2) When a licensee is selling or leasing his or her
22    own real estate or buying or leasing real estate for
23    himself or herself, after providing the appropriate
24    written disclosure of his or her ownership interest as
25    required in paragraph (2) of subsection (c) of this
26    Section.

 

 

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1    (e) (Blank). No licensee shall list his or her name under
2the heading or title "Real Estate" in the telephone directory
3or otherwise advertise in his or her own name to the general
4public through any medium of advertising as being in the real
5estate business without listing his or her sponsoring broker's
6business name.
7    (f) Sponsoring brokers may advertise in the name of a team,
8without the sponsoring broker's name, only if the sponsoring
9broker properly registers the team name with the Department as
10provided for in paragraph (2) of subsection (a) and registers
11the team name as an assumed name of the sponsoring broker under
12the Assumed Business Name Act. The sponsoring broker's business
13name and the name of the licensee must appear in all
14advertisements, including business cards.
15    (f-5) In advertisements that include the sponsoring
16broker's business name and a team name, registered as provided
17for in paragraph (2) of subsection (a), the sponsoring broker's
18business name must be at least equal in size or larger than the
19team name Nothing in this Act shall be construed to require
20specific print size as between the broker's business name and
21the name of the licensee.
22    (g) Those individuals licensed as a managing broker
23licensee and designated with the Department as a named managing
24broker by their sponsoring broker shall identify themselves to
25the public in advertising, except on "For Sale" or similar
26signs, as a managing broker. No other individuals holding a

 

 

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1managing broker licensee broker's license may hold themselves
2out to the public or other licensees as a named managing
3broker. Managing broker licensees that are not designated named
4managing brokers may identify themselves to the public in
5advertising as managing broker licensees or may use the
6abbreviation "MBL" to represent such designation.
7    (h) Licensees intending to sell or share consumer
8information gathered from or through the Internet or other
9electronic communication media shall disclose that intention
10to consumers in a timely and readily apparent manner.
11(Source: P.A. 96-856, eff. 12-31-09; 97-1002, eff. 8-17-12.)
 
12    (225 ILCS 454/10-45)
13    (Section scheduled to be repealed on January 1, 2020)
14    Sec. 10-45. Broker price opinions and comparative market
15analyses.
16    (a) A broker price opinion or comparative market analysis
17may be prepared or provided by a real estate broker associate,
18broker, or managing broker licensee for any of the following:
19        (1) an existing or potential buyer or seller of an
20    interest in real estate;
21        (2) an existing or potential lessor or lessee of an
22    interest in real estate;
23        (3) a third party making decisions or performing due
24    diligence related to the potential listing, offering,
25    sale, option, lease, or acquisition price of an interest in

 

 

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1    real estate; or
2        (4) an existing or potential lienholder or other third
3    party for any purpose other than as the primary basis to
4    determine the market value of an interest in real estate
5    for the purpose of a mortgage loan origination by a
6    financial institution secured by such real estate.
7    (b) A broker price opinion or comparative market analysis
8shall be in writing either on paper or electronically and shall
9include the following provisions:
10        (1) a statement of the intended purpose of the broker
11    price opinion or comparative market analysis;
12        (2) a brief description of the interest in real estate
13    that is the subject of the broker price opinion or
14    comparative market analysis;
15        (3) a brief description of the methodology used to
16    develop the broker price opinion or comparative market
17    analysis;
18        (4) any assumptions or limiting conditions;
19        (5) a disclosure of any existing or contemplated
20    interest of the broker associate, broker, or managing
21    broker licensee in the interest in real estate that is the
22    subject of the broker price opinion or comparative market
23    analysis;
24        (6) the name, license number, and signature of the
25    broker associate, broker, or managing broker licensee that
26    developed the broker price opinion or comparative market

 

 

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1    analysis;
2        (7) a statement in substantially the following form:
3        "This is a broker price opinion/comparative market
4    analysis, not an appraisal of the market value of the real
5    estate, and was prepared by a licensed real estate broker
6    associate, broker, or managing broker licensee, not by a
7    State certified real estate appraiser."; and
8        (8) such other items as the broker associate, broker,
9    or managing broker licensee may deem appropriate.
10(Source: P.A. 98-1109, eff. 1-1-15.)
 
11    (225 ILCS 454/10-50 new)
12    Sec. 10-50. Guaranteed sales plans.
13    (a) As used in this Section, "guaranteed sales plan" means
14a real estate purchase or sales plan whereby a person enters
15into one or more conditional or unconditional written contracts
16with a seller, one of which is a brokerage agreement and
17wherein the person agrees to purchase the seller's property
18within a specified period of time, at a specific price, in the
19event the property is not sold in accordance with the terms of
20the brokerage agreement entered into between the parties.
21    (b) A person who offers a guaranteed sales plan to
22consumers is engaged in licensed activity under this Act and is
23required to have a license.
24    (c) A licensee that offers a guaranteed sales plan shall
25provide the details, including the purchase price and

 

 

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1conditions of the plan, in writing to the party to whom the
2plan is offered before entering into the brokerage agreement.
3    (d) A licensee offering a guaranteed sales plan shall
4provide to the party to whom the plan is offered, before the
5execution of any contract, evidence that the licensee has
6sufficient financial resources to satisfy the commitment to
7purchase undertaken by the licensee in the plan.
8    (e) A licensee offering a guaranteed sales plan shall
9undertake to market the property of the seller subject to the
10plan in the same manner in which the broker would market any
11other property, unless the agreement with the seller provides
12otherwise.
13    (f) The licensee may not purchase a seller's property until
14the period for offering the property for sale has ended
15according to its terms or is otherwise properly terminated.
16    (g) A licensee who fails to perform on a guaranteed sales
17plan in strict accordance with its terms shall be subject to
18all the penalties provided in this Act for violations of this
19Act and, in addition, shall be subject to a civil fine payable
20to the party injured by the default in an amount of up to
21$25,000.
 
22    (225 ILCS 454/10-55 new)
23    Sec. 10-55. Named managing broker responsibility and
24supervision.
25    (a) A named managing broker shall be responsible for the

 

 

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1supervision of all licensees associated with a named managing
2broker's office, including any branch office. A named managing
3broker's responsibilities include implementation of company
4policies, the training of licensees and other employees on the
5company's policies, as well as on aspects of relevant portions
6of this Act, providing assistance to all licensees in real
7estate transactions, and supervising all special accounts of
8the company.
9    (b) For broker associates, a named managing broker's
10responsibilities shall also include directly handling all
11earnest money and escrows for transactions in which the broker
12associate is the designated agent, the supervision of all
13contract negotiations involving parties to a transaction in
14which a broker associate is a designated agent, and the
15approval of all advertisements involving a broker associate.
16Broker associates shall have no authority to bind the
17sponsoring broker.
18    (c) The named managing broker's duties and
19responsibilities under subsection (b) may be delegated only to
20another managing broker licensee that is sponsored by the same
21sponsoring broker as the named managing broker.
22    (d) The named managing broker's failure to provide an
23appropriate written company policy or failure to properly
24supervise shall be cause for discipline, including suspension
25and revocation, of the named managing broker license.
 

 

 

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1    (225 ILCS 454/10-60 new)
2    Sec. 10-60. Statewide real estate contract form.
3    (a) The Department may create a commission, the sole
4purpose of which is to study the feasibility of creating,
5implementing, and enforcing a mandatory, statewide real estate
6purchase contract form. The commission shall evaluate the
7costs, benefits, advantages, and disadvantages of using a
8single real estate purchase contract form throughout the State
9of Illinois. The commission shall be composed of the Director
10or his or her designee, who shall serve as chairperson of the
11commission, and no less than 5 and no more than 10 members
12appointed by the Secretary. Of the appointed members of the
13commission, at least one must be the chief executive officer of
14a statewide organization representing realtors, or his or her
15designee, one must be a representative of the multiple listing
16service that services the Chicago area, and one must be a
17representative of either a statewide organization representing
18lawyers or a statewide organization representing real estate
19lawyers. At least 2 members of the commission shall be actively
20practicing managing broker licensees.
21    (b) The commission shall prepare and deliver a report of
22its findings and recommendation to the Department on the
23feasibility of creating, implementing, and enforcing a
24mandatory statewide real estate purchase contract form. If the
25commission recommends adopting a statewide real estate
26purchase contract form, the report shall contain the

 

 

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1recommended statewide purchase contract form, including any
2addenda that are recommended.
3    (c) Nothing in this Section shall be construed to authorize
4the Department to create, implement, or enforce the use of a
5mandatory, statewide real estate contract form without further
6legislative authorization.
 
7    (225 ILCS 454/15-5)
8    (Section scheduled to be repealed on January 1, 2020)
9    Sec. 15-5. Legislative intent.
10    (a) The General Assembly finds that application of the
11common law of agency to the relationships among licensees under
12this Act managing brokers and brokers and consumers of real
13estate brokerage services has resulted in misunderstandings
14and consequences that have been contrary to the best interests
15of the public. The General Assembly further finds that the real
16estate brokerage industry has a significant impact upon the
17economy of the State of Illinois and that it is in the best
18interest of the public to provide codification of the
19relationships between licensees under this Act managing
20brokers and brokers and consumers of real estate brokerage
21services in order to prevent detrimental misunderstandings and
22misinterpretations of the relationships by consumers, managing
23brokers, and licensees brokers and thus promote and provide
24stability in the real estate market. This Article 15 is enacted
25to govern the relationships between consumers of real estate

 

 

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1brokerage services and licensees under this Act managing
2brokers and brokers to the extent not governed by an individual
3written agreement between a sponsoring broker and a consumer,
4providing that there is a relationship other than designated
5agency. This Article 15 applies to the exclusion of the common
6law concepts of principal and agent and to the fiduciary
7duties, which have been applied to managing broker licensees
8brokers, brokers, broker associates, leasing agents, and real
9estate brokerage services.
10    (b) The General Assembly further finds that this Article 15
11is not intended to prescribe or affect contractual
12relationships between managing brokers and brokers and the
13broker's affiliated licensees.
14    (c) This Article 15 may serve as a basis for private rights
15of action and defenses by sellers, buyers, landlords, tenants,
16and licensees under this Act managing brokers, and brokers. The
17private rights of action, however, do not extend to the
18provisions of any other Articles of this Act.
19(Source: P.A. 99-227, eff. 8-3-15.)
 
20    (225 ILCS 454/15-10)
21    (Section scheduled to be repealed on January 1, 2020)
22    Sec. 15-10. Relationships between licensees and consumers.
23Licensees shall be considered to be representing the consumer
24they are working with as a designated agent for the consumer
25unless there is a written agreement between the sponsoring

 

 

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1broker and the consumer providing that there is a different
2relationship. :
3        (1) there is a written agreement between the sponsoring
4    broker and the consumer providing that there is a different
5    relationship; or
6        (2) the licensee is performing only ministerial acts on
7    behalf of the consumer.
8(Source: P.A. 91-245, eff. 12-31-99.)
 
9    (225 ILCS 454/15-25)
10    (Section scheduled to be repealed on January 1, 2020)
11    Sec. 15-25. Licensee's relationship with customers.
12    (a) Licensees shall treat all customers honestly and shall
13not negligently or knowingly give them false information. A
14licensee engaged by a seller client shall timely disclose to
15customers who are prospective buyers all latent material
16adverse facts pertaining to the physical condition of the
17property that are actually known by the licensee and that could
18not be discovered by a reasonably diligent inspection of the
19property by the customer. A licensee shall not be liable to a
20customer for providing false information to the customer if the
21false information was provided to the licensee by the
22licensee's client and the licensee did not have actual
23knowledge that the information was false. No cause of action
24shall arise on behalf of any person against a licensee for
25revealing information in compliance with this Section.

 

 

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1    (b) A licensee representing a client in a real estate
2transaction may provide clerical assistance to a customer by
3performing ministerial acts. Performing clerical assistance
4those ministerial acts shall not be construed in a manner that
5would violate the brokerage agreement with the client nor , and
6performing those ministerial acts for the customer shall not be
7construed in a manner as to form a brokerage agreement with the
8customer.
9(Source: P.A. 91-245, eff. 12-31-99.)
 
10    (225 ILCS 454/15-45)
11    (Section scheduled to be repealed on January 1, 2020)
12    Sec. 15-45. Disclosed dual Dual agency.
13    (a) Disclosed dual agency is permitted. A licensee shall
14not serve as a dual agent in any transaction when the licensee,
15or an entity in which the licensee has or will have any
16ownership interest, is a party to the transaction and a A
17licensee may act as a disclosed dual agent only with the
18informed written consent of all clients. Informed written
19consent shall be presumed to have been given by any client who
20signs a document that includes the following:
21        "The undersigned (insert name(s)), ("Licensee"), may
22    undertake a dual representation (represent both the seller
23    or landlord and the buyer or tenant) for the sale or lease
24    of property. The undersigned acknowledge they were
25    informed of the possibility of this type of representation.

 

 

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1    Before signing this document please read the following:
2    Representing more than one party to a transaction presents
3    a conflict of interest since both clients may rely upon
4    Licensee's advice and the client's respective interests
5    may be adverse to each other. Licensee will undertake this
6    representation only with the written consent of ALL clients
7    in the transaction. Any agreement between the clients as to
8    a final contract price and other terms is a result of
9    negotiations between the clients acting in their own best
10    interests and on their own behalf. You acknowledge that
11    Licensee has explained the implications of dual
12    representation, including the risks involved, and
13    understand that you have been advised to seek independent
14    advice from your advisors or attorneys before signing any
15    documents in this transaction.
16
WHAT A LICENSEE CAN DO FOR CLIENTS
17
WHEN ACTING AS A DISCLOSED DUAL AGENT
18    1. Treat all clients honestly.
19    2. Provide information about the property to the buyer or
20    tenant.
21    3. Disclose all latent material defects in the property
22    that are known to the Licensee.
23    4. Disclose financial qualification of the buyer or tenant
24    to the seller or landlord.
25    5. Explain real estate terms.
26    6. Help the buyer or tenant to arrange for property

 

 

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1    inspections.
2    7. Explain closing costs and procedures.
3    8. Help the buyer compare financing alternatives.
4    9. Provide information about comparable properties that
5    have sold so both clients may make educated decisions on
6    what price to accept or offer.
7
WHAT LICENSEE CANNOT DISCLOSE TO CLIENTS WHEN
8
ACTING AS A DISCLOSED DUAL AGENT
9    1. Confidential information that Licensee may know about a
10    client, without that client's permission.
11    2. The price or terms the seller or landlord will take
12    other than the listing price without permission of the
13    seller or landlord.
14    3. The price or terms the buyer or tenant is willing to pay
15    without permission of the buyer or tenant.
16    4. A recommended or suggested price or terms the buyer or
17    tenant should offer.
18    5. A recommended or suggested price or terms the seller or
19    landlord should counter with or accept.
20        If either client is uncomfortable with this disclosure
21    and dual representation, please let Licensee know. You are
22    not required to sign this document unless you want to allow
23    Licensee to proceed as a Disclosed Dual Agent in this
24    transaction. By signing below, you acknowledge that you
25    have read and understand this form and voluntarily consent
26    to Licensee acting as a Disclosed Dual Agent (that is, to

 

 

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1    represent BOTH the seller or landlord and the buyer or
2    tenant) should that become necessary."
3    (b) The disclosed dual agency disclosure form provided for
4in subsection (a) of this Section must be presented by a
5licensee, who offers dual representation, to the client at the
6time the brokerage agreement is entered into and may be signed
7by the client at that time or at any time before the licensee
8acts as a disclosed dual agent as to the client.
9    (c) A licensee acting in a disclosed dual agency capacity
10in a transaction must obtain a written confirmation from the
11licensee's clients of their prior consent for the licensee to
12act as a disclosed dual agent in the transaction. This
13confirmation should be obtained at the time the clients are
14executing any offer or contract to purchase or lease in a
15transaction in which the licensee is acting as a disclosed dual
16agent. This confirmation may be included in another document,
17such as a contract to purchase, in which case the client must
18not only sign the document but also initial the confirmation of
19dual disclosed agency provision. That confirmation must state,
20at a minimum, the following:
21        "The undersigned confirm that they have previously
22    consented to (insert name(s)), ("Licensee"), acting as a
23    Disclosed Dual Agent in providing brokerage services on
24    their behalf and specifically consent to Licensee acting as
25    a Disclosed Dual Agent in regard to the transaction
26    referred to in this document."

 

 

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1    (d) No cause of action shall arise on behalf of any person
2against a disclosed dual agent for making disclosures allowed
3or required by this Article, and the disclosed dual agent does
4not terminate any agency relationship by making the allowed or
5required disclosures.
6    (e) In the case of disclosed dual agency, each client and
7the licensee possess only actual knowledge and information.
8There shall be no imputation of knowledge or information among
9or between clients, brokers, or their affiliated licensees.
10    (f) In any transaction, a licensee may without liability
11withdraw from representing a client who has not consented to a
12disclosed dual agency. The withdrawal shall not prejudice the
13ability of the licensee to continue to represent the other
14client in the transaction or limit the licensee from
15representing the client in other transactions. When a
16withdrawal as contemplated in this subsection (f) occurs, the
17licensee shall not receive a referral fee for referring a
18client to another licensee unless written disclosure is made to
19both the withdrawing client and the client that continues to be
20represented by the licensee.
21(Source: P.A. 96-856, eff. 12-31-09.)
 
22    (225 ILCS 454/15-50)
23    (Section scheduled to be repealed on January 1, 2020)
24    Sec. 15-50. Designated agency.
25    (a) A sponsoring broker entering into an agreement with any

 

 

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1person for the listing of property or for the purpose of
2representing any person in the buying, selling, exchanging,
3renting, or leasing of real estate shall may specifically
4designate those licensees employed by or affiliated with the
5sponsoring broker who will be acting as legal agents of that
6person to the exclusion of all other licensees employed by or
7affiliated with the sponsoring broker. A sponsoring broker
8entering into an agreement under the provisions of this Section
9shall not be considered to be acting for more than one party in
10a transaction if the licensees specifically designated as legal
11agents of a person are not representing more than one party in
12a transaction.
13    (b) A sponsoring broker designating affiliated licensees
14to act as agents of clients shall take ordinary and necessary
15care to protect confidential information disclosed by a client
16to his or her designated agent.
17    (c) A designated agent may disclose to his or her
18sponsoring broker or persons specified by the sponsoring broker
19confidential information of a client for the purpose of seeking
20advice or assistance for the benefit of the client in regard to
21a possible transaction. Confidential information shall not be
22disclosed by the sponsoring broker or other specified
23representative of the sponsoring broker unless otherwise
24required by this Act or requested or permitted by the client
25who originally disclosed the confidential information.
26(Source: P.A. 91-245, eff. 12-31-99.)
 

 

 

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1    (225 ILCS 454/15-65)
2    (Section scheduled to be repealed on January 1, 2020)
3    Sec. 15-65. Regulatory enforcement. Nothing contained in
4this Article limits the Department in its regulation of
5licensees under other Articles of this Act and the substantive
6rules adopted by the Department. The Department, with the
7advice of the Board and as further provided for in Section
825-13, is authorized to promulgate any rules that may be
9necessary for the implementation and enforcement of this
10Article 15.
11(Source: P.A. 96-856, eff. 12-31-09.)
 
12    (225 ILCS 454/15-75)
13    (Section scheduled to be repealed on January 1, 2020)
14    Sec. 15-75. Exclusive brokerage agreements. All exclusive
15brokerage agreements must be in writing and specify that the
16sponsoring broker, through one or more sponsored licensees,
17must provide, at a minimum, the following services:
18        (1) accept delivery of and present to the client offers
19    and counteroffers to buy, sell, or lease the client's
20    property or the property the client seeks to purchase or
21    lease;
22        (2) assist the client in developing, communicating,
23    negotiating, and presenting offers, counteroffers, and
24    notices that relate to the offers and counteroffers until a

 

 

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1    lease or purchase agreement is signed and all contingencies
2    are satisfied or waived; and
3        (3) answer the client's questions relating to the
4    offers, counteroffers, notices, and contingencies.
5(Source: P.A. 93-957, eff. 8-19-04.)
 
6    (225 ILCS 454/20-10)
7    (Section scheduled to be repealed on January 1, 2020)
8    Sec. 20-10. Unlicensed practice; penalties civil penalty.
9    (a) Any person who practices, offers to practice, attempts
10to practice, or holds oneself out to practice as a managing
11broker licensee, broker, broker associate, or leasing agent
12without being licensed under this Act shall, in addition to any
13other penalty provided by law, pay a civil penalty to the
14Department in an amount not to exceed $25,000 for each offense
15as determined by the Department. The civil penalty shall be
16assessed by the Department after a hearing is held in
17accordance with the provisions set forth in this Act regarding
18the provision of a hearing for the discipline of a license.
19    (b) The Department has the authority and power to
20investigate any and all unlicensed activity.
21    (c) The civil penalty shall be paid within 60 days after
22the effective date of the order imposing the civil penalty. The
23order shall constitute a judgment and may be filed and
24execution had thereon in the same manner from any court of
25record.

 

 

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1    (d) Any person who is found working or acting as a managing
2broker licensee, broker, broker associate, or leasing agent or
3holding himself or herself out as a licensed sponsoring broker,
4managing broker licensee, broker, broker associate, or leasing
5agent without being licensed is guilty of a Class A misdemeanor
6and on conviction of a second or subsequent offense the
7violator shall be guilty of a Class 4 felony.
8(Source: P.A. 99-227, eff. 8-3-15.)
 
9    (225 ILCS 454/20-20)
10    (Section scheduled to be repealed on January 1, 2020)
11    Sec. 20-20. Grounds for discipline.
12    (a) The Department may issue a citation and impose a fine
13upon any licensee of $500 upon a finding by the Department of
14any of the following:
15        (1) Practice under this Act as a licensee in a retail
16    sales establishment from an office, desk, or space that is
17    not separated from the main retail business by a separate
18    and distinct area within the establishment.
19        (2) Advertising that is inaccurate, misleading, or
20    contrary to this Act.
21        (3) Employing any person on a purely temporary or
22    single-deal basis as a means of evading the law regarding
23    payment of commission to non-licensees on some
24    contemplated transactions.
25        (4) Advertising by means of a blind advertisement,

 

 

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1    except as otherwise permitted in Section 10-30.
2        (5) Negotiating a sale, exchange, or lease of real
3    estate directly with any person if the licensee knows that
4    the person has an exclusive brokerage agreement with
5    another broker, unless specifically authorized by that
6    broker.
7        (6) Advertising or offering merchandise or services as
8    free if any conditions or obligations necessary for
9    receiving the merchandise or services are not disclosed in
10    the same advertisement or offer. These conditions or
11    obligations include, without limitation, the requirement
12    that the recipient attend a promotional activity or visit a
13    real estate site. As used in this subdivision (6), "free"
14    includes terms such as "award", "prize", "no charge", "free
15    of charge", and "without charge", and similar words or
16    phrases that reasonably lead a person to believe that he or
17    she may receive or has been selected to receive something
18    of value, without any conditions or obligations on the part
19    of the recipient.
20        (7) Failing to provide the minimum services required by
21    Section 15-75 when acting under an exclusive brokerage
22    agreement.
23        (8) Enabling, aiding, or abetting an auctioneer, as
24    defined in the Auction License Act, to conduct a real
25    estate auction in a manner that is in violation of this
26    Act.

 

 

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1    (a-5) (a) The Department may refuse to issue or renew a
2license, may place on probation, suspend, or revoke any
3license, reprimand, or take any other disciplinary or
4non-disciplinary action as the Department may deem proper and
5impose a fine not to exceed $25,000 upon any licensee or
6applicant under this Act or any person who holds himself or
7herself out as an applicant or licensee or against a licensee
8in handling his or her own property, whether held by deed,
9option, or otherwise, for any repeated or serious violation or
10combination of violations of those causes in subsection (a) or
11for any one or any combination of the following causes:
12        (1) Fraud or misrepresentation in applying for, or
13    procuring, a license under this Act or in connection with
14    applying for renewal of a license under this Act.
15        (2) The conviction of or plea of guilty or plea of nolo
16    contendere to a felony or misdemeanor in this State or any
17    other jurisdiction; or the entry of an administrative
18    sanction by a government agency in this State or any other
19    jurisdiction. Action taken under this paragraph (2) for a
20    misdemeanor or an administrative sanction is limited to a
21    misdemeanor or administrative sanction that has as an
22    essential element dishonesty or fraud or involves larceny,
23    embezzlement, or obtaining money, property, or credit by
24    false pretenses or by means of a confidence game.
25        (3) Inability to practice the profession with
26    reasonable judgment, skill, or safety as a result of a

 

 

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1    physical illness, including, but not limited to,
2    deterioration through the aging process or loss of motor
3    skill, or a mental illness or disability.
4        (4) Practice under this Act as a licensee in a retail
5    sales establishment from an office, desk, or space that is
6    not separated from the main retail business by a separate
7    and distinct area within the establishment.
8        (4) (5) Having been disciplined by another state, the
9    District of Columbia, a territory, a foreign nation, or a
10    governmental agency authorized to impose discipline if at
11    least one of the grounds for that discipline is the same as
12    or the equivalent of one of the grounds for which a
13    licensee may be disciplined under this Act. A certified
14    copy of the record of the action by the other state or
15    jurisdiction shall be prima facie evidence thereof.
16        (5) (6) Engaging in the practice of real estate
17    brokerage without a license or after the licensee's license
18    or temporary permit was expired or while the license was
19    inoperative.
20        (6) (7) Cheating on or attempting to subvert the Real
21    Estate License Exam or a continuing education course or
22    exam.
23        (7) (8) Aiding or abetting an applicant to subvert or
24    cheat on the Real Estate License Exam or a continuing
25    education course or exam administered pursuant to this Act.
26        (9) Advertising that is inaccurate, misleading, or

 

 

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1    contrary to the provisions of the Act.
2        (8) (10) Making any substantial misrepresentation or
3    untruthful advertising.
4        (9) (11) Making any false promises of a character
5    likely to influence, persuade, or induce.
6        (10) (12) Pursuing a continued and flagrant course of
7    misrepresentation or the making of false promises through
8    licensees, employees, agents, advertising, or otherwise.
9        (11) (13) Any misleading or untruthful advertising, or
10    using any trade name or insignia of membership in any real
11    estate organization of which the licensee is not a member.
12        (12) (14) Acting for more than one party in a
13    transaction without providing written notice to all
14    parties for whom the licensee acts.
15        (13) (15) Representing or attempting to represent a
16    broker other than the sponsoring broker.
17        (14) (16) Failure to account for or to remit any moneys
18    or documents coming into his or her possession that belong
19    to others.
20        (15) (17) Failure to maintain and deposit in a special
21    account, separate and apart from personal and other
22    business accounts, all escrow moneys belonging to others
23    entrusted to a licensee while acting as a broker, escrow
24    agent, or temporary custodian of the funds of others or
25    failure to maintain all escrow moneys on deposit in the
26    account until the transactions are consummated or

 

 

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1    terminated, except to the extent that the moneys, or any
2    part thereof, shall be:
3            (A) disbursed prior to the consummation or
4        termination (i) in accordance with the written
5        direction of the principals to the transaction or their
6        duly authorized agents, (ii) in accordance with
7        directions providing for the release, payment, or
8        distribution of escrow moneys contained in any written
9        contract signed by the principals to the transaction or
10        their duly authorized agents, or (iii) pursuant to an
11        order of a court of competent jurisdiction; or
12            (B) deemed abandoned and transferred to the Office
13        of the State Treasurer to be handled as unclaimed
14        property pursuant to the Revised Uniform Unclaimed
15        Property Act. Escrow moneys may be deemed abandoned
16        under this subparagraph (B) only: (i) in the absence of
17        disbursement under subparagraph (A); (ii) in the
18        absence of notice of the filing of any claim in a court
19        of competent jurisdiction; and (iii) if 6 months have
20        elapsed after the receipt of a written demand for the
21        escrow moneys from one of the principals to the
22        transaction or the principal's duly authorized agent.
23    The account shall be noninterest bearing, unless the
24    character of the deposit is such that payment of interest
25    thereon is otherwise required by law or unless the
26    principals to the transaction specifically require, in

 

 

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1    writing, that the deposit be placed in an interest bearing
2    account.
3        (16) (18) Failure to make available to the Department
4    all escrow records and related documents maintained in
5    connection with the practice of real estate within 24 hours
6    of a request for those documents by Department personnel.
7        (17) (19) Failing to furnish copies upon request of
8    documents relating to a real estate transaction to a party
9    who has executed that document.
10        (20) Failure of a sponsoring broker to timely provide
11    information, sponsor cards, or termination of licenses to
12    the Department.
13        (18) (21) Engaging in dishonorable, unethical, or
14    unprofessional conduct of a character likely to deceive,
15    defraud, or harm the public.
16        (19) (22) Commingling the money or property of others
17    with his or her own money or property.
18        (23) Employing any person on a purely temporary or
19    single deal basis as a means of evading the law regarding
20    payment of commission to nonlicensees on some contemplated
21    transactions.
22        (20) (24) Permitting the use of his or her license as a
23    broker to enable a leasing agent or unlicensed person to
24    operate a real estate business without actual
25    participation therein and control thereof by the broker.
26        (21) (25) Any other conduct, whether of the same or a

 

 

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1    different character from that specified in this Section,
2    that constitutes dishonest dealing.
3        (22) (26) Displaying a "for rent" or "for sale" sign on
4    any property without the written consent of an owner or his
5    or her duly authorized agent or advertising by any means
6    that any property is for sale or for rent without the
7    written consent of the owner or his or her authorized
8    agent.
9        (23) (27) Failing to provide information requested by
10    the Department, or otherwise respond to that request,
11    within 30 days of the request.
12        (28) Advertising by means of a blind advertisement,
13    except as otherwise permitted in Section 10-30 of this Act.
14        (24) (29) Offering guaranteed sales plans, except as
15    provided in Section 10-50. as defined in clause (A) of this
16    subdivision (29), except to the extent hereinafter set
17    forth:
18            (A) A "guaranteed sales plan" is any real estate
19        purchase or sales plan whereby a licensee enters into a
20        conditional or unconditional written contract with a
21        seller, prior to entering into a brokerage agreement
22        with the seller, by the terms of which a licensee
23        agrees to purchase a property of the seller within a
24        specified period of time at a specific price in the
25        event the property is not sold in accordance with the
26        terms of a brokerage agreement to be entered into

 

 

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1        between the sponsoring broker and the seller.
2            (B) A licensee offering a guaranteed sales plan
3        shall provide the details and conditions of the plan in
4        writing to the party to whom the plan is offered.
5            (C) A licensee offering a guaranteed sales plan
6        shall provide to the party to whom the plan is offered
7        evidence of sufficient financial resources to satisfy
8        the commitment to purchase undertaken by the broker in
9        the plan.
10            (D) Any licensee offering a guaranteed sales plan
11        shall undertake to market the property of the seller
12        subject to the plan in the same manner in which the
13        broker would market any other property, unless the
14        agreement with the seller provides otherwise.
15            (E) The licensee cannot purchase seller's property
16        until the brokerage agreement has ended according to
17        its terms or is otherwise terminated.
18            (F) Any licensee who fails to perform on a
19        guaranteed sales plan in strict accordance with its
20        terms shall be subject to all the penalties provided in
21        this Act for violations thereof and, in addition, shall
22        be subject to a civil fine payable to the party injured
23        by the default in an amount of up to $25,000.
24        (25) (30) Influencing or attempting to influence, by
25    any words or acts, a prospective seller, purchaser,
26    occupant, landlord, or tenant of real estate, in connection

 

 

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1    with viewing, buying, or leasing real estate, so as to
2    promote or tend to promote the continuance or maintenance
3    of racially and religiously segregated housing or so as to
4    retard, obstruct, or discourage racially integrated
5    housing on or in any street, block, neighborhood, or
6    community.
7        (26) (31) Engaging in any act that constitutes a
8    violation of any provision of Article 3 of the Illinois
9    Human Rights Act, whether or not a complaint has been filed
10    with or adjudicated by the Human Rights Commission.
11        (27) (32) Inducing any party to a contract of sale or
12    lease or brokerage agreement to break the contract of sale
13    or lease or brokerage agreement for the purpose of
14    substituting, in lieu thereof, a new contract for sale or
15    lease or brokerage agreement with a third party.
16        (33) Negotiating a sale, exchange, or lease of real
17    estate directly with any person if the licensee knows that
18    the person has an exclusive brokerage agreement with
19    another broker, unless specifically authorized by that
20    broker.
21        (28) (34) When a licensee is also an attorney, acting
22    as the attorney for either the buyer or the seller in the
23    same transaction in which the licensee is acting or has
24    acted as a managing broker licensee, or broker, or broker
25    associate.
26        (35) Advertising or offering merchandise or services

 

 

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1    as free if any conditions or obligations necessary for
2    receiving the merchandise or services are not disclosed in
3    the same advertisement or offer. These conditions or
4    obligations include without limitation the requirement
5    that the recipient attend a promotional activity or visit a
6    real estate site. As used in this subdivision (35), "free"
7    includes terms such as "award", "prize", "no charge", "free
8    of charge", "without charge", and similar words or phrases
9    that reasonably lead a person to believe that he or she may
10    receive or has been selected to receive something of value,
11    without any conditions or obligations on the part of the
12    recipient.
13        (36) (Blank).
14        (29) (37) Violating the terms of a disciplinary order
15    issued by the Department.
16        (30) (38) Paying or failing to disclose compensation in
17    violation of Article 10 of this Act.
18        (31) (39) Requiring a party to a transaction who is not
19    a client of the licensee to allow the licensee to retain a
20    portion of the escrow moneys for payment of the licensee's
21    commission or expenses as a condition for release of the
22    escrow moneys to that party.
23        (32) (40) Disregarding or violating any provision of
24    this Act or the published rules adopted by the Department
25    to enforce this Act or aiding or abetting any individual,
26    foreign or domestic partnership, registered limited

 

 

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1    liability partnership, limited liability company,
2    corporation, or other business entity in disregarding any
3    provision of this Act or the published rules adopted by the
4    Department to enforce this Act.
5        (41) Failing to provide the minimum services required
6    by Section 15-75 of this Act when acting under an exclusive
7    brokerage agreement.
8        (33) (42) Habitual or excessive use or addiction to
9    alcohol, narcotics, stimulants, or any other chemical
10    agent or drug that results in a managing broker, broker, or
11    leasing agent's inability to practice with reasonable
12    skill or safety.
13        (43) Enabling, aiding, or abetting an auctioneer, as
14    defined in the Auction License Act, to conduct a real
15    estate auction in a manner that is in violation of this
16    Act.
17        (34) (44) Permitting any leasing agent or temporary
18    leasing agent permit holder to engage in activities that
19    require a broker broker's or managing broker broker's
20    license.
21    (b) The Department may refuse to issue or renew or may
22suspend the license of any person who fails to file a return,
23pay the tax, penalty or interest shown in a filed return, or
24pay any final assessment of tax, penalty, or interest, as
25required by any tax Act administered by the Department of
26Revenue, until such time as the requirements of that tax Act

 

 

10100HB2705ham001- 100 -LRB101 10329 SMS 56957 a

1are satisfied in accordance with subsection (g) of Section
22105-15 of the Civil Administrative Code of Illinois.
3    (c) (Blank).
4    (d) In cases where the Department of Healthcare and Family
5Services (formerly Department of Public Aid) has previously
6determined that a licensee or a potential licensee is more than
730 days delinquent in the payment of child support and has
8subsequently certified the delinquency to the Department may
9refuse to issue or renew or may revoke or suspend that person's
10license or may take other disciplinary action against that
11person based solely upon the certification of delinquency made
12by the Department of Healthcare and Family Services in
13accordance with item (5) of subsection (a) of Section 2105-15
14of the Civil Administrative Code of Illinois.
15    (e) In enforcing this Section, the Department or Board upon
16a showing of a possible violation may compel an individual
17licensed to practice under this Act, or who has applied for
18licensure under this Act, to submit to a mental or physical
19examination, or both, as required by and at the expense of the
20Department. The Department or Board may order the examining
21physician to present testimony concerning the mental or
22physical examination of the licensee or applicant. No
23information shall be excluded by reason of any common law or
24statutory privilege relating to communications between the
25licensee or applicant and the examining physician. The
26examining physicians shall be specifically designated by the

 

 

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1Board or Department. The individual to be examined may have, at
2his or her own expense, another physician of his or her choice
3present during all aspects of this examination. Failure of an
4individual to submit to a mental or physical examination, when
5directed, shall be grounds for suspension of his or her license
6until the individual submits to the examination if the
7Department finds, after notice and hearing, that the refusal to
8submit to the examination was without reasonable cause.
9    If the Department or Board finds an individual unable to
10practice because of the reasons set forth in this Section, the
11Department or Board may require that individual to submit to
12care, counseling, or treatment by physicians approved or
13designated by the Department or Board, as a condition, term, or
14restriction for continued, reinstated, or renewed licensure to
15practice; or, in lieu of care, counseling, or treatment, the
16Department may file, or the Board may recommend to the
17Department to file, a complaint to immediately suspend, revoke,
18or otherwise discipline the license of the individual. An
19individual whose license was granted, continued, reinstated,
20renewed, disciplined or supervised subject to such terms,
21conditions, or restrictions, and who fails to comply with such
22terms, conditions, or restrictions, shall be referred to the
23Director Secretary for a determination as to whether the
24individual shall have his or her license suspended immediately,
25pending a hearing by the Department.
26    In instances in which the Director Secretary immediately

 

 

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1suspends a person's license under this Section, a hearing on
2that person's license must be convened by the Department within
330 days after the suspension and completed without appreciable
4delay. The Department and Board shall have the authority to
5review the subject individual's record of treatment and
6counseling regarding the impairment to the extent permitted by
7applicable federal statutes and regulations safeguarding the
8confidentiality of medical records.
9    An individual licensed under this Act and affected under
10this Section shall be afforded an opportunity to demonstrate to
11the Department or Board that he or she can resume practice in
12compliance with acceptable and prevailing standards under the
13provisions of his or her license.
14(Source: P.A. 99-227, eff. 8-3-15; 100-22, eff. 1-1-18;
15100-188, eff. 1-1-18; 100-534, eff. 9-22-17; 100-831, eff.
161-1-19; 100-863, eff. 8-14-18; 100-872, eff. 8-14-18; revised
1710-22-18.)
 
18    (225 ILCS 454/20-21)
19    (Section scheduled to be repealed on January 1, 2020)
20    Sec. 20-21. Injunctions; cease and desist order.
21    (a) If any person violates the provisions of this Act, the
22Secretary may, in the name of the People of the State of
23Illinois, through the Attorney General of the State of Illinois
24or the State's Attorney for any county in which the action is
25brought, petition for an order enjoining the violation or for

 

 

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1an order enforcing compliance with this Act. Upon the filing of
2a verified petition in court, the court may issue a temporary
3restraining order, without notice or condition, and may
4preliminarily and permanently enjoin the violation. If it is
5established that the person has violated or is violating the
6injunction, the Court may punish the offender for contempt of
7court. Proceedings under this Section shall be in addition to,
8and not in lieu of, all other remedies and penalties provided
9by this Act.
10    (b) Whenever in the opinion of the Department a person
11violates a provision of this Act, the Department may issue a
12ruling to show cause why an order to cease and desist should
13not be entered against that person. The rule shall clearly set
14forth the grounds relied upon by the Department and shall allow
15at least 7 days from the date of the rule to file an answer to
16the satisfaction of the Department. Failure to answer to the
17satisfaction of the Department shall cause an order to cease
18and desist to be issued immediately.
19    (c) Other than as provided in Section 5-20 of this Act, if
20any person practices as a managing broker licensee, broker,
21broker associate, or leasing agent or holds himself or herself
22out as a licensed sponsoring broker, managing broker licensee,
23broker, broker associate, or leasing agent under this Act
24without being issued a valid existing license by the
25Department, then any licensed sponsoring broker, managing
26broker licensee, broker, broker associate, leasing agent, any

 

 

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1interested party, or any person injured thereby may, in
2addition to the Secretary, petition for relief as provided in
3subsection (a) of this Section.
4(Source: P.A. 99-227, eff. 8-3-15.)
 
5    (225 ILCS 454/20-23)
6    (Section scheduled to be repealed on January 1, 2020)
7    Sec. 20-23. Confidentiality. All information collected by
8the Department in the course of an examination or investigation
9of a licensee or applicant, including, but not limited to, any
10complaint against a licensee, applicant, or any person who
11holds himself or herself out as a licensee or applicant that is
12filed with the Department and information collected to
13investigate any such complaint, shall be maintained for the
14confidential use of the Department and shall not be disclosed
15except as otherwise provided in this Act. The Department may
16not disclose the information to anyone other than law
17enforcement officials, regulatory agencies that have an
18appropriate regulatory interest as determined by the Director
19Secretary, or a party presenting a lawful subpoena to the
20Department. Information and documents disclosed to a federal,
21State, county, or local law enforcement agency shall not be
22disclosed by the agency for any purpose to any other agency or
23person. A formal complaint filed against a licensee by the
24Department or any order issued by the Department against a
25licensee or applicant shall be a public record, except as

 

 

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1otherwise prohibited by law.
2(Source: P.A. 98-553, eff. 1-1-14.)
 
3    (225 ILCS 454/20-25)
4    (Section scheduled to be repealed on January 1, 2020)
5    Sec. 20-25. Returned checks; fees. Any person who delivers
6a check or other payment to the Department that is returned to
7the Department unpaid by the financial institution upon which
8it is drawn shall pay to the Department, in addition to the
9amount already owed to the Department, a fee of $50. The
10Department shall notify the person that payment of fees and
11fines shall be paid to the Department by certified check or
12money order within 30 calendar days of the notification. If,
13after the expiration of 30 days from the date of the
14notification, the person has failed to submit the necessary
15remittance, the Department shall automatically terminate the
16license or deny the application, without hearing. If, after
17termination or denial, the person seeks a license, he or she
18shall apply to the Department for restoration or issuance of
19the license and pay all fees and fines due to the Department.
20The Department may establish a fee for the processing of an
21application for restoration of a license to pay all expenses of
22processing this application. The Director Secretary may waive
23the fees due under this Section in individual cases where the
24Director Secretary finds that the fees would be unreasonable or
25unnecessarily burdensome.

 

 

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1(Source: P.A. 96-856, eff. 12-31-09.)
 
2    (225 ILCS 454/20-60)
3    (Section scheduled to be repealed on January 1, 2020)
4    Sec. 20-60. Investigations notice and hearing.
5    (a) The Department may investigate the actions of any
6applicant or of any person or persons rendering or offering to
7render services or any person holding or claiming to hold a
8license under this Act and may notify his or her named managing
9broker and sponsoring broker of the pending investigation.
10    (b) If a citation is issued under subsection (a) of Section
1120-20, the Department shall notify the accused and his or her
12named managing broker and sponsoring broker in writing of the
13alleged violation, the time and place for a hearing on the
14allegations, and instructions to the accused for payment of the
15fine or the submission of an answer to the allegations if the
16accused disputes the allegations. Any person that receives
17notice of a citation from the Department may respond by payment
18of the fine assessed before the time in the notice for the
19hearing. Payment of the fine before the hearing date shall
20constitute final action on the allegations contained in the
21notice.
22    (c) The Department shall, before revoking, suspending,
23placing on probation, reprimanding, or taking any other
24disciplinary action for a violation of subsection (b) of
25Section 20-20 under Article 20 of this Act, at least 30 days

 

 

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1before the date set for the hearing, (i) notify the accused and
2his or her managing broker and sponsoring broker in writing of
3the charges made and the time and place for the hearing on the
4charges, and whether the licensee's license has been
5temporarily suspended under Section 20-65, (ii) direct the
6accused to file a written answer to the charges with the Board
7under oath within 20 days after the service on him or her of
8the notice, and (iii) inform the accused that if he or she
9fails to answer, default will be taken against him or her or
10that his or her license may be suspended, revoked, placed on
11probationary status, or other disciplinary action taken with
12regard to the license, including limiting the scope, nature, or
13extent of his or her practice, as the Department may consider
14proper.
15    (d) Unless the accused has paid the fine assessed under a
16citation, at At the time and place fixed in the notice, the
17Board shall proceed to hear the charges and the parties or
18their counsel shall be accorded ample opportunity to present
19any pertinent statements, testimony, evidence, and arguments.
20The Board may continue the hearing from time to time. In case
21the person, after receiving the notice, fails to file an
22answer, his or her license may, in the discretion of the
23Department, be suspended, revoked, placed on probationary
24status, or the Department may take whatever disciplinary action
25considered proper, including limiting the scope, nature, or
26extent of the person's practice or the imposition of a fine,

 

 

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1without a hearing, if the act or acts charged constitute
2sufficient grounds for that action under this Act.
3    (e) Written notices required by this Article The written
4notice may be served by personal delivery or by certified mail
5to the address specified by the accused in his or her last
6notification with the Department and shall include notice to
7the named managing broker and sponsoring broker. A copy of the
8Department's final order shall be delivered to the named
9managing broker and sponsoring broker.
10    (f) Payment of a fine that has been assessed under
11subsection (a) of Section 20-20 shall not constitute
12disciplinary action reportable on the Department's website or
13the Department's online information portal unless an accused
14has paid 2 or more fines in any consecutive 24-month period.
15(Source: P.A. 100-188, eff. 1-1-18.)
 
16    (225 ILCS 454/20-64)
17    (Section scheduled to be repealed on January 1, 2020)
18    Sec. 20-64. Board; rehearing. At the conclusion of a
19hearing, a copy of the Board's report shall be served upon the
20applicant or licensee by the Department, either personally or
21as provided in this Act for the service of a notice of hearing.
22Within 20 days after service, the applicant or licensee may
23present to the Department a motion in writing for a rehearing,
24which shall specify the particular grounds for rehearing. The
25Department may respond to the motion, or if a motion for

 

 

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1rehearing is denied, then upon denial, and except as provided
2in Section 20-72 of this Act, the Director Secretary may enter
3an order in accordance with the recommendations of the Board.
4If the applicant or licensee orders from the reporting service
5and pays for a transcript of the record within the time for
6filing a motion for rehearing, then the 20-day period within
7which a motion may be filed shall commence upon the delivery of
8the transcript to the applicant or licensee.
9(Source: P.A. 96-856, eff. 12-31-09.)
 
10    (225 ILCS 454/20-65)
11    (Section scheduled to be repealed on January 1, 2020)
12    Sec. 20-65. Temporary suspension. The Director Secretary
13may temporarily suspend the license of a licensee without a
14hearing, simultaneously with the institution of proceedings
15for a hearing provided for in Section 20-60 20-61 of this Act,
16if the Director Secretary finds that the evidence indicates
17that the public interest, safety, or welfare imperatively
18requires emergency action. In the event that the Director
19Secretary temporarily suspends the license without a hearing
20before the Board, a hearing shall be commenced within 30 days
21after the suspension has occurred. The suspended licensee may
22seek a continuance of the hearing during which the suspension
23shall remain in effect. The proceeding shall be concluded
24without appreciable delay.
25(Source: P.A. 96-856, eff. 12-31-09.)
 

 

 

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1    (225 ILCS 454/20-66)
2    (Section scheduled to be repealed on January 1, 2020)
3    Sec. 20-66. Appointment of a hearing officer. The Director
4Secretary has the authority to appoint any attorney licensed to
5practice law in the State of Illinois to serve as the hearing
6officer in any action for refusal to issue, restore, or renew a
7license or to discipline a licensee. The hearing officer has
8full authority to conduct the hearing. Any Board member may
9attend the hearing. The hearing officer shall report his or her
10findings of fact, conclusions of law, and recommendations to
11the Board. The Board shall review the report of the hearing
12officer and present its findings of fact, conclusions of law,
13and recommendations to the Director Secretary and all parties
14to the proceeding. If the Director Secretary disagrees with a
15recommendation of the Board or of the hearing officer, then the
16Director Secretary may issue an order in contravention of the
17recommendation that must include an explanation for the
18contravention and shall be delivered to the Board.
19(Source: P.A. 96-856, eff. 12-31-09.)
 
20    (225 ILCS 454/20-67)
21    (Section scheduled to be repealed on January 1, 2020)
22    Sec. 20-67. Order or certified copy; prima facie proof. An
23order, or certified copy of an order, over the seal of the
24Department and purporting to be signed by the Director

 

 

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1Secretary is prima facie proof that (i) the signature is the
2genuine signature of the Director Secretary, (ii) the Director
3Secretary is duly appointed and qualified, and (iii) the Board
4and its members are qualified to act.
5(Source: P.A. 96-856, eff. 12-31-09.)
 
6    (225 ILCS 454/20-68)
7    (Section scheduled to be repealed on January 1, 2020)
8    Sec. 20-68. Surrender of license. Upon the revocation or
9suspension of a license, the Department may immediately change
10the status of the licensee's license on the Department's online
11information portal and the licensee shall immediately cease to
12engage in licensed activities licensee shall immediately
13surrender his or her license to the Department. If the licensee
14fails to do so, the Department has the right to seize the
15license.
16(Source: P.A. 96-856, eff. 12-31-09.)
 
17    (225 ILCS 454/20-72)
18    (Section scheduled to be repealed on January 1, 2020)
19    Sec. 20-72. Director Secretary; rehearing. If the Director
20Secretary believes that substantial justice has not been done
21in the revocation, suspension, or refusal to issue, restore, or
22renew a license, or any other discipline of an applicant or
23licensee, then he or she may order a rehearing by the same or
24other examiners.

 

 

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1(Source: P.A. 96-856, eff. 12-31-09.)
 
2    (225 ILCS 454/20-85)
3    (Section scheduled to be repealed on January 1, 2020)
4    Sec. 20-85. Recovery from Real Estate Recovery Fund. The
5Department shall maintain a Real Estate Recovery Fund from
6which any person aggrieved by an act, representation,
7transaction, or conduct of a licensee or unlicensed employee of
8a licensee that is in violation of this Act or the rules
9promulgated pursuant thereto, constitutes embezzlement of
10money or property, or results in money or property being
11unlawfully obtained from any person by false pretenses,
12artifice, trickery, or forgery or by reason of any fraud,
13misrepresentation, discrimination, or deceit by or on the part
14of any such licensee or the unlicensed employee of a licensee
15and that results in a loss of actual cash money, as opposed to
16losses in market value, may recover. The aggrieved person may
17recover, by a post-judgment order of the circuit court of the
18county where the violation occurred in a proceeding described
19in Section 20-90 of this Act, an amount of not more than
20$250,000 $25,000 from the Fund for damages sustained by the
21act, representation, transaction, or conduct, together with
22costs of suit and attorney's fees incurred in connection
23therewith of not to exceed 15% of the amount of the recovery
24ordered paid from the Fund. However, no person may recover from
25the Fund unless the court finds that the person suffered a loss

 

 

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1resulting from intentional misconduct. The post-judgment order
2shall not include interest on the judgment. The maximum
3liability against the Fund arising out of any one act shall be
4as provided in this Section, and the post-judgment order shall
5spread the award equitably among all co-owners or otherwise
6aggrieved persons, if any. The maximum liability against the
7Fund arising out of the activities of any one licensee or one
8unlicensed employee of a licensee in any one transaction or set
9of facts that formed the basis of a post-judgment order, since
10January 1, 1974, shall be $1,000,000 $100,000. Nothing in this
11Section shall be construed to authorize recovery from the Fund
12unless the loss of the aggrieved person results from an act or
13omission of a licensee under this Act who was at the time of
14the act or omission acting in such capacity or was apparently
15acting in such capacity or their unlicensed employee and unless
16the aggrieved person has obtained a valid judgment and
17post-judgment order of the court as provided for in Section
1820-90 of this Act.
19(Source: P.A. 99-227, eff. 8-3-15; 100-534, eff. 9-22-17.)
 
20    (225 ILCS 454/20-90)
21    (Section scheduled to be repealed on January 1, 2020)
22    Sec. 20-90. Collection from Real Estate Recovery Fund;
23procedure.
24    (a) No action for a judgment that subsequently results in a
25post-judgment order for collection from the Real Estate

 

 

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1Recovery Fund shall be started later than 2 years after the
2date on which the aggrieved person knew, or through the use of
3reasonable diligence should have known, of the acts or
4omissions giving rise to a right of recovery from the Real
5Estate Recovery Fund.
6    (b) When any aggrieved person commences action for a
7judgment that may result in collection from the Real Estate
8Recovery Fund, the aggrieved person must name as parties
9defendant to that action any and all licensees, their
10employees, or independent contractors who allegedly committed
11or are responsible for acts or omissions giving rise to a right
12of recovery from the Real Estate Recovery Fund. Failure to name
13as parties defendant such licensees, their employees, or
14independent contractors shall preclude recovery from the Real
15Estate Recovery Fund of any portion of any judgment received in
16such an action. These parties defendant shall also include any
17corporations, limited liability companies, partnerships,
18registered limited liability partnership, or other business
19associations licensed under this Act that may be responsible
20for acts giving rise to a right of recovery from the Real
21Estate Recovery Fund.
22    (c) (Blank).
23    (d) When any aggrieved person commences action for a
24judgment that may result in collection from the Real Estate
25Recovery Fund, and the aggrieved person is unable to obtain
26legal and proper service upon the parties defendant licensed

 

 

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1under this Act under the provisions of Illinois law concerning
2service of process in civil actions, the aggrieved person may
3petition the court where the action to obtain judgment was
4begun for an order to allow service of legal process on the
5Secretary. Service of process on the Secretary shall be taken
6and held in that court to be as valid and binding as if due
7service had been made upon the parties defendant licensed under
8this Act. In case any process mentioned in this Section is
9served upon the Secretary, the Secretary shall forward a copy
10of the process by certified mail to the licensee's last address
11on record with the Department. Any judgment obtained after
12service of process on the Secretary under this Act shall apply
13to and be enforceable against the Real Estate Recovery Fund
14only. The Department may intervene in and defend any such
15action.
16    (e) (Blank).
17    (f) The aggrieved person shall give written notice to the
18Department within 30 days of the entry of any judgment that may
19result in collection from the Real Estate Recovery Fund. The
20aggrieved person shall provide the Department with 20 days
21prior written notice of all supplementary proceedings so as to
22allow the Department to intervene and participate in all
23efforts to collect on the judgment in the same manner as any
24party.
25    (g) When any aggrieved person recovers a valid judgment in
26any court of competent jurisdiction in an action in which the

 

 

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1court has found the aggrieved person to be injured or otherwise
2damaged by against any licensee or an unlicensed employee of
3any licensee as the result of , upon the grounds of fraud,
4misrepresentation, discrimination, or deceit, or intentional
5violation of this Act by the licensee or the unlicensed
6employee of the licensee, the aggrieved person may, upon the
7termination of all proceedings, including review and appeals in
8connection with the judgment, file a verified claim in the
9court in which the judgment was entered and, upon 30 days'
10written notice to the Department, and to the person against
11whom the judgment was obtained, may apply to the court for a
12post-judgment order directing payment from out of the Real
13Estate Recovery Fund of the amount unpaid upon the judgment,
14not including interest on the judgment, and subject to the
15limitations stated in Section 20-85 of this Act. The aggrieved
16person must set out in that verified claim and prove at an
17evidentiary hearing to be held by the court upon the
18application that the claim meets all requirements of Section
1920-85 and this Section to be eligible for payment from the Real
20Estate Recovery Fund and the aggrieved party shall be required
21to show that the aggrieved person:
22        (1) Is not a spouse of the debtor or debtors or the
23    personal representative of such spouse.
24        (2) Has complied with all the requirements of this
25    Section.
26        (3) Has obtained a judgment stating the amount thereof

 

 

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1    and the amount owing thereon, not including interest
2    thereon, at the date of the application.
3        (4) Has made all reasonable searches and inquiries to
4    ascertain whether the judgment debtor or debtors is
5    possessed of real or personal property or other assets,
6    liable to be sold or applied in satisfaction of the
7    judgment.
8        (5) By such search has discovered no personal or real
9    property or other assets liable to be sold or applied, or
10    has discovered certain of them, describing them as owned by
11    the judgment debtor or debtors and liable to be so applied
12    and has taken all necessary action and proceedings for the
13    realization thereof, and the amount thereby realized was
14    insufficient to satisfy the judgment, stating the amount so
15    realized and the balance remaining due on the judgment
16    after application of the amount realized.
17        (6) Has diligently pursued all remedies against all the
18    judgment debtors and all other persons liable to the
19    aggrieved person in the transaction for which recovery is
20    sought from the Real Estate Recovery Fund, including the
21    filing of an adversary action to have the debts declared
22    non-dischargeable in any bankruptcy petition matter filed
23    by any judgment debtor or person liable to the aggrieved
24    person.
25        (4) Has shown evidence of The aggrieved person shall
26    also be required to prove the amount of attorney's fees

 

 

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1    sought to be recovered and the reasonableness of those fees
2    up to the maximum allowed pursuant to Section 20-85 of this
3    Act. An affidavit from the aggrieved person's attorney
4    shall be sufficient evidence of the attorneys' fees
5    incurred.
6    (h) If, after After conducting the evidentiary hearing
7required under this Section, the court finds the aggrieved
8party has satisfied the requirements of Section 20-85 and this
9Section, the court shall, in a post-judgment order directed to
10the Department, order shall indicate whether requiring payment
11from the Real Estate Recovery Fund in the amount of the unpaid
12balance of the aggrieved party's judgment subject is
13appropriate and, if so, the amount it finds to be payable upon
14the claim, pursuant to and in accordance with the limitations
15contained in Section 20-85 of this Act, if the court is
16satisfied, based upon the hearing, of the truth of all matters
17required to be shown by the aggrieved person under subsection
18(g) of this Section and that the aggrieved person has fully
19pursued and exhausted all remedies available for recovering the
20amount awarded by the judgment of the court.
21    (i) (Blank). Should the Department pay from the Real Estate
22Recovery Fund any amount in settlement of a claim or toward
23satisfaction of a judgment against any licensee or an
24unlicensed employee of a licensee, the licensee's license shall
25be automatically revoked upon the issuance of a post-judgment
26order authorizing payment from the Real Estate Recovery Fund.

 

 

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1No petition for restoration of a license shall be heard until
2repayment has been made in full, plus interest at the rate
3prescribed in Section 12-109 of the Code of Civil Procedure of
4the amount paid from the Real Estate Recovery Fund on their
5account, notwithstanding any provision to the contrary in
6Section 2105-15 of the Department of Professional Regulation
7Law of the Civil Administrative Code of Illinois. A discharge
8in bankruptcy shall not relieve a person from the penalties and
9disabilities provided in this subsection (i).
10    (j) If, at any time, the money deposited in the Real Estate
11Recovery Fund is insufficient to satisfy any duly authorized
12claim or portion thereof, the Department shall, when sufficient
13money has been deposited in the Real Estate Recovery Fund,
14satisfy such unpaid claims or portions thereof, in the order
15that such claims or portions thereof were originally filed,
16plus accumulated interest at the rate prescribed in Section
1712-109 of the Code of Civil Procedure.
18(Source: P.A. 96-856, eff. 12-31-09; 97-1002, eff. 8-17-12.)
 
19    (225 ILCS 454/25-10)
20    (Section scheduled to be repealed on January 1, 2020)
21    Sec. 25-10. Real Estate Administration and Disciplinary
22Board; duties. There is created the Real Estate Administration
23and Disciplinary Board. The Board shall be composed of 15
24persons appointed by the Governor. Members shall be appointed
25to the Board subject to the following conditions:

 

 

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1        (1) All members shall have been residents and citizens
2    of this State for at least 6 years prior to the date of
3    appointment.
4        (2) Twelve members shall have been actively engaged as
5    managing broker licensees brokers or brokers or both for at
6    least the 10 years prior to the appointment, 2 of whom must
7    possess an active pre-license instructor license.
8        (3) Three members of the Board shall be public members
9    who represent consumer interests.
10    None of these members shall be (i) a person who is licensed
11under this Act or a similar Act of another jurisdiction, (ii)
12the spouse or family member of a licensee, (iii) a person who
13has an ownership interest in a real estate brokerage business,
14or (iv) a person the Department determines to have any other
15connection with a real estate brokerage business or a licensee.
16    The members' terms shall be for 4 years and expire upon
17completion of the term. No member shall be reappointed to the
18Board for a term that would cause his or her cumulative service
19to the Board to exceed 10 years. Appointments to fill vacancies
20shall be for the unexpired portion of the term. Those members
21of the Board that satisfy the requirements of paragraph (2)
22shall be chosen in a manner such that no area of the State
23shall be unreasonably represented. In making the appointments,
24the Governor shall give due consideration to the
25recommendations by members and organizations of the
26profession. The Governor may terminate the appointment of any

 

 

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1member for cause that in the opinion of the Governor reasonably
2justifies the termination. Cause for termination shall include
3without limitation misconduct, incapacity, neglect of duty, or
4missing 4 board meetings during any one calendar year. Each
5member of the Board may receive a per diem stipend in an amount
6to be determined by the Secretary. Each member shall be paid
7his or her necessary expenses while engaged in the performance
8of his or her duties. Such compensation and expenses shall be
9paid out of the Real Estate License Administration Fund.
10    (4) The Director Secretary shall consider the
11recommendations of the Board on questions involving standards
12of professional conduct, discipline, education, and policies
13and procedures under this Act. With regard to this subject
14matter, the Director Secretary may establish temporary or
15permanent committees of the Board and shall may consider the
16recommendations of the Board on matters that include, but are
17not limited to, criteria for the licensing and renewal of
18education providers, pre-license and continuing education
19instructors, pre-license and continuing education curricula,
20standards of educational criteria, and qualifications for
21licensure and renewal of professions, courses, and
22instructors. The Department, after notifying and considering
23the recommendations of the Board, if any, may issue rules,
24consistent with the provisions of this Act, for the
25administration and enforcement thereof and may prescribe forms
26that shall be used in connection therewith. Eight Board members

 

 

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1shall constitute a quorum. A quorum is required for all Board
2decisions.
3(Source: P.A. 99-227, eff. 8-3-15; 100-188, eff. 1-1-18;
4100-886, eff. 8-14-18.)
 
5    (225 ILCS 454/25-13)
6    (Section scheduled to be repealed on January 1, 2020)
7    Sec. 25-13. Rules. The Department may, after notice to and
8consideration by the Board, seek changes to this Act and after
9notice to and consideration by notifying and considering the
10recommendations of the Board, if any, shall adopt, promulgate,
11and issue any rules that may be necessary for the
12implementation and enforcement of this Act.
13(Source: P.A. 96-856, eff. 12-31-09.)
 
14    (225 ILCS 454/25-14.5 new)
15    Sec. 25-14.5. Director of Real Estate. The Director of Real
16Estate, created under Executive Order 14-03, shall have the
17following duties and responsibilities:
18        (1) act as chairperson of the Board, ex officio,
19    without vote;
20        (2) subject to the administrative approval of the
21    Secretary, supervise all real estate activities;
22        (3) appoint any necessary committees to assist in the
23    performance of the functions and duties of the Department
24    under this Act; and

 

 

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1        (4) be authorized to grant variances, as prescribed by
2    rule, from the requirements of this Act or its rules after
3    notice to and receiving the recommendation of the Board.
 
4    (225 ILCS 454/25-15)
5    (Section scheduled to be repealed on January 1, 2020)
6    Sec. 25-15. Real Estate Coordinator; duties. There shall be
7in the Division Department a Real Estate Coordinator, appointed
8by the Secretary, who shall hold a currently valid broker
9broker's license, which shall be surrendered to the Department
10during the appointment. The Real Estate Coordinator shall have
11the following duties and responsibilities:
12        (1) act as Chairperson of the Board, ex-officio,
13    without vote;
14        (1) (2) be the direct liaison between the Department,
15    the profession, and real estate organizations and
16    associations; and
17        (2) (3) prepare and circulate to licensees any
18    educational and informational material that the Department
19    deems necessary for providing guidance or assistance to
20    licensees. ;
21        (4) appoint any necessary committees to assist in the
22    performance of the functions and duties of the Department
23    under this Act; and
24        (5) subject to the administrative approval of the
25    Secretary, supervise all real estate activities.

 

 

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1    In designating the Real Estate Coordinator, the Secretary
2shall give due consideration to recommendations by members and
3organizations of the profession.
4(Source: P.A. 96-856, eff. 12-31-09.)
 
5    (225 ILCS 454/25-25)
6    (Section scheduled to be repealed on January 1, 2020)
7    Sec. 25-25. Real Estate Research and Education Fund. A
8special fund to be known as the Real Estate Research and
9Education Fund is created and shall be held in trust in the
10State Treasury. Annually, on September 15th, the State
11Treasurer shall cause a transfer of $125,000 to the Real Estate
12Research and Education Fund from the Real Estate License
13Administration Fund. The Real Estate Research and Education
14Fund shall be administered by the Department. Money deposited
15in the Real Estate Research and Education Fund may be used for
16research and education at state institutions of higher
17education or other organizations for research and the
18advancement of education in the real estate industry. Of the
19$125,000 annually transferred into the Real Estate Research and
20Education Fund, $30,000 $15,000 shall be used to fund a
21scholarship program for persons of minority racial origin who
22wish to pursue a course of study in the field of real estate.
23For the purposes of this Section, "course of study" means a
24course or courses that are part of a program of courses in the
25field of real estate designed to further an individual's

 

 

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1knowledge or expertise in the field of real estate. These
2courses shall include without limitation courses that a broker
3licensed under this Act must complete to qualify for a managing
4broker licensee broker's license, courses required to obtain a
5professional designation offered by a not-for-profit,
6education-based organization the Graduate Realtors Institute
7designation, and any other courses or programs offered by
8accredited colleges, universities, or other institutions of
9higher education in Illinois. The scholarship program shall be
10administered by the Department or its designee. Moneys in the
11Real Estate Research and Education Fund may be invested and
12reinvested in the same manner as funds in the Real Estate
13Recovery Fund and all earnings, interest, and dividends
14received from such investments shall be deposited in the Real
15Estate Research and Education Fund and may be used for the same
16purposes as moneys transferred to the Real Estate Research and
17Education Fund. Moneys in the Real Estate Research and
18Education Fund may be transferred to the Professions Indirect
19Cost Fund as authorized under Section 2105-300 of the
20Department of Professional Regulation Law of the Civil
21Administrative Code of Illinois.
22(Source: P.A. 99-227, eff. 8-3-15.)
 
23    (225 ILCS 454/25-35)
24    (Section scheduled to be repealed on January 1, 2020)
25    Sec. 25-35. Real Estate Recovery Fund. A special fund to be

 

 

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1known as the Real Estate Recovery Fund is created in the State
2Treasury. All fines and penalties received by the Department
3pursuant to Article 20 of this Act shall be deposited into the
4State Treasury and held in the Real Estate Recovery Fund. The
5money in the Real Estate Recovery Fund shall be used by the
6Department exclusively for carrying out the purposes
7established by this Act. If, at any time, the balance remaining
8in the Real Estate Recovery Fund is less than $1,000,000
9$750,000, the State Treasurer shall cause a transfer of moneys
10to the Real Estate Recovery Fund from the Real Estate License
11Administration Fund in an amount necessary to establish a
12balance of $1,000,000 $800,000 in the Real Estate Recovery
13Fund. These funds may be invested and reinvested in the same
14manner as authorized for pension funds in Article 1 of the
15Illinois Pension Code. All earnings, interest, and dividends
16received from investment of funds in the Real Estate Recovery
17Fund shall be deposited into the Real Estate License
18Administration Fund and shall be used for the same purposes as
19other moneys deposited in the Real Estate License
20Administration Fund.
21(Source: P.A. 96-856, eff. 12-31-09.)
 
22    (225 ILCS 454/30-5)
23    (Section scheduled to be repealed on January 1, 2020)
24    Sec. 30-5. Licensing of real estate education providers and
25instructors.

 

 

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1    (a) No person shall operate an education provider entity
2without possessing a valid and active license issued by the
3Department. Only education providers in possession of a valid
4education provider license may provide real estate
5pre-license, post-license, or continuing education courses
6that satisfy the requirements of this Act. Every person that
7desires to obtain an education provider license shall make
8application to the Department in writing on forms prescribed by
9the Department and pay the fee prescribed by rule. In addition
10to any other information required to be contained in the
11application as prescribed by rule, every application for an
12original or renewed license shall include the applicant's
13Social Security number or tax identification number.
14    (b) (Blank).
15    (c) (Blank).
16    (d) (Blank).
17    (e) (Blank).
18    (f) To qualify for an education provider license, an
19applicant must demonstrate the following:
20        (1) a sound financial base for establishing,
21    promoting, and delivering the necessary courses; budget
22    planning for the school's courses should be clearly
23    projected;
24        (2) a sufficient number of qualified, licensed
25    instructors as provided by rule;
26        (3) adequate support personnel to assist with

 

 

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1    administrative matters and technical assistance;
2        (4) maintenance and availability of records of
3    participation for licensees;
4        (5) the ability to provide each participant who
5    successfully completes an approved program with a
6    certificate of completion that shall include the program
7    that was completed, the completion date, the course number,
8    and the student's and education provider's license numbers
9    signed by the administrator of a licensed education
10    provider on forms provided by the Department;
11        (6) a written policy dealing with procedures for the
12    management of grievances and fee refunds;
13        (7) lesson plans and examinations, if applicable, for
14    each course;
15        (8) a 75% passing grade for successful completion of
16    any continuing education course or pre-license or
17    post-license examination, if required;
18        (9) the ability to identify and use instructors who
19    will teach in a planned program; instructor selections must
20    demonstrate:
21            (A) appropriate credentials;
22            (B) competence as a teacher;
23            (C) knowledge of content area; and
24            (D) qualification by experience.
25    Unless otherwise provided for in this Section, the
26education provider shall provide a proctor or an electronic

 

 

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1means of proctoring for each examination; the education
2provider shall be responsible for the conduct of the proctor;
3the duties and responsibilities of a proctor shall be
4established by rule.
5    Unless otherwise provided for in this Section, the
6education provider must provide for closed book examinations
7for each course unless the Department, upon the recommendation
8of the Board, excuses this requirement based on the complexity
9of the course material.
10    (g) Advertising and promotion of education activities must
11be carried out in a responsible fashion clearly showing the
12educational objectives of the activity, the nature of the
13audience that may benefit from the activity, the cost of the
14activity to the participant and the items covered by the cost,
15the amount of credit that can be earned, and the credentials of
16the faculty.
17    (h) The Department may, or upon request of the Board shall,
18after notice, cause an education provider to attend an informal
19conference before the Board for failure to comply with any
20requirement for licensure or for failure to comply with any
21provision of this Act or the rules for the administration of
22this Act. The Board shall make a recommendation to the
23Department as a result of its findings at the conclusion of any
24such informal conference.
25    (i) All education providers shall maintain these minimum
26criteria and pay the required fee in order to retain their

 

 

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1education provider license.
2    (j) The Department may adopt any administrative rule
3consistent with the language and intent of this Act that may be
4necessary for the implementation and enforcement of this
5Section.
6(Source: P.A. 100-188, eff. 1-1-18; 100-831, eff. 1-1-19.)
 
7    (225 ILCS 454/30-15)
8    (Section scheduled to be repealed on January 1, 2020)
9    Sec. 30-15. Licensing of education providers; approval of
10courses.
11    (a) (Blank).
12    (b) (Blank).
13    (c) (Blank).
14    (d) (Blank).
15    (e) (Blank).
16    (a) (f) All education providers shall submit, at the time
17of initial application and with each license renewal, a list of
18courses with course materials that comply with the course
19requirements in this Act to be offered by the education
20provider. The Department may establish an online mechanism by
21which education providers may submit for approval by the
22Department upon the recommendation of the Board or its designee
23pre-license, post-license, or continuing education courses
24that are submitted after the time of the education provider's
25initial license application or renewal. The Department shall

 

 

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1provide to each education provider a certificate for each
2approved pre-license, post-license, or continuing education
3course. All pre-license, post-license, or continuing education
4courses shall be valid for the period coinciding with the term
5of license of the education provider. However, in no case shall
6a course continue to be valid if it does not, at all times,
7meet all of the requirements of the core curriculum established
8by this Act and the Board, as modified from time to time in
9accordance with this Act. All education providers shall provide
10a copy of the certificate of the pre-license, post-license, or
11continuing education course within the course materials given
12to each student or shall display a copy of the certificate of
13the pre-license, post-license, or continuing education course
14in a conspicuous place at the location of the class.
15    (b) (g) Each education provider shall provide to the
16Department a report in a frequency and format determined by the
17Department, with information concerning students who
18successfully completed all approved pre-license, post-license,
19or continuing education courses offered by the education
20provider.
21    (c) (h) The Department, upon the recommendation of the
22Board, may temporarily suspend a licensed education provider's
23approved courses without hearing and refuse to accept
24successful completion of or participation in any of these
25pre-license, post-license, or continuing education courses for
26education credit from that education provider upon the failure

 

 

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1of that education provider to comply with the provisions of
2this Act or the rules for the administration of this Act, until
3such time as the Department receives satisfactory assurance of
4compliance. The Department shall notify the education provider
5of the noncompliance and may initiate disciplinary proceedings
6pursuant to this Act. The Department may refuse to issue,
7suspend, revoke, or otherwise discipline the license of an
8education provider or may withdraw approval of a pre-license,
9post-license, or continuing education course for good cause.
10Failure to comply with the requirements of this Section or any
11other requirements established by rule shall be deemed to be
12good cause. Disciplinary proceedings shall be conducted by the
13Board in the same manner as other disciplinary proceedings
14under this Act.
15    (d) (i) Pre-license, post-license, and continuing
16education courses, whether submitted for approval at the time
17of an education provider's initial application for licensure or
18otherwise, must meet the following minimum course
19requirements:
20        (1) No continuing education course shall be required to
21    be taught in increments longer than one hour 2 hours in
22    duration; however, for each one hour 2 hours of course time
23    in each course, there shall be a minimum of 50 100 minutes
24    of instruction.
25        (2) All core curriculum courses shall be provided only
26    in the classroom or through a live, interactive webinar or

 

 

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1    online distance education format.
2        (3) Courses provided through a live, interactive
3    webinar shall require all participants to demonstrate
4    their attendance in and attention to the course by
5    answering or responding to at least one polling question
6    per 50 30 minutes of course instruction. In no event shall
7    the interval between polling questions exceed 30 minutes.
8        (4) All participants in courses provided in an online
9    distance education format shall demonstrate proficiency
10    with the subject matter of the course through verifiable
11    responses to questions included in the course content.
12        (5) Credit for courses completed in a classroom or
13    through a live, interactive webinar or online distance
14    education format shall not require an examination.
15        (6) Credit for courses provided through
16    correspondence, or by home study, shall require the passage
17    of an in-person, proctored examination.
18    (e) (j) The Department is authorized to engage a third
19party as the Board's designee to perform the functions
20specifically provided for in subsection (a) (f) of this
21Section, namely that of administering the online system for
22receipt, review, and approval or denial of new courses.
23    (f) (k) The Department may adopt any administrative rule
24consistent with the language and intent of this Act that may be
25necessary for the implementation and enforcement of this
26Section.

 

 

10100HB2705ham001- 134 -LRB101 10329 SMS 56957 a

1(Source: P.A. 99-227, eff. 8-3-15; 100-188, eff. 1-1-18.)
 
2    (225 ILCS 454/30-25)
3    (Section scheduled to be repealed on January 1, 2020)
4    Sec. 30-25. Licensing of education provider instructors.
5    (a) No person shall act as either a pre-license or
6continuing education instructor without possessing a valid
7pre-license or continuing education instructor license and
8satisfying any other qualification criteria established by the
9Department by rule.
10    (a-5) Each person that is an instructor for pre-license,
11continuing education core curriculum, or broker management
12education courses shall meet specific criteria established by
13the Department by rule. Those persons who have not met the
14criteria shall only teach continuing education elective
15curriculum courses.
16    (b) Every person who desires to obtain an education
17provider instructor's license shall attend and successfully
18complete a one-day instructor development workshop, as
19approved by the Department. However, pre-license instructors
20who have complied with subsection (b) of this Section 30-25
21shall not be required to complete the instructor workshop in
22order to teach continuing education elective curriculum
23courses.
24    (b-5) The term of licensure for a pre-license or continuing
25education instructor shall be 2 years and as established by

 

 

10100HB2705ham001- 135 -LRB101 10329 SMS 56957 a

1rule. Every person who desires to obtain a pre-license or
2continuing education instructor license shall make application
3to the Department in writing on forms prescribed by the
4Department, accompanied by the fee prescribed by rule. In
5addition to any other information required to be contained in
6the application, every application for an original license
7shall include the applicant's Social Security number, which
8shall be retained in the agency's records pertaining to the
9license. As soon as practical, the Department shall assign a
10customer's identification number to each applicant for a
11license.
12    Every application for a renewal or restored license shall
13require the applicant's customer identification number.
14    The Department shall issue a pre-license or continuing
15education instructor license to applicants who meet
16qualification criteria established by this Act or rule.
17    (c) The Department may refuse to issue, suspend, revoke, or
18otherwise discipline a pre-license or continuing education
19instructor for good cause. Disciplinary proceedings shall be
20conducted by the Board in the same manner as other disciplinary
21proceedings under this Act. All pre-license instructors must
22teach at least one pre-license or continuing education core
23curriculum course within the period of licensure as a
24requirement for renewal of the instructor's license. All
25continuing education instructors must teach at least one course
26within the period of licensure or take an instructor training

 

 

10100HB2705ham001- 136 -LRB101 10329 SMS 56957 a

1program approved by the Department in lieu thereof as a
2requirement for renewal of the instructor's license.
3    (d) Each course transcript submitted by an education
4provider to the Department shall include the name and license
5number of the pre-license or continuing education instructor
6for the course.
7    (e) Licensed education provider instructors may teach for
8more than one licensed education provider.
9    (f) The Department may adopt any administrative rule
10consistent with the language and intent of this Act that may be
11necessary for the implementation and enforcement of this
12Section.
13(Source: P.A. 100-188, eff. 1-1-18.)
 
14    (225 ILCS 454/10-35 rep.)
15    (225 ILCS 454/20-22 rep.)
16    (225 ILCS 454/25-37 rep.)
17    Section 15. The Real Estate License Act of 2000 is amended
18by repealing Sections 10-35, 20-22, and 25-37.
 
19    Section 99. Effective date. This Act takes effect upon
20becoming law.".